EXECUTION - ----------------------------------------------------------------- GE CAPITAL MORTGAGE SERVICES, INC., Seller and Servicer and STATE STREET BANK AND TRUST COMPANY, Trustee ------------- POOLING AND SERVICING AGREEMENT Dated as of July 1, 1998 ------------- REMIC Multi-Class Pass-Through Certificates, Series 1998-12 - ----------------------------------------------------------------- Table of Contents Page ARTICLE I. DEFINITIONS Section 1.01. Definitions ............................... 1 ARTICLE II. CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES Section 2.01. Conveyance of Mortgage Loans .............. 44 Section 2.02. Acceptance by Trustee ..................... 48 Section 2.03. Representations and Warranties of the Company; Mortgage Loan Repurchase ................................ 49 Section 2.04. Execution of Certificates ................. 57 Section 2.05. The REMICs; Designations under the REMIC Provisions ...................... 57 Section 2.06. Trust Funds Separate ...................... 61 ARTICLE III. ADMINISTRATION AND SERVICING OF MORTGAGE LOANS Section 3.01. Company to Act as Servicer ................ 61 Section 3.02. Collection of Certain Mortgage Loan Payments; Mortgage Loan Payment Records; Certificate Accounts .................................. 65 Section 3.03. Collection of Taxes, Assessments and Other Items ........................... 68 Section 3.04. Permitted Debits to the Mortgage Loan Payment Records ...................... 68 Section 3.05. Maintenance of the Primary Insurance Policies ........................ 69 Section 3.06. Maintenance of Hazard Insurance ........... 70 Section 3.07. Assumption and Modification Agreements ................................ 70 Section 3.08. Realization Upon Defaulted Mortgage Loans ............................ 71 Section 3.09. Trustee to Cooperate; Release of Mortgage Files ......................... 74 Section 3.10. Servicing Compensation; Payment of Certain Expenses by the Company ................................... 75 Section 3.11. Reports to the Trustee; Certificate Account Statements ........................ 75 Section 3.12. Annual Statement as to Compliance ......... 75 Section 3.13. Annual Independent Public Accountants' Servicing Report. On or before March 31 of each year, beginning with March 31, 1999, the Company shall: ............................ 76 Section 3.14. Access to Certain Documentation and Information Regarding the Mortgage Loans ............................ 76 Section 3.15. Maintenance of Certain Servicing Policies .................................. 76 Section 3.16. Optional Purchase of Defaulted Mortgage Loans ............................ 77 ARTICLE IV. PAYMENTS AND STATEMENTS Section 4.01. Distributions ............................. 77 i Section 4.02. Method of Distribution .................... 87 Section 4.03. Allocation of Losses ...................... 88 Section 4.04. Monthly Advances; Purchases of Defaulted Mortgage Loans .................. 93 Section 4.05. Statements to Certificateholders .......... 94 Section 4.06. Servicer's Certificate .................... 96 Section 4.07. Reports of Foreclosures and Abandonments of Mortgaged Property .................................. 96 Section 4.08. Reduction of Servicing Fees by Compensating Interest Payments ............ 97 Section 4.09. Surety Bond ............................... 97 ARTICLE V. THE CERTIFICATES Section 5.01. The Certificates .......................... 97 Section 5.02. Registration of Transfer and Exchange of Certificates ........................... 101 Section 5.03. Mutilated, Destroyed, Lost or Stolen Certificates .............................. 106 Section 5.04. Persons Deemed Owners ..................... 107 Section 5.05. Access to List of Certificateholders' Names and Addresses ....................... 107 Section 5.06. Representation of Certain Certificateholders ........................ 107 Section 5.07. Determination of COFI ..................... 107 Section 5.08. Determination of LIBOR .................... 108 ARTICLE VI. THE COMPANY Section 6.01. Liability of the Company .................. 109 Section 6.02. Merger or Consolidation of, or Assumption of the Obligations of, the Company ............................... 110 Section 6.03. Assignment ................................ 110 Section 6.04. Limitation on Liability of the Company and Others ........................ 110 Section 6.05. The Company Not to Resign ................. 111 ARTICLE VII. DEFAULT Section 7.01. Events of Default ......................... 111 Section 7.02. Trustee to Act; Appointment of Successor ................................. 113 Section 7.03. Notification to Certificateholders ........ 113 ARTICLE VIII. THE TRUSTEE Section 8.01. Duties of Trustee ......................... 114 Section 8.02. Certain Matters Affecting the Trustee ..... 115 Section 8.03. Trustee Not Liable for Certificates or Mortgage Loans ......................... 116 Section 8.04. Trustee May Own Certificates .............. 116 Section 8.05. The Company to Pay Trustee's Fees and Expenses .............................. 116 Section 8.06. Eligibility Requirements for Trustee ...... 117 ii Section 8.07. Resignation or Removal of Trustee ......... 117 Section 8.08. Successor Trustee ......................... 118 Section 8.09. Merger or Consolidation of Trustee ........ 118 Section 8.10. Appointment of Co-Trustee or Separate Trustee .......................... 118 Section 8.11. Compliance with REMIC Provisions; Tax Returns ............................... 120 ARTICLE IX. TERMINATION Section 9.01. Termination upon Repurchase by the Company or Liquidation of All Mortgage Loans ............................ 120 Section 9.02. Additional Termination Requirements ....... 121 ARTICLE X. MISCELLANEOUS PROVISIONS Section 10.01. Amendment ................................. 122 Section 10.02. Recordation of Agreement .................. 123 Section 10.03. Limitation on Rights of Certificateholders ........................ 124 Section 10.04. Governing Law ............................. 124 Section 10.05. Notices ................................... 125 Section 10.06. Notices to the Rating Agencies ............ 125 Section 10.07. Severability of Provisions ................ 125 Section 10.08. Certificates Nonassessable and Fully Paid ................................ 125 Exhibits EXHIBIT A Forms of Certificates EXHIBIT B Principal Balance Schedules EXHIBIT C Mortgage Loans (including list of Cooperative Loans) EXHIBIT D Form of Servicer's Certificate EXHIBIT E Form of Transfer Certificate as to ERISA Matters for Definitive ERISA-Restricted Certificates EXHIBIT F Form of Residual Certificate Transferee Affidavit EXHIBIT G Form of Residual Certificate Transferor Letter EXHIBIT H Additional Servicer Compensation EXHIBIT I Form of Investment Letter for Definitive Restricted Certificates EXHIBIT J Form of Distribution Date Statement EXHIBIT K Form of Special Servicing and Collateral Fund Agreement EXHIBIT L Form of Lost Note Affidavit and Agreement EXHIBIT M Schedule of Designated Loans EXHIBIT N Schedule of Pledged Asset Mortgage Loans EXHIBIT O-1 Senior Principal Priorities for Pool 1 EXHIBIT O-2 Senior Principal Priorities for Pool 2 EXHIBIT O-3 Senior Principal Priorities for Pool 3 iii EXHIBIT O-4 Senior Principal Priorities for Pool 4 iv THIS POOLING AND SERVICING AGREEMENT, dated as of July 1, 1998, between GE CAPITAL MORTGAGE SERVICES, INC., a corporation organized and existing under the laws of the State of New Jersey, and STATE STREET BANK AND TRUST COMPANY, a Massachusetts banking corporation, as Trustee. W I T N E S S E T H T H A T : In consideration of the mutual agreements herein contained, GE Capital Mortgage Services, Inc. and State Street Bank and Trust Company agree as follows: ARTICLE I. DEFINITIONS Section 1.01. Definitions. Whenever used in this Agreement, the following words and phrases, unless the context otherwise requires, shall have the following meanings: Accretion Directed Certificates: (a) With respect to the Class 1-A10 Certificates, the Class 1-A8 and Class 1-A9 Certificates, (b) with respect to the Class 1-A14 Certificates, the Class 1-A13 Certificates and (c) with respect to the Class 2-A7 and Class 2-A8 Certificates, the Class 2-A4, Class 2-A5 and Class 2-A6 Certificates (and, with respect to the Class 2-A8 Certificates, the Class 2-A7 Certificates). Accretion Directed Component: None. Accretion Termination Date: With respect to any Accrual Certificate the earlier of (i) the related Cross-Over Date and (ii) the Distribution Date on which the Class Certificate Principal Balances of the related Accretion Directed Certificates are reduced to zero. Accrual Amount: As to any Class of Accrual Certificates and any Accrual Component and each Distribution Date through the related Accretion Termination Date, the sum of (x) any amount of Accrued Certificate Interest allocable to such Class or Component pursuant to Section 4.01(a)(i) or Section 4.01(b)(i), as applicable, on such Distribution Date and (y) any amount of Unpaid Class Interest Shortfall allocable to such Class or Component pursuant to Section 4.01(a)(ii) or Section 4.01(b)(ii), as applicable, on such Distribution Date, to the extent that such amounts are distributed to any Accretion Directed Certificates pursuant to Section 4.01(h)(i) or (ii), as applicable, in reduction of the Certificate Principal Balance thereof. As to any Class of Accrual Certificates and any Accrual Component and each Distribution Date after the related Accretion Termination Date, zero. Accrual Certificates: Any Class 1-A10, Class 1-A14, Class 2-A7, or Class 2-A8 Certificate. Accrual Component: None. Accrued Certificate Interest: As to any Distribution Date and any Class of Certificates (other than any Class of Principal Only Certificates), interest accrued during the related Interest Accrual Period at the applicable Certificate Interest Rate on the Class Certificate Principal Balance (or, in the case of any Class of Notional Certificates, on the aggregate Notional Principal Balance) thereof immediately prior to such Distribution Date, calculated on the basis of a 360-day year consisting of twelve 30-day months. Accrued Certificate Interest on each Class of Certificates (other than any Class of Principal Only Certificates) shall be reduced by such Class's share of the amount of any Net Interest Shortfall and Certificate Interest Losses, in each case, in respect of the related Mortgage Pool for such Distribution Date. Any Net Interest Shortfall and Certificate Interest Losses in respect of a Mortgage Pool shall be allocated among the related Classes of Certificates (other than any Class of Principal Only Certificates) in proportion to the respective amounts of Accrued Certificate Interest that would have resulted absent such shortfall or losses. Additional Collateral: With respect to any Mortgage 100(TM) Loan, the marketable securities held from time to time as security for the repayment of such Mortgage 100(TM) Loan and any related collateral. With respect to any Parent Power(TM) Loan, the third-party guarantee for such Parent Power(TM) Loan, together with (i) any marketable securities held from time to time as security for the performance of such guarantee and any related collateral or (ii) any mortgaged property securing the performance of such guarantee, the related home equity line of credit loan and any related collateral. Aggregate Pool 1 PAC Balance: As to any Distribution Date and the Pool 1 PAC Certificates, the balance designated as such for such Distribution Date as set forth in the Principal Balance Schedules. Aggregate Pool 1 Scheduled Balance: As to any Distribution Date and the Pool 1 Scheduled Certificates, the balance designated as such for such Distribution Date as set forth in the Principal Balance Schedules. Aggregate Pool 1 TAC Balance: As to any Distribution Date and the Pool 1 TAC Certificates, the balance designated as such for such Distribution Date as set forth in the Principal Balance Schedules. Agreement: This Pooling and Servicing Agreement and all amendments hereof and supplements hereto. Allocable Share: (a) As to any Distribution Date and amounts distributable pursuant to clauses (i) and (iii) of the definition of Junior Optimal Principal Amount for a Certificate Group, and as to each related Class of Junior Certificates, the fraction, expressed as a percentage, the numerator of which is the Class Certificate 2 Principal Balance of such Class and the denominator of which is the aggregate Class Certificate Principal Balance of the Junior Certificates in the related Certificate Group. (b) As to any Distribution Date and amounts distributable pursuant to clauses (ii), (iv) and (v) of the definition of Junior Optimal Principal Amount for a Certificate Group, and as to the Class M Certificates in such Certificate Group and each Class of Class B Certificates in such Certificate Group for which the related Prepayment Distribution Trigger has been satisfied on such Distribution Date, the fraction, expressed as a percentage, the numerator of which is the Class Certificate Principal Balance of such Class and the denominator of which is the aggregate Class Certificate Principal Balance of all such Classes in such Certificate Group. As to any Distribution Date and each Class of Class B Certificates for which the related Prepayment Distribution Trigger has not been satisfied on such Distribution Date, 0%. Amortization Payment: As to any REO Mortgage Loan and any month, the payment of principal and accrued interest due in such month in accordance with the terms of the related Mortgage Note as contemplated by Section 3.08(b). Amount Held for Future Distribution: As to each Distribution Date and Mortgage Pool, the total of all amounts credited to the Mortgage Loan Payment Record for such Mortgage Pool as of the preceding Determination Date on account of (i) Principal Prepayments, Insurance Proceeds and Liquidation Proceeds received in respect of such Mortgage Pool subsequent to the preceding Prepayment Period applicable to such receipts, and (ii) monthly payments of principal and interest due subsequent to the preceding Due Date. Anniversary Determination Date: The Determination Date occurring in August of each year that the Certificates are outstanding, commencing in August 1999. Assignment of Proprietary Lease: With respect to a Cooperative Loan, the assignment of the related Proprietary Lease from the Mortgagor to the originator of the Cooperative Loan. Assumed Monthly Payment Reduction: As of any Anniversary Determination Date and Mortgage Pool, and as to any Non-Primary Residence Loan remaining in such Mortgage Pool whose original principal balance was 80% or greater of the Original Value thereof, the excess of (i) the Monthly Payment thereof calculated on the assumption that the Mortgage Rate thereon was equal to the weighted average (by principal balance) of the Remittance Rates of all Outstanding Mortgage Loans in such Mortgage Pool (the "Weighted Average Rate") as of such Anniversary Determination Date over (ii) the Monthly Payment thereof calculated on the assumption that the Remittance Rate thereon was equal to the Weighted Average Rate less 1.25% per annum. Available Funds: As to each Distribution Date and Mortgage Pool, an amount equal to the sum of (i) all amounts credited to the Mortgage Loan Payment Record for such Mortgage Pool pursuant to Section 3.02 as of the preceding 3 Determination Date, (ii) any Monthly Advance and any Compensating Interest Payment in respect of such Mortgage Pool for such Distribution Date, (iii) the Purchase Price of any Defective Mortgage Loans and Defaulted Mortgage Loans in respect of such Mortgage Pool deposited in the related Certificate Account on the Business Day preceding such Distribution Date (including any amounts deposited in the related Certificate Account in connection with any substitution of a Mortgage Loan in such Mortgage Pool as specified in Section 2.03(b)) and (iv) the purchase price of any defaulted Mortgage Loan in such Mortgage Pool purchased under an agreement entered into pursuant to Section 3.08(e) as of the end of the preceding Prepayment Period, less the sum of (x) the Amount Held for Future Distribution in respect of such Mortgage Pool, (y) the amount of any Unanticipated Recovery credited to the Mortgage Loan Payment Record in respect of such Mortgage Pool pursuant to clause (vi) of Section 3.02, and (z) amounts permitted to be debited from the related Mortgage Loan Payment Record pursuant to clauses (i) through (vii) and (ix) of Section 3.04. Bankruptcy Coverage Termination Date: As to each Mortgage Pool, the Distribution Date upon which the Bankruptcy Loss Amount for such Mortgage Pool has been reduced to zero or a negative number (or the related Cross-Over Date, if earlier). Bankruptcy Loss Amount: As to each Determination Date prior to the first Anniversary Determination Date, an amount equal to $147,025, in the case of Pool 1, $100,000, in the case of Pool 2, $100,000, in the case of Pool 3, and $100,000, in the case of Pool 4, as reduced in each case by the aggregate amount of Deficient Valuations and Debt Service Reductions in respect of such Mortgage Pool since the Cut-off Date. As of any Determination Date after the first Anniversary Determination Date, other than an Anniversary Determination Date, the Bankruptcy Loss Amount for a Mortgage Pool shall equal such Bankruptcy Loss Amount on the immediately preceding Anniversary Determination Date as reduced by the aggregate amount of Deficient Valuations and Debt Service Reductions for such Mortgage Pool since such preceding Anniversary Determination Date. As of any Anniversary Determination Date, the Bankruptcy Loss Amount for a Mortgage Pool shall equal the lesser of (x) the related Bankruptcy Loss Amount as of the preceding Determination Date as reduced by any Deficient Valuations and Debt Service Reductions for such Mortgage Pool for the preceding Distribution Date, and (y) the greater of (i) the Fitch Formula Amount for such Mortgage Pool for such Anniversary Determination Date and (ii) the S&P Formula Amount for such Mortgage Pool for such Anniversary Determination Date. The Bankruptcy Loss Amount for a Mortgage Pool may be further reduced by the Company (including accelerating the manner in which such coverage is reduced) provided that prior to any such reduction, the Company shall obtain written confirmation from each Rating Agency that such reduction shall not adversely affect the then-current rating assigned to the related Classes of Certificates by such Rating Agency and shall provide a copy of such written confirmation to the Trustee. 4 Base Servicing Fee: As to any Mortgage Loan and Distribution Date, an amount equal to the product of (i) the Scheduled Principal Balance of such Mortgage Loan as of the Due Date in the preceding calendar month and (ii) the Base Servicing Fee Rate for such Mortgage Loan. The Base Servicing Fee for any Distribution Date is subject to adjustment pursuant to Section 3.08(d) (with respect to a Realized Loss) or the definition of Interest Loss (with respect to the interest portion of a Debt Service Reduction). Base Servicing Fee Rate: As to any Mortgage Loan, the per annum rate identified as such for such Mortgage Loan and set forth in the Mortgage Loan Schedule. BBA: The British Banker's Association. BIF: The Bank Insurance Fund of the FDIC, or its successor in interest. Book-Entry Certificate: Any Certificate registered in the name of the Depository or its nominee, ownership of which is reflected on the books of the Depository or on the books of a person maintaining an account with such Depository (directly or as an indirect participant in accordance with the rules of such Depository). As of the Closing Date, each Class of Certificates, other than the Class PO, Class B3, Class B4, Class B5 or Residual Certificates, constitutes a Class of Book-Entry Certificates. Book-Entry Nominee: As defined in Section 5.02(b). Business Day: Any day other than a Saturday or a Sunday, or a day on which banking institutions in New York City or the city in which the Corporate Trust Office is located are authorized or obligated by law or executive order to be closed. Buydown Funds: Funds contributed by the Mortgagor or another source in order to reduce the interest payments required from the Mortgagor for a specified period in specified amounts. Buydown Mortgage Loan: Any Mortgage Loan as to which the Mortgagor pays less than the full monthly payment specified in the Mortgage Note during the Buydown Period and the difference between the amount paid by the Mortgagor and the amount specified in the Mortgage Note is paid from the related Buydown Funds. Buydown Period: The period during which Buydown Funds are required to be applied to the related Buydown Mortgage Loan. Certificate: Any one of the certificates signed and countersigned by the Trustee in substantially the forms attached hereto as Exhibit A. Certificate Account: The Pool 1 Certificate Account, Pool 2 Certificate Account, Pool 3 Certificate Account or Pool 4 Certificate Account, as the case may be. 5 Certificate Group: The Pool 1 Certificates, Pool 2 Certificates, Pool 3 Certificates or Pool 4 Certificates, as applicable. Certificateholder or Holder: The person in whose name a Certificate is registered in the Certificate Register, except that, solely for the purposes of giving any consent pursuant to this Agreement, a Certificate of any Class to the extent that the Company or any affiliate is the Certificate Owner or Holder thereof (except to the extent the Company or any affiliate thereof shall be the Certificate Owner or Holder of all Certificates of such Class), shall be deemed not to be outstanding and the Percentage Interest (or Voting Rights) evidenced thereby shall not be taken into account in determining whether the requisite amount of Percentage Interests (or Voting Rights) necessary to effect any such consent has been obtained; provided, however, that in determining whether the Trustee shall be protected in relying on such consent only the Certificates that the Trustee knows to be so held shall be so disregarded. Certificate Interest Loss: (i) On or prior to the Cross-Over Date for a Certificate Group, any Interest Loss in respect of an Excess Loss as to the related Mortgage Pool and (ii) after the Cross-Over Date for a Certificate Group, any Interest Loss as to the related Mortgage Pool, in each case to the extent such Interest Loss is allocable to the Certificates of such Certificate Group in accordance with Section 3.08(d) (with respect to a Realized Loss) or the definition of Interest Loss (with respect to the interest portion of a Debt Service Reduction). Certificate Interest Rate: With respect to any Class of Certificates (other than any Principal Only Certificates) and as of any Distribution Date, the fixed per annum rate specified in Section 5.01(b). Principal Only Certificates are issued without Certificate Interest Rates. Certificate Owner: With respect to any Book-Entry Certificate, the person who is the beneficial owner thereof. Certificate Principal Balance: As to any Certificate other than a Notional Certificate, and as of any Distribution Date, the Initial Certificate Principal Balance of such Certificate (plus, in the case of any Accrual Certificate or any Certificate consisting of Accrual Components, its Percentage Interest of any related Accrual Amount for each previous Distribution Date) less the sum of (i) all amounts distributed with respect to such Certificate in reduction of the Certificate Principal Balance thereof on previous Distribution Dates pursuant to Section 4.01, (ii) any Realized Losses allocated to such Certificate on previous Distribution Dates pursuant to Section 4.03(b) and (c), and (iii) in the case of a Subordinate Certificate, such Certificate's Percentage Interest of the Subordinate Certificate Writedown Amount for the related Certificate Group allocated to such Certificate on previous Distribution Dates. The Notional Certificates are issued without Certificate Principal Balances. Certificate Register and Certificate Registrar: The register maintained and the registrar appointed pursuant to Section 5.02. 6 Class: All Certificates or Lower Tier Interests, as the case may be, bearing the same class designation. Class 1-A13 Scheduled Balance: As to any Distribution Date and the Class 1-A13 Certificates, the balance designated as such for such Distribution Date as set forth in the Principal Balance Schedules. Class 2-A9 Principal Distribution Amount: With respect to any Distribution Date, the sum of (a) the total of the amounts described in clauses (i) and (iii) of the definition of Pool 2 Senior Optimal Principal Amount for such date multiplied by the Class 2-A9 Scheduled Distribution Percentage for such date, and (b) the total of the amounts described in clauses (ii), (iv) and (v) of the definition of Pool 2 Senior Optimal Principal Amount (without application of the Senior Prepayment Percentage for Pool 2) for such date multiplied by the product of (x) the Class 2-A9 Percentage for such date, (y) the Class 2-A9 Prepayment Distribution Percentage for such date and (z) the Senior Percentage for Pool 2 on such date. Notwithstanding the foregoing, (i) on the Pool 2 Group I Final Distribution Date, the Class 2-A9 Principal Distribution Amount will be increased by any Pool 2 Senior Optimal Principal Amount remaining after distributions of principal have been made on the Pool 2 Group I Senior Certificates, and (ii) following the Pool 2 Group I Final Distribution Date, the Class 2-A9 Principal Distribution Amount will equal the Pool 2 Senior Optimal Principal Amount. Class 2-A9 Percentage: With respect to any Distribution Date, the percentage (carried to ten places rounded up) obtained by dividing (x) the sum of the Class Certificate Principal Balances of the Class 2-A9 Certificates immediately preceding such Distribution Date and $13,000,000 by (y) the aggregate Class Certificate Principal Balance of all the Pool 2 Senior Certificates (other than the Class 2-PO Certificates) immediately preceding such Distribution Date; provided that the Class 2-A9 Percentage for any Distribution Date may not exceed 100%; and provided further, that on any Distribution Date after the Class Certificate Principal Balance of the Class 2-A9 Certificates has been reduced to zero, the Class 2-A9 Percentage shall be zero. Class 2-A9 Prepayment Distribution Percentage: With respect to any Distribution Date, 0% through the Distribution Date in July 2003; 30% thereafter through the Distribution Date in July 2004; 40% thereafter through the Distribution Date in July 2005; 60% thereafter through the Distribution Date in July 2006; 80% thereafter through the Distribution Date in July 2007; and 100% thereafter. Class 2-A9 Scheduled Distribution Percentage: With respect to any Distribution Date through the Distribution Date in July 2003, 0%. The Class 2-A9 Scheduled Distribution Percentage for any Distribution Date thereafter will equal the Class 2-A9 Percentage for such Distribution Date. Notwithstanding the foregoing, on any Distribution Date after the Pool 2 Group 1 Final Distribution Date, the Class 2-A9 Scheduled Distribution Percentage will equal the Senior Percentage for Pool 2 on such Distribution Date. 7 Class 3-A3 Principal Distribution Amount: With respect to any Distribution Date, the sum of (a) the total of the amounts described in clauses (i) and (iii) of the definition of Pool 3 Senior Optimal Principal Amount for such date multiplied by the Class 3-A3 Percentage for such date, and (b) the total of the amounts described in clauses (ii), (iv) and (v) of the definition of Pool 3 Senior Optimal Principal Amount for such date multiplied by the product of (x) the Class 3-A3 Percentage for such date and (y) the Class 3-A3 Prepayment Distribution Percentage for such date. Notwithstanding the foregoing, (i) on the Pool 3 Group I Final Distribution Date, the Class 3-A3 Principal Distribution Amount will be increased by any remaining amounts pursuant to clause (a)(2) of priority third included in Exhibit O-3 after distributions of principal have been made on the Pool 3 Group I Senior Certificates, and (ii) following the Pool 3 Group I Final Distribution Date, the Class 3-A3 Principal Distribution Amount will equal the amount set forth in clause (a)(2) of priority third included in Exhibit O-3. Class 3-A3 Prepayment Distribution Percentage: With respect to any Distribution Date, 0% through the Distribution Date in July 2003; 30% thereafter through the Distribution Date in July 2004; 40% thereafter through the Distribution Date in July 2005; 60% thereafter through the Distribution Date in July 2006; 80% thereafter through the Distribution Date in July 2007; and 100% thereafter. Class 3-A3 Percentage: With respect to any Distribution Date, the percentage (carried to six places rounded up) obtained by dividing (x) the Class Certificate Principal Balance of the Class 3-A3 Certificates immediately preceding such Distribution Date by (y) the aggregate Class Certificate Principal Balance of all the Pool 3 Senior Certificates (other than the Class 3-PO Certificates) immediately preceding such Distribution Date. Class 4-A4 Distribution Percentage: With respect to any Distribution Date, 0% through the Distribution Date in July 2003; 30% thereafter through the Distribution Date in July 2004; 40% thereafter through the Distribution Date in July 2005; 60% thereafter through the Distribution Date in July 2006; 80% thereafter through the Distribution Date in July 2007; and 100% thereafter. Class 4-A4 Percentage: With respect to any Distribution Date, the percentage (carried to six places rounded up) obtained by dividing (x) the Class Certificate Principal Balance of the Class 4-A4 Certificates immediately preceding such Distribution Date by (y) the aggregate Class Certificate Principal Balance of all the Pool 4 Senior Certificates (other than the Class 4-PO Certificates) immediately preceding such Distribution Date. Class 4-A4 Principal Distribution Amount: With respect to any Distribution Date, the product of (a) the Pool 4 Senior Optimal Principal Amount on such date multiplied by (b) the Class 4-A4 Percentage for such date multiplied by (c) the Class 4-A4 Distribution Percentage for such date. Notwithstanding the foregoing, (i) on the Pool 4 Group I Final Distribution Date, the Class 4-A4 Principal Distribution Amount 8 will be increased by any Pool 4 Senior Optimal Principal Amount remaining after distributions of principal have been made on the Pool 4 Group I Senior Certificates, and (ii) following the Pool 4 Group I Final Distribution Date, the Class 4-A4 Principal Distribution Amount will equal the Pool 4 Senior Optimal Principal Amount. Class B Certificate: Any Class B1, Class B2, Class B3, Class B4 or Class B5 Certificate. Class B1 Certificate: Any Class 1-B1, Class 2-B1, Class 3-B1 or Class 4-B1 Certificate. Class B2 Certificate: Any Class 1-B2, Class 2-B2, Class 3-B2 or Class 4-B2 Certificate. Class B3 Certificate: Any Class 1-B3, Class 2-B3, Class 3-B3 or Class 4-B3 Certificate. Class B4 Certificate: Any Class 1-B4, Class 2-B4, Class 3-B4 or Class 4-B4 Certificate. Class B5 Certificate: Any Class 1-B5, Class 2-B5, Class 3-B5 or Class 4-B5 Certificate. Class Certificate Principal Balance: As to any Class of Certificates, other than any Class of Notional Certificates, and as of any date of determination, the aggregate of the Certificate Principal Balances of all Certificates of such Class. The Class Certificate Principal Balance of each such Class of Certificates as of the Closing Date is specified in Section 5.01(b). Class Interest Shortfall: As to any Distribution Date and any Class of Certificates (other than any Class of Principal Only Certificates), any amount by which the amount distributed to Holders of such Class of Certificates (or added to the Class Certificate Principal Balance of any Class of Accrual Certificates or to the Component Principal Balance of any Accrual Component) on such Distribution Date is less than the Accrued Certificate Interest thereon for such Distribution Date. Class M Certificate: Any Class 1-M, Class 2-M, Class 3-M or Class 4-M Certificate. Class PO Certificate: Any Class 1-PO, Class 2-PO, Class 3-PO or Class 4-PO Certificate. Class PO Deferred Amount: As to any Distribution Date on or prior to the related Cross-Over Date, the aggregate of the applicable PO Percentage of the principal portion of each Realized Loss in respect of a Mortgage Pool, other than any related Excess Loss, to be allocated to the Class 1-PO Certificates, in the case of Pool 1, to the 9 Class 2-PO Certificates, in the case of Pool 2, to the Class 3-PO Certificates, in the case of Pool 3, or to the Pool 4 Certificates, in the case of Pool 4, on such Distribution Date or previously allocated to such Class of Certificates and not yet paid to the Holders of such Class of Certificates pursuant to Section 4.01(a)(iv), (b)(iv), (c)(iv) or (d)(iv), as applicable. Class R Certificate: Any Class 1-R, Class 2-R, Class 3-R or Class 4-R Certificate. Class RL Certificate: Any Class 1-RL or Class 2-RL Certificate. Closing Date: July 30, 1998. Code: The Internal Revenue Code of 1986, as it may be amended from time to time, any successor statutes thereto, and applicable U.S. Department of the Treasury temporary or final regulations promulgated thereunder. COFI: The monthly weighted average cost of funds for savings institutions the home offices of which are located in Arizona, California, or Nevada that are member institutions of the Eleventh Federal Home Loan Bank District, as computed from statistics tabulated and published by the Federal Home Loan Bank of San Francisco in its monthly Information Bulletin. COFI Certificates: None. COFI Determination Date: As to each Interest Accrual Period for any COFI Certificates, the last Business Day of the calendar month preceding the commencement of such Interest Accrual Period. Company: GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey, or its successor in interest or, if any successor servicer is appointed as herein provided, then such successor servicer. Compensating Interest Payment: With respect to any Distribution Date and Mortgage Pool, an amount equal to the aggregate of the Interest Shortfalls described in clauses (a) and (b) of the definition thereof with respect to such Distribution Date and Mortgage Pool; provided, however, that such amount shall not exceed the lesser of (i) an amount equal to the product of (x) the Pool Scheduled Principal Balance with respect to such Distribution Date and Mortgage Pool and (y) one-twelfth of 0.125%, and (ii) the aggregate of the Base Servicing Fees that the Company would be entitled to retain on such Distribution Date in respect of the Mortgage Loans in such Mortgage Pool (less any portion thereof paid as servicing compensation to any Primary Servicer) without giving effect to any related Compensating Interest Payment. 10 Component: Any of the components of a Class of Component Certificates having the designations, initial Component Principal Balances and Component Interest Rates as follows: Initial Component Component Designation Principal Balance Interest Rate ----------- ----------------- ------------- N/A N/A N/A Component Certificate: With respect to Pool 1, Pool 2, Pool 3 and Pool 4, none. Component Principal Balance: As of any Distribution Date, and with respect to any Component, other than any Notional Component, the initial Component Principal Balance thereof (as set forth, as applicable, in the definition of Component) (plus, in the case of any Accrual Component, any related Accrual Amount for each previous Distribution Date) less the sum of (x) all amounts distributed in reduction thereof on previous Distribution Dates pursuant to Section 4.01 and (y) the amount of all Realized Losses allocated thereto pursuant to Section 4.03(d). Confirmatory Mortgage Note: With respect to any Mortgage Loan, a note or other evidence of indebtedness executed by the Mortgagor confirming its obligation under the note or other evidence of indebtedness previously executed by the Mortgagor upon the origination of the related Mortgage Loan. Cooperative: A private, cooperative housing corporation organized in accordance with applicable state laws which owns or leases land and all or part of a building or buildings located in the relevant state, including apartments, spaces used for commercial purposes and common areas therein and whose board of directors authorizes, among other things, the sale of Cooperative Stock. Cooperative Apartment: A dwelling unit in a multi-dwelling building owned or leased by a Cooperative, which unit the Mortgagor has an exclusive right to occupy pursuant to the terms of one or more Proprietary Leases. Cooperative Loans: Any of the Mortgage Loans made in respect of a Cooperative Apartment, evidenced by a Mortgage Note and secured by (i) a Security Agreement, (ii) the related Cooperative Stock Certificate(s), (iii) an assignment of the Proprietary Lease(s), (iv) financing statements and (v) a stock power (or other similar instrument), and in addition thereto, a recognition agreement between the Cooperative and the originator of the Cooperative Loan, each of which was transferred and assigned to the Trustee pursuant to Section 2.01 and are from time to time held as part of a Trust Fund. Exhibit C hereto identifies any Cooperative Loans as such. 11 Cooperative Stock: With respect to a Cooperative Loan, the single outstanding class of stock, partnership interest or other ownership instrument in the related Cooperative. Cooperative Stock Certificate: With respect to a Cooperative Loan, the stock certificate(s) or other instrument evidencing the related Cooperative Stock. Corporate Trust Office: The principal office of the Trustee at which at any particular time its corporate trust business shall be administered, which office at the date of the execution of this instrument is located at Two International Place, Boston, Massachusetts 02110, Attention: Corporate Trust Department. Corresponding Class: With respect to Pool 1 and Pool 2 and any Class of Lower Tier Interests, the Class or Classes of Certificates or Components and with respect to any Class of Pool 1 and Pool 2 Certificates, the Class or Classes of Lower Tier Interests, appearing opposite such Class of Lower Tier Interests or Certificates in the table included in Section 2.05(a). Cross-Over Date: As to each Certificate Group, the first Distribution Date on which the aggregate Class Certificate Principal Balance of the Junior Certificates in such Certificate Group has been reduced to zero (giving effect to all distributions on such Distribution Date). Cut-off Date: July 1, 1998. Debt Service Reduction: As to any Mortgage Loan and any Determination Date, the excess of (a) the then current Monthly Payment for such Mortgage Loan over (b) the amount of the monthly payment of principal and interest required to be paid by the Mortgagor as established by a court of competent jurisdiction as a result of a proceeding initiated by or against the related Mortgagor under the Bankruptcy Code, as amended from time to time (11 U.S.C.). Defaulted Mortgage Loan: With respect to any Determination Date, a Mortgage Loan as to which the related Mortgagor has failed to make unexcused payment in full of a total of three or more consecutive installments of principal and interest, and as to which such delinquent installments have not been paid, as of the close of business on the last Business Day of the month next preceding the month of such Determination Date. Defective Mortgage Loan: Any Mortgage Loan which is required to be purchased by the Company (or which the Company may replace with a substitute Mortgage Loan) pursuant to Section 2.02 or 2.03(a). Deficient Valuation: As to any Mortgage Loan and any Determination Date, the excess of (a) the then outstanding indebtedness under such Mortgage Loan over (b) the valuation by a court of competent jurisdiction of the related Mortgaged Property as a result of a proceeding initiated by or against the related Mortgagor under the 12 Bankruptcy Code, as amended from time to time (11 U.S.C.), pursuant to which such Mortgagor retained such Mortgaged Property. Definitive Certificate: Any Certificate, other than a Book-Entry Certificate, issued in definitive, fully registered form. Definitive Restricted Junior Certificate: Any Restricted Junior Certificate that is in the form of a Definitive Certificate. Depository: The initial Depository shall be The Depository Trust Company, the nominee of which is Cede & Co. The Depository shall at all times be a "clearing corporation" as defined in Section 8-102(3) of the Uniform Commercial Code of the State of New York, as amended, or any successor provisions thereto. Depository Participant: A broker, dealer, bank or other financial institution or other Person for which, from time to time, the Depository effects book-entry transfers and pledges of securities deposited with such Depository. Designated Loan Closing Documents: With respect to any Designated Loan, a Lost Note Affidavit substantially in the form of Exhibit L, and an assignment of the related Mortgage to the Trustee in recordable form (except for the omission therein of recording information concerning such Mortgage). Designated Loans: With respect to Pool 1 and Pool 2, the Mortgage Loans listed in Schedule M hereto. With respect to Pool 3, none. With respect to Pool 4, none. Designated Telerate Page: The Dow Jones Telerate Service page 3750 (or such other page as may replace page 3750 on that service or such other service as may be nominated by the BBA for the purpose of displaying the Interest Settlement Rates). Determination Date: With respect to any Distribution Date, the fifth Business Day prior thereto. Discount Mortgage Loan: As to Pool 1, Pool 2 and Pool 4, any Mortgage Loan with a Net Mortgage Rate less than 6.75% per annum. As to Pool 3, any Mortgage Loan with a Net Mortgage Rate less than 6.50% per annum. Disqualified Organization: Any of the following: (i) the United States, any State or political subdivision thereof, or any agency or instrumentality of any of the foregoing (including but not limited to state pension organizations); (ii) a foreign government, International Organization or any agency or instrumentality of either of the foregoing; (iii) an organization (except certain farmers' cooperatives described in Code section 521) which is exempt from tax imposed by Chapter 1 of the Code (including the tax imposed by section 511 of the Code on unrelated business taxable income); and (iv) a rural electric and telephone cooperative described in Code section 1381(a)(2)(C). The terms "United States," "State" and "International Organization" shall have the meanings 13 set forth in Code section 7701 or successor provisions. A corporation will not be treated as an instrumentality of the United States or of any State or political subdivision thereof for these purposes if all of its activities are subject to tax and a majority of its board of directors is not selected by such governmental unit. Distribution Date: The 25th day of each calendar month after the month of initial issuance of the Certificates, or, if such 25th day is not a Business Day, the next succeeding Business Day. Distribution Date Statement: The statement referred to in Section 4.05(a). Document File: As defined in Section 2.01. Due Date: The first day of the month of the related Distribution Date. Eligible Account: An account that is either (i) maintained with a depository institution the debt obligations of which have been rated by each Rating Agency in one of its two highest long-term rating categories and has been assigned by S&P its highest short-term rating, (ii) an account or accounts the deposits in which are fully insured by either the BIF or the SAIF, (iii) an account or accounts, in a depository institution in which such accounts are insured by the BIF or the SAIF (to the limits established by the FDIC), the uninsured deposits in which accounts are either invested in Permitted Investments or are otherwise secured to the extent required by the Rating Agencies such that, as evidenced by an Opinion of Counsel delivered to the Trustee, the Certificateholders of the related Certificate Group have a claim with respect to the funds in such account or a perfected first security interest against any collateral (which shall be limited to Permitted Investments) securing such funds that is superior to claims of any other depositors or creditors of the depository institution with which such account is maintained, (iv) a trust account maintained with the corporate trust department of a federal or state chartered depository institution or of a trust company with trust powers and acting in its fiduciary capacity for the benefit of the Trustee in respect of the related Certificate Group hereunder or (v) such account as will not cause either Rating Agency to downgrade or withdraw its then-current rating assigned to the Certificates of the related Certificate Group, as evidenced in writing by the Rating Agencies. ERISA: The Employee Retirement Income Security Act of 1974, as amended. ERISA-Restricted Certificate: Any Junior Certificate. Event of Default: An event described in Section 7.01. Excess Bankruptcy Loss: As to each Mortgage Pool, any Deficient Valuation or Debt Service Reduction, or portion thereof, in respect of a Mortgage Loan in such Mortgage Pool, (i) occurring after the related Bankruptcy Coverage Termination 14 Date or (ii) if on such date, in excess of the then-applicable Bankruptcy Loss Amount for such Mortgage Pool. Excess Fraud Loss: As to each Mortgage Pool, any Fraud Loss, or portion thereof, in respect of a Mortgage Loan in such Mortgage Pool, (i) occurring after the related Fraud Coverage Termination Date or (ii) if on such date, in excess of the then-applicable Fraud Loss Amount for such Mortgage Pool. Excess Loss: As to each Mortgage Pool, any related Excess Bankruptcy Loss, Excess Fraud Loss or Excess Special Hazard Loss. Excess Special Hazard Loss: As to each Mortgage Pool, any Special Hazard Loss, or portion thereof, in respect of a Mortgage Loan in such Mortgage Pool, (i) occurring after the related Special Hazard Termination Date or (ii) if on such date, in excess of the then-applicable Special Hazard Loss Amount for such Mortgage Pool. FDIC: The Federal Deposit Insurance Corporation, or its successor in interest. FHLMC: The Federal Home Loan Mortgage Corporation or its successor in interest. Financial Intermediary: A broker, dealer, bank or other financial institution or other Person that clears through or maintains a custodial relationship with a Depository Participant. Fitch: Fitch IBCA, Inc. and its successors. Fitch Formula Amount: As to each Anniversary Determination Date and each Mortgage Pool, the greater of (i) $50,000 and (ii) the product of (x) the greatest Assumed Monthly Payment Reduction for any Non-Primary Residence Loan in such Mortgage Pool whose original principal balance was 80% or greater of the Original Value thereof, (y) the weighted average remaining term to maturity (expressed in months) of all the Non-Primary Residence Loans remaining in such Mortgage Pool as of such Anniversary Determination Date, and (z) the sum of (A) one plus (B) the number of all remaining Non-Primary Residence Loans in such Mortgage Pool divided by the total number of Outstanding Mortgage Loans in such Mortgage Pool as of such Anniversary Determination Date. FNMA: The Federal National Mortgage Association or its successor in interest. Fraud Coverage Termination Date: As to each Mortgage Pool, the Distribution Date upon which the related Fraud Loss Amount has been reduced to zero or a negative number (or the related Cross-Over Date, if earlier). 15 Fraud Loss: Any Realized Loss attributable to fraud in the origination of the related Mortgage Loan. Fraud Loss Amount: As of any Distribution Date after the Cut-off Date and as to each Mortgage Pool, (x) prior to the first anniversary of the Cut-off Date, an amount equal to $4,006,619, in the case of Pool 1, $2,002,223, in the case of Pool 2, $1,760,024, in the case of Pool 3, and $2,013,643, in the case of Pool 4, minus in each case the aggregate amount of Fraud Losses in respect of such Mortgage Pool that would have been allocated to the related Junior Certificates in accordance with Section 4.03 in the absence of the applicable Loss Allocation Limitation since the Cut-off Date, and (y) from the first through the fifth anniversary of the Cut-off Date, an amount equal to (1) the lesser of (a) such Fraud Loss Amount as of the most recent anniversary of the Cut-off Date and (b) 1.00% (from the first anniversary to but excluding the third anniversary of the Cut-off Date) or 0.50% (from the third through the fifth anniversaries of the Cut-off Date), of the aggregate outstanding principal balance of all of the Mortgage Loans in such Mortgage Pool as of the most recent anniversary of the Cut-off Date minus (2) the Fraud Losses in respect of such Mortgage Pool that would have been allocated to the related Junior Certificates in accordance with Section 4.03 in the absence of the applicable Loss Allocation Limitation since the most recent anniversary of the Cut-off Date. After the fifth anniversary of the Cut-off Date the Fraud Loss Amount for each Mortgage Pool shall be zero. Initial Certificate Principal Balance: With respect to any Certificate, other than a Notional Certificate, the Certificate Principal Balance of such Certificate or any predecessor Certificate on the Closing Date. Initial LIBOR Rate: 5.656%, in the case of Pool 1, 5.65%, in the case of Pool 2, and 5.65625%, in the case of Pool 4. Insurance Proceeds: Proceeds paid pursuant to the Primary Insurance Policies, if any, and amounts paid by any insurer pursuant to any other insurance policy covering a Mortgage Loan. Insured Expenses: Expenses covered by the Primary Insurance Policies, if any, or any other insurance policy or policies applicable to the Mortgage Loans. Interest Accrual Period: With respect to any Distribution Date and any Class of Certificates (other than the Class 1-A8, Class 1-A9, Class 2-A4, Class 2-A5 and Class 2-A6 Certificates and any Class of Principal Only Certificates), or Component, the one-month period ending on the last day of the month preceding the month in which such Distribution Date occurs. With respect to any Distribution Date and the Class 1-A8, Class 1-A9, Class 2-A4, Class 2-A5 and Class 2-A6 Certificates, the one-month period beginning on the 25th day of the month preceding the month of such Distribution Date and ending on the 24th day of the month of such Distribution Date. 16 Interest Loss: (i) With respect to any Realized Loss, the excess of accrued and unpaid interest due on the related Mortgage Loan over the amount allocated to interest thereon in accordance with Section 3.08(d), and (ii) with respect to any Debt Service Reduction and any calendar month, the reduction in the amount of interest due on the related Mortgage Loan during such month as a result of the relevant bankruptcy proceeding. The amount of any Interest Loss described in clause (i) of the preceding paragraph will be allocated among the Base Servicing Fee, the Supplemental Servicing Fee and the Certificates of the related Certificate Group in accordance with Section 3.08(d). The amount of any Interest Loss described in clause (ii) of the preceding paragraph will be allocated among the Base Servicing Fee, the Supplemental Servicing Fee and the Certificates of the related Certificate Group in proportion to the amount of interest that would have been allocated to the Base Servicing Fee at the Base Servicing Fee Rate, the Supplemental Servicing Fee at the Supplemental Servicing Fee Rate and interest at the Remittance Rate, respectively, in the absence of the Debt Service Reduction. Interest Settlement Rate: With respect to any Interest Accrual Period, the rate (expressed as a percentage per annum) for one-month U.S. Dollar deposits reported by the BBA at 11:00 a.m. London time on the related LIBOR Determination Date and as it appears on the Designated Telerate Page. Interest Shortfall: With respect to any Distribution Date and each Mortgage Loan that during the related Prepayment Period was the subject of a Voluntary Principal Prepayment, or constitutes a Relief Act Mortgage Loan, an amount determined as follows: (a) partial principal prepayments: one month's interest at the applicable Net Mortgage Rate on the amount of such prepayment; (b) principal prepayments in full received on or after the sixteenth day of the month preceding the month of such Distribution Date (or, in the case of the first Distribution Date, on or after the Cut-off Date) but on or before the last day of the month preceding the month of such Distribution Date, the difference between (i) one month's interest at the applicable Net Mortgage Rate on the Scheduled Principal Balance of such Mortgage Loan immediately prior to such prepayment and (ii) the amount of interest for the calendar month of such prepayment (adjusted to the applicable Net Mortgage Rate) received at the time of such prepayment; (c) principal prepayments in full received by the Company (or of which the Company receives notice, in the case of a Mortgage Loan serviced by a Primary Servicer) on or after the first day but on or before the fifteenth day of the month of such Distribution Date: none; and 17 (d) Relief Act Mortgage Loans: As to any Relief Act Mortgage Loan, the excess of (i) 30 days' interest (or, in the case of a Principal Prepayment in full, interest to the date of prepayment) on the Scheduled Principal Balance thereof (or, in the case of a Principal Prepayment in part, on the amount so prepaid) at the related Net Mortgage Rate over (ii) 30 days' interest (or, in the case of a Principal Prepayment in full, interest to the date of prepayment) on such Scheduled Principal Balance (or, in the case of a Principal Prepayment in part, on the amount so prepaid) at the Net Mortgage Rate required to be paid by the Mortgagor as limited by application of the Relief Act. For purposes of the definitions of Net Interest Shortfall and Supplemental Servicing Fee, the amount of any Interest Shortfall shall be allocated between the Certificates of the related Certificate Group and the Supplemental Servicing Fee in proportion to the amount of interest that would have been allocated to such Certificates (at the Remittance Rate) and the Supplemental Servicing Fee (at the Supplemental Servicing Fee Rate), respectively, in the absence of such Interest Shortfall. Junior Certificate: As to each Certificate Group, any related Class M or Class B Certificate. Junior Optimal Principal Amount: As to any Distribution Date and each Certificate Group, an amount equal to the sum of the following (but in no event greater than the aggregate Certificate Principal Balance of the related Junior Certificates immediately prior to such Distribution Date): (i) the related Junior Percentage of the applicable Non-PO Percentage of the principal portion of each Monthly Payment due on the related Due Date on each Outstanding Mortgage Loan in the related Mortgage Pool as of such Due Date as specified in the amortization schedule at the time applicable thereto (after adjustment for previous Principal Prepayments and the principal portion of Debt Service Reductions in respect of such Mortgage Pool subsequent to the related Bankruptcy Coverage Termination Date but before any adjustment to such amortization schedule by reason of any bankruptcy (other than as aforesaid) or similar proceeding or any moratorium or similar waiver or grace period); (ii) the related Junior Prepayment Percentage of the applicable Non-PO Percentage of all principal prepayments in part in respect of the related Mortgage Pool received during the related Prepayment Period, and 100% of any related Senior Optimal Principal Amount not distributed to the related Senior Certificates on such Distribution Date, together with the related Junior Prepayment Percentage of the applicable Non-PO Percentage of the Scheduled Principal Balance of each Mortgage Loan in the related Mortgage 18 Pool that was the subject of a Voluntary Principal Prepayment in full during the related Prepayment Period; (iii) the excess, if any, of (x) the applicable Non-PO Percentage of the sum of (A) all Net Liquidation Proceeds in respect of the related Mortgage Pool allocable to principal received during the related Prepayment Period (other than in respect of Mortgage Loans described in clause (B)) and (B) the principal balance of each Mortgage Loan in the related Mortgage Pool that was purchased by an insurer from the Trustee during the related Prepayment Period pursuant to the related Primary Insurance Policy, over (y) the amount distributable pursuant to clause (iii) of the definition of Senior Optimal Principal Amount for the related Certificate Group on such Distribution Date; (iv) the related Junior Prepayment Percentage of the applicable Non-PO Percentage of the Scheduled Principal Balance of each Mortgage Loan in the related Mortgage Pool that was purchased on such Distribution Date pursuant to Section 2.02, 2.03(a) or 3.16; and (v) the related Junior Prepayment Percentage of the applicable Non-PO Percentage of the Substitution Amount for any Mortgage Loan in the related Mortgage Pool substituted during the month of such Distribution Date. For purposes of clause (ii) above, a Voluntary Principal Prepayment in full with respect to a Mortgage Loan serviced by a Primary Servicer shall be deemed to have been received when the Company, as servicer, receives notice thereof. After the Class Certificate Principal Balances of the Junior Certificates in a Certificate Group have been reduced to zero, the related Junior Optimal Principal Amount shall be zero. Junior Percentage: As to any Distribution Date and each Certificate Group, the excess of 100% over the related Senior Percentage for such Distribution Date. Junior Prepayment Percentage: As to any Distribution Date and each Certificate Group, the excess of 100% over the related Senior Prepayment Percentage for such Distribution Date, except that (i) after the aggregate Certificate Principal Balance of the related Senior Certificates other than, in the case of the Pool 1 Certificates, the Class 1-PO Certificates, in the case of the Pool 2 Certificates, the Class 2-PO Certificates, in the case of the Pool 3 Certificates, the Class 3-PO Certificates and in the case of the Pool 4 Certificates, the Class 4-PO Certificates, has been reduced to zero, the Junior Prepayment Percentage for such Certificate Group shall be 100%, and (ii) after the related 19 Cross-Over Date, the Junior Prepayment Percentage for such Certificate Group shall be zero. Latest Possible Maturity Date: With respect to the Pool 1 Trust Fund, the Pool 2 Trust Fund and the Pool 4 Trust Fund, July 25, 2030. With respect to the Pool 3 Trust Fund, July 25, 2015. LIBOR: With respect to any Interest Accrual Period, the per annum rate determined, pursuant to Section 5.08, on the basis of the Interest Settlement Rate or as otherwise provided in such Section. LIBOR Certificates: Any Class 1-A8, Class 1-A9, Class 1-A11, Class 1-A12, Class 2-A4, Class 2-A5, Class 2-A6, Class 4-A2 and Class 4-A3 Certificates. LIBOR Determination Date: The second London Banking Day immediately preceding the commencement of each Interest Accrual Period for any LIBOR Certificates. Liquidated Mortgage Loan: Any defaulted Mortgage Loan as to which the Company has determined that all amounts which it expects to recover on behalf of the related Trust Fund from or on account of such Mortgage Loan have been recovered, including any Mortgage Loan with respect to which the Company determines not to foreclose upon the related Mortgaged Property based on its belief that such Mortgaged Property may be contaminated with or affected by hazardous or toxic wastes, materials or substances. Liquidation Expenses: Expenses which are incurred by the Company in connection with the liquidation of any defaulted Mortgage Loan and not recovered by the Company under any Primary Insurance Policy for reasons other than the Company's failure to comply with Section 3.05, such expenses including, without limitation, legal fees and expenses, and, regardless of when incurred, any unreimbursed amount expended by the Company pursuant to Section 3.03 or Section 3.06 respecting the related Mortgage Loan and any related and unreimbursed Property Protection Expenses. Liquidation Proceeds: Cash (other than Insurance Proceeds) received in connection with the liquidation of any defaulted Mortgage Loan whether through judicial foreclosure or otherwise. Loan-to-Value Ratio: With respect to each Mortgage Loan, the original principal amount of such Mortgage Loan, divided by the Original Value of the related Mortgaged Property. London Banking Day: Any day on which banks are open for dealing in foreign currency and exchange in London, England and New York City. Loss Allocation Limitation: As defined in Section 4.03(g). 20 Lower Tier Balance: As to Pool 1 and Pool 2 and each Class of Lower Tier Interests and any Distribution Date, the initial Lower Tier Balance thereof set forth or specified in Section 2.05(a) (plus, in the case of any Class of Lower Tier Interests as to which the Corresponding Class is a Class of Accrual Certificates or an Accrual Component, an amount equal to the Accrual Amount for such Corresponding Class for each previous Distribution Date) less the sum of (i) aggregate amount of principal allocable thereto on previous Distribution Dates pursuant to Section 2.05(a) and (ii) any Realized Losses or Subordinate Certificate Writedown Amount allocated thereto on previous Distribution Dates. Lower Tier Interest: As to Pool 1 and Pool 2, any one of the Classes of regular interests in the related Lower Tier REMIC described as such in Section 2.05(a). Lower Tier Interest Rate: As to Pool 1 and Pool 2 and each Lower Tier Interest, the applicable "Lower Tier Interest Rate," if any, set forth in Section 2.05(a) hereof. Lower Tier REMIC: (a) One of the two separate REMICs comprising the Pool 1 Trust Fund, the assets of which consist of the assets and rights specified in clauses (i) through (viii) and clause (x) of the definition of the term Pool 1 Trust Fund and (b) one of the two separate REMICs comprising the Pool 2 Trust Fund, the assets of which consist of the assets and rights specified in clauses (i) through (vii) and clause (x) of the definition of the term Pool 2 Trust Fund. MLCC: Merrill Lynch Credit Corporation, or its successor in interest. Monthly Advance: With respect to any Distribution Date and each Mortgage Pool, the aggregate of the advances required to be made by the Company pursuant to Section 4.04(a) (or by the Trustee pursuant to Section 4.04(b)) on such Distribution Date in respect of such Mortgage Pool, the amount of any such Monthly Advance being equal to (a) the aggregate of payments of principal and interest (adjusted to the related Remittance Rate) on the Mortgage Loans in such Mortgage Pool that were due on the related Due Date, without regard to any arrangements entered into by the Company with the related Mortgagors pursuant to Section 3.02(a)(ii), and delinquent as of the close of business on the Business Day next preceding the related Determination Date, less (b) the amount of any such payments which the Company or the Trustee, as applicable, in its reasonable judgment believes will not be ultimately recoverable by it either out of late payments by the Mortgagor, Net Liquidation Proceeds, Insurance Proceeds, REO Proceeds or otherwise. With respect to any Mortgage Loan, the portion of any such advance or advances made with respect thereto. Monthly Payment: The scheduled monthly payment on a Mortgage Loan for any month allocable to principal or interest on such Mortgage Loan. Moody's: Moody's Investors Service, Inc., and its successors. 21 Mortgage: The mortgage or deed of trust creating a first lien on a fee simple interest in real property securing a Mortgage Note. Mortgage 100(TM) Loan: A Mortgage Loan identified on Exhibit N hereof that has a Loan-to-Value Ratio at origination in excess of 80.00% and that is secured by Additional Collateral and does not have a Primary Insurance Policy. 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 such documents pursuant to this Agreement. Mortgage Loan Payment Record: With respect to each Mortgage Pool, the record maintained by the Company pursuant to Section 3.02(b). Mortgage Loan Schedule: As of any date of determination, the schedule of Mortgage Loans, identified by Mortgage Pool, included in the applicable Trust Fund. The initial schedule of Mortgage Loans as of the Cut-off Date is attached hereto as Exhibit C. Mortgage Loans: As of any date of determination, each of the mortgage loans identified on the Mortgage Loan Schedule (as amended pursuant to Section 2.03(b)) delivered and assigned to the Trustee pursuant to Section 2.01 or 2.03(b), and not theretofore released from the related Trust Fund by the Trustee. Mortgage Note: With respect to any Mortgage Loan, the note or other evidence of indebtedness (which may consist of a Confirmatory Mortgage Note) evidencing the indebtedness of a Mortgagor under such Mortgage Loan. Mortgage Pool: Any of Pool 1, Pool 2, Pool 3 or Pool 4, as applicable. For purposes hereof, the Pool 1, Pool 2, Pool 3 and Pool 4 Certificates shall relate to Pool 1, Pool 2, Pool 3 and Pool 4, respectively. Mortgage Rate: The per annum rate of interest borne by a Mortgage Loan as set forth in the related Mortgage Note. Mortgaged Property: The underlying real property securing the Mortgage Loan, or with respect to a Cooperative Loan, the related Proprietary Lease and Cooperative Stock. Mortgagor: With respect to any Mortgage Loan, each obligor on the related Mortgage Note. Net Interest Shortfall: With respect to any Distribution Date and any Certificate Group, the excess, if any, of the aggregate Interest Shortfalls allocable to the Certificates of such Certificate Group (as determined in accordance with the definition of 22 Interest Shortfall) for such Distribution Date over any related Compensating Interest Payment for such date. Net Liquidation Proceeds: As to any Liquidated Mortgage Loan, the sum of (i) any Liquidation Proceeds therefor less the related Liquidation Expenses, and (ii) any Insurance Proceeds therefor, other than any such Insurance Proceeds applied to the restoration of the related Mortgaged Property. Net Mortgage Rate: With respect to any Mortgage Loan, the related Mortgage Rate less the applicable Base Servicing Fee Rate. Non-Book-Entry Certificate: Any Certificate other than a Book-Entry Certificate. Non-Credit Loss: Any Fraud Loss, Special Hazard Loss or Deficient Valuation. Non-Discount Mortgage Loan: With respect to Pool 1, Pool 2 and Pool 4, any Mortgage Loan with a Net Mortgage Rate greater than or equal to 6.75% per annum. With respect to Pool 3, any Mortgage Loan with a Net Mortgage Rate greater than or equal to 6.50% per annum. Non-permitted Foreign Holder: As defined in Section 5.02(b). Non-PO Percentage: As to any Discount Mortgage Loan in Pool 1, Pool 2 or Pool 4, a fraction (expressed as a percentage), the numerator of which is the Net Mortgage Rate of such Discount Mortgage Loan and the denominator of which is 6.75%. As to any Discount Mortgage Loan in Pool 3, a fraction (expressed as a percentage), the numerator of which is the Net Mortgage Rate of such Discount Mortgage Loan and the denominator of which is 6.50%. As to any Non-Discount Mortgage Loan, 100%. Non-Primary Residence Loan: Any Mortgage Loan secured by a Mortgaged Property that is (on the basis of representations made by the Mortgagors at origination) a second home or investor-owned property. Nonrecoverable Advance: All or any portion of any Monthly Advance or Monthly Advances previously made by the Company (or the Trustee) which, in the reasonable judgment of the Company (or, as applicable, the Trustee) will not be ultimately recoverable from related Net Liquidation Proceeds, Insurance Proceeds, REO Proceeds or otherwise. The determination by the Company that it has made a Nonrecoverable Advance or that any advance, if made, would constitute a Nonrecoverable Advance, shall be evidenced by an Officer's Certificate of the Company delivered to the Trustee and detailing the reasons for such determination. Non-U.S. Person: As defined in Section 4.02(c). 23 Notional Certificate: Any Class 1-A6 or Class 2-A3 Certificate. Notional Component: None. Notional Component Balance: None. Notional Principal Balance: As to any Distribution Date and the Class 1-A6 Certificates, the sum of (i) 3.703703704% of the Class Certificate Principal Balance of the Class 1-A1 Certificates for such Distribution Date, (ii) 2.222222222% of the Class Certificate Principal Balance of the Class 1-A2 Certificates for such Distribution Date and (iii) 0.740740741% of the Class Certificate Principal Balance of the Class 1-A3 Certificates for such Distribution Date. As to any Distribution Date and the Class 2-A3 Certificates, the sum of (i) 2.2222222222% of the Class Certificate Principal Balance of the Class 2-A1 Certificates for such Distribution Date and (ii) 2.9629629630% of the Class Certificate Principal Balance of the Class 2-A2 Certificates for such Distribution Date. As to any Distribution Date and any Notional Certificate, such Notional Certificate's Percentage Interest of the aggregate Notional Principal Balance of the Notional Certificates of the same Class for such Distribution Date. Officer's Certificate: A certificate signed by the President, a Senior Vice President or a Vice President of the Company and delivered to the Trustee. Opinion of Counsel: A written opinion of counsel, who may be counsel for the Company; provided, however, that any Opinion of Counsel with respect to the interpretation or application of the REMIC Provisions or the status of an account as an Eligible Account shall be the opinion of independent counsel satisfactory to the Trustee. Original Subordinate Principal Balance: As set forth in the definition of Senior Prepayment Percentage. Original Value: The value of the property underlying a Mortgage Loan based, in the case of the purchase of the underlying Mortgaged Property, on the lower of an appraisal satisfactory to the Company or the sales price of such property or, in the case of a refinancing, on an appraisal satisfactory to the Company. Outstanding Mortgage Loan: With respect to any Due Date, a Mortgage Loan which, prior to such Due Date, was not the subject of a Principal Prepayment in full, did not become a Liquidated Mortgage Loan and was not purchased pursuant to Section 2.02, 2.03(a) or 3.16 or replaced pursuant to Section 2.03(b). Outstanding Non-Discount Mortgage Loan: Any Outstanding Mortgage Loan that is a Non-Discount Mortgage Loan. PAC Balance: As to any Distribution Date and any Class of PAC Certificates and any PAC Component, the balance designated as such for such 24 Distribution Date and such Class or Component as set forth in the Principal Balance Schedules. PAC Certificate: Any Class 2-A1 or Class 2-A2 Certificate. PAC Component: None. Parent Power(TM) Loan: A Mortgage Loan identified on Exhibit N hereto that has a Loan-to-Value Ratio at origination in excess of 80.00%, that is supported by Additional Collateral and does not have a Primary Insurance Policy. Pay-out Rate: With respect to any Class of Certificates (other than any Class of Principal Only Certificates) and any Distribution Date, the rate at which interest is distributed on such Class on such Distribution Date and which is equal to a fraction (expressed as an annualized percentage) the numerator of which is the Accrued Certificate Interest for such Class and Distribution Date, and the denominator of which is the Class Certificate Principal Balance (or, in the case of the Notional Certificates, the Notional Principal Balance) of such Class immediately prior to such Distribution Date. Percentage Interest: With respect to any Certificate, the percentage interest in the undivided beneficial ownership interest in the related Trust Fund evidenced by Certificates of the same Class as such Certificate. With respect to any Certificate, the Percentage Interest evidenced thereby shall equal the Initial Certificate Principal Balance (or, in the case of a Notional Certificate, the initial Notional Principal Balance) thereof divided by the aggregate Initial Certificate Principal Balance (or, in the case of a Notional Certificate, the aggregate initial Notional Principal Balance) of all Certificates of the same Class. Permitted Investments: One or more of the following; provided, however, that no such Permitted Investment may mature later than the Business Day preceding the Distribution Date after such investment except as otherwise provided in Section 3.02(e) hereof, provided, further, that such investments qualify as "cash flow investments" as defined in section 860G(a)(6) of the Code: (i) obligations of, or guaranteed as to timely receipt of 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) provided that the unsecured obligations of the party agreeing to repurchase such obligations are at the time rated by each Rating Agency in the highest long-term rating category; (iii) federal funds, certificates of deposit, time deposits and banker's acceptances, of any U.S. depository institution or trust company incorporated under the laws of the United States or any state provided that the debt obligations 25 of such depository institution or trust company at the date of acquisition thereof have been rated by each Rating Agency in the highest long-term rating category; (iv) commercial paper of any corporation incorporated under the laws of the United States or any state thereof which on the date of acquisition has the highest short term rating of each Rating Agency; and (v) other obligations or securities that are acceptable to each Rating Agency as a Permitted Investment hereunder and will not, as evidenced in writing, result in a reduction or withdrawal in the then current rating of the Certificates. Notwithstanding the foregoing, Permitted Investments shall not include "stripped securities" and investments which contractually may return less than the purchase price therefor. Person: Any legal person, including 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. Plan: Any Person which is an employee benefit plan subject to ERISA or a plan subject to section 4975 of the Code. Pledged Asset Loan-to-Value Ratio: With respect to any Pledged Asset Mortgage Loan, (i) the original loan amount less the portion of any required Additional Collateral which is covered by the Surety Bond, divided by (ii) the Original Value of the related Mortgaged Property. Pledged Asset Mortgage Loan: Each Mortgage 100(TM) Loan and Parent Power(TM) Loan purchased from MLCC that is supported by Additional Collateral and identified on Exhibit N hereto. Pledged Asset Mortgage Servicing Agreement: The Pledged Asset Mortgage Servicing Agreement, dated as of July 31, 1997 between MLCC and the Company. PO Percentage: As to any Discount Mortgage Loan in Pool 1, Pool 2 or Pool 4, a fraction (expressed as a percentage), the numerator of which is the excess of 6.75% over the Net Mortgage Rate of such Discount Mortgage Loan and the denominator of which is 6.75%. As to any Discount Mortgage Loan in Pool 3, a fraction (expressed as a percentage), the numerator of which is the excess of 6.50% over the Net Mortgage Rate of such Discount Mortgage Loan and the denominator of which is 6.50%. As to any Non-Discount Mortgage Loan, 0%. PO Principal Distribution Amount: As to any Distribution Date and each Certificate Group, an amount equal to the sum of the applicable PO Percentage of: 26 (i) the related principal portion of each Monthly Payment due on the related Due Date on each Outstanding Mortgage Loan in the related Mortgage Pool as of such Due Date as specified in the amortization schedule at the time applicable thereto (after adjustments for previous Principal Prepayments and the principal portion of Debt Service Reductions, each in respect of such Mortgage Pool, subsequent to the related Bankruptcy Coverage Termination Date but before any adjustment to such amortization schedule by reason of any bankruptcy (except as aforesaid) or similar proceeding or any moratorium or similar waiver or grace period); (ii) all principal prepayments in part in respect of the related Mortgage Pool received during the related Prepayment Period, together with the Scheduled Principal Balance (as reduced by any Deficient Valuation in respect of such Mortgage Pool occurring on or prior to the related Bankruptcy Coverage Termination Date) of each Mortgage Loan in the related Mortgage Pool that was the subject of a Voluntary Principal Prepayment in full during the related Prepayment Period; (iii) the sum of (A) all Net Liquidation Proceeds in respect of the related Mortgage Pool allocable to principal received in respect of each Mortgage Loan in the related Mortgage Pool that became a Liquidated Mortgage Loan during the related Prepayment Period (other than Mortgage Loans described in clause (B)) and (B) the principal balance of each Mortgage Loan in the related Mortgage Pool purchased by an insurer from the Trustee pursuant to the related Primary Insurance Policy, in each case during the related Prepayment Period; (iv) the Scheduled Principal Balance (as reduced by any Deficient Valuation in respect of such Mortgage Pool occurring on or prior to the related Bankruptcy Coverage Termination Date) of each Mortgage Loan in the related Mortgage Pool that was purchased on such Distribution Date pursuant to Section 2.02, 2.03(a) or 3.16; and (v) the Substitution Amount for any Mortgage Loan in the related Mortgage Pool substituted during the month of such Distribution Date; for purposes of this clause (v), the definition of "Substitution Amount" shall be modified to reduce the Scheduled Principal Balance of the Mortgage Loan that is substituted for by any Deficient Valuation in respect of such Mortgage Pool occurring on or prior to the related Bankruptcy Coverage Termination Date. 27 For purposes of clause (ii) above, a Voluntary Principal Prepayment in full with respect to a Mortgage Loan serviced by a Primary Servicer shall be deemed to have been received when the Company, as servicer, receives notice thereof. Pool 1: The aggregate of the Mortgage Loans identified in the Mortgage Loan Schedule as Pool 1 Mortgage Loans. Pool 1 Certificate: Any Pool 1 Senior Certificate or Pool 1 Junior Certificate. Pool 1 Certificate Account: The trust account or accounts in respect of Pool 1 created and maintained with the Trustee pursuant to Section 3.02 and which must be an Eligible Account. Pool 1 Final Distribution Date: The first Distribution Date on which the aggregate Certificate Principal Balance of the Pool 1 Senior Certificates has been reduced to zero. Pool 1 Junior Certificate: Any Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate. Pool 1 Mortgage Loan: A Mortgage Loan identified as a Pool 1 Mortgage Loan in the Mortgage Loan Schedule. Pool 1 PAC Certificates: Any Class 1-A1, Class 1-A2, Class 1-A3, Class 1-A4 or Class 1-A5 Certificate. Pool 1 Scheduled Certificates: Any Class 1-A7, Class 1-A13 and Class 1-A14 Certificate. Pool 1 Senior Certificate: Any Class 1-A1, Class 1-A2, Class 1-A3, Class 1-A4, Class 1-A5, Class 1-A6, Class 1-A7, Class 1-A8, Class 1-A9, Class 1-A10, Class 1-A11, Class 1-A12, Class 1-A13, Class 1-A14, Class 1-R, Class 1-RL or Class 1-PO Certificate. Pool 1 Senior Optional Principal Amount: The Senior Optimal Principal Amount for Pool 1. Pool 1 TAC Certificate: Any Class 1-A8 and 1-A9 Certificate. Pool 1 Trust Fund: The corpus of the trust created by this Agreement evidenced by the Pool 1 Certificates and consisting of: (i) the Pool 1 Mortgage Loans; (ii) all payments on or collections in respect of such Pool 1 Mortgage Loans, except as otherwise described in the first paragraph of Section 2.01 28 including the proceeds from the liquidation of any Additional Collateral for any Pledged Asset Mortgage Loan in Pool 1; (iii) the obligation of the Company to deposit in the Pool 1 Certificate Account the amounts required by Sections 3.02(d), 3.02(e) and 4.04(a) in respect of Pool 1, and the obligation of the Trustee to deposit in the Pool 1 Certificate Account any amount required pursuant to Section 4.04(b) in respect of Pool 1; (iv) the obligation of the Company to purchase or replace any Defective Mortgage Loan in Pool 1 pursuant to Section 2.02 or 2.03; (v) all property acquired by foreclosure or deed in lieu of foreclosure with respect to any REO Mortgage Loan in Pool 1; (vi) the proceeds of the Primary Insurance Policies, if any, and the hazard insurance policies required by Section 3.06, in each case, in respect of the Pool 1 Mortgage Loans, and the Company's interest in the Surety Bond in respect of Pool 1 transferred to the Trustee pursuant to Section 2.01; (vii) the Pool 1 Certificate Account established pursuant to Section 3.02(d); (viii) the Eligible Account or Accounts, if any, established in respect of Pool 1 pursuant to Section 3.02(e); (ix) any collateral funds established to secure the obligations of the Holder of the Class 1-B4 and Class 1-B5 Certificates, respectively, under any agreements entered into between either such holder and the Company pursuant to Section 3.08(e); and (x) all rights of the Company as assignee under any security agreements, pledge agreements or guarantees relating to the Additional Collateral supporting any Pledged Asset Mortgage Loan in Pool 1. Pool Scheduled Principal Balance: With respect to any Distribution Date and each Mortgage Pool, the aggregate Scheduled Principal Balance of all the Mortgage Loans in such Mortgage Pool that were Outstanding Mortgage Loans on the Due Date in the month next preceding the month of such Distribution Date (or, in the case of the first Distribution Date, the Cut-off Date; or, if so specified, such other date). Pool 2: The aggregate of the Mortgage Loans identified in the Mortgage Loan Schedule as Pool 2 Mortgage Loans. Pool 2 Certificate: Any Pool 2 Senior Certificate or Pool 2 Junior Certificate. 29 Pool 2 Certificate Account: The trust account or accounts in respect of Pool 2 created and maintained with the Trustee pursuant to Section 3.02 and which must be an Eligible Account. Pool 2 Group I Final Distribution Date: The first Distribution Date on which the aggregate Certificate Principal Balance of the Pool 2 Group I Senior Certificates has been reduced to zero. Pool 2 Group I Senior Certificate: Any Class 2-A1, Class 2-A2, Class 2-A3, Class 2-A4, Class 2-A5, Class 2-A6, Class 2-A7, Class 2-A8, Class 2-R or Class 2-RL Certificate. Pool 2 Group II Senior Certificate: Any Class 2-A9 Certificate. Pool 2 Junior Certificate: Any Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate. Pool 2 Mortgage Loan: A Mortgage Loan identified as a Pool 2 Mortgage Loan in the Mortgage Loan Schedule. Pool 2 Senior Certificate: Any Class 2-A1, Class 2-A2, Class 2-A3, Class 2-A4, Class 2-A5, Class 2-A6, Class 2-A7, Class 2-A8, Class 2-A9, Class 2-R, Class 2-RL or Class 2-PO Certificate. Pool 2 Senior Optimal Principal Amount: The Senior Optimal Principal Amount for Pool 2. Pool 2 Trust Fund: The corpus of the trust created by this Agreement evidenced by the Pool 2 Certificates and consisting of: (i) the Pool 2 Mortgage Loans; (ii) all payments on or collections in respect of such Pool 2 Mortgage Loans, except as otherwise described in the first paragraph of Section 2.01 including the proceeds from the liquidation of any Additional Collateral for any Pledged Asset Mortgage Loan in Pool 2; (iii) the obligation of the Company to deposit in the Pool 2 Certificate Account the amounts required by Sections 3.02(d), 3.02(e) and 4.04(a) in respect of Pool 2, and the obligation of the Trustee to deposit in the Pool 2 Certificate Account any amount required pursuant to Section 4.04(b) in respect of Pool 2; (iv) the obligation of the Company to purchase or replace any Defective Mortgage Loan in Pool 2 pursuant to Section 2.02 or 2.03; (v) all property acquired by foreclosure or deed in lieu of foreclosure with respect to any REO Mortgage Loan in Pool 2; 30 (vi) the proceeds of the Primary Insurance Policies, if any, and the hazard insurance policies required by Section 3.06, in each case, in respect of the Pool 2 Mortgage Loans, and the Company's interest in the Surety Bond in respect of Pool 2 transferred to the Trustee pursuant to Section 2.01; (vii) the Pool 2 Certificate Account established pursuant to Section 3.02(d); (viii) the Eligible Account or Accounts, if any, established in respect of Pool 2 pursuant to Section 3.02(e); (ix) any collateral funds established to secure the obligations of the Holder of the Class 2-B4 and Class 2-B5 Certificates, respectively, under any agreements entered into between either such holder and the Company pursuant to Section 3.08(e); and (x) all rights of the Company as assignee under any security agreements, pledge agreements or guarantees relating to the Additional Collateral supporting any Pledged Asset Mortgage Loan in Pool 2. Pool 3: The aggregate of the Mortgage Loans identified in the Mortgage Loan Schedule as Pool 3 Mortgage Loans. Pool 3 Certificate: Any Pool 3 Senior Certificate or Pool 3 Junior Certificate. Pool 3 Certificate Account: The trust account or accounts in respect of Pool 3 created and maintained with the Trustee pursuant to Section 3.02 and which must be an Eligible Account. Pool 3 Group I Final Distribution Date: The first Distribution Date on which the aggregate Certificate Principal Balance of the Pool 3 Group I Senior Certificates has been reduced to zero. Pool 3 Group I Senior Certificate: Any Class 3-A1 or Class 3-A2 Certificate. Pool 3 Group II Senior Certificate: Any Class 3-A3 Certificate. Pool 3 Junior Certificate: Any Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate. Pool 3 Mortgage Loan: A Mortgage Loan identified as a Pool 3 Mortgage Loan in the Mortgage Loan Schedule. Pool 3 Senior Certificate: Any Class 3-A1, Class 3-A2, Class 3-A3, Class 3-A4, Class 3-R or Class 3-PO Certificate. 31 Pool 3 Senior Optimal Principal Amount: The Senior Optimal Principal Amount for Pool 3. Pool 3 Trust Fund: The corpus of the trust created by this Agreement evidenced by the Pool 3 Certificates and consisting of: (i) the Pool 3 Mortgage Loans; (ii) all payments on or collections in respect of such Pool 3 Mortgage Loans, except as otherwise described in the first paragraph of Section 2.01 including the proceeds from the liquidation of any Additional Collateral for any Pledged Asset Mortgage Loan in Pool 3; (iii) the obligation of the Company to deposit in the Pool 3 Certificate Account the amounts required by Sections 3.02(d), 3.02(e) and 4.04(a) in respect of Pool 3, and the obligation of the Trustee to deposit in the Pool 3 Certificate Account any amount required pursuant to Section 4.04(b) in respect of Pool 3; (iv) the obligation of the Company to purchase or replace any Defective Mortgage Loan in Pool 3 pursuant to Section 2.02 or 2.03; (v) all property acquired by foreclosure or deed in lieu of foreclosure with respect to any REO Mortgage Loan in Pool 3; (vi) the proceeds of the Primary Insurance Policies, if any, and the hazard insurance policies required by Section 3.06, in each case, in respect of the Pool 3 Mortgage Loans, and the Company's interest in the Surety Bond in respect of Pool 3 transferred to the Trustee pursuant to Section 2.01; (vii) the Pool 3 Certificate Account established pursuant to Section 3.02(d); (viii) the Eligible Account or Accounts, if any, established in respect of Pool 3 pursuant to Section 3.02(e); (ix) any collateral funds established to secure the obligations of the Holder of the Class 3-B4 and Class 3-B5 Certificates, respectively, under any agreements entered into between either such holder and the Company pursuant to Section 3.08(e); and (x) all rights of the Company as assignee under any security agreements, pledge agreements or guarantees relating to the Additional Collateral supporting any Pledged Asset Mortgage Loan in Pool 3. 32 Pool 4: The aggregate of the Mortgage Loans identified in the Mortgage Loan Schedule as Pool 4 Mortgage Loans. Pool 4 Certificate: Any Pool 4 Senior Certificate or Pool 4 Junior Certificate. Pool 4 Certificate Account: The trust account or accounts in respect of Pool 4 created and maintained with the Trustee pursuant to Section 3.02 and which must be an Eligible Account. Pool 4 Group I Final Distribution Date: The first Distribution Date on which the aggregate Certificate Principal Balance of the Pool 4 Group I Senior Certificates has been reduced to zero. Pool 4 Group I Senior Certificate: Any Class 4-A1, Class 4-A2, Class 4-A3, Class 4-A5, Class 4-A6, Class 4-A7, Class 4-A8, Class 4-A9, Class 4-A10, Class 4-A11, Class 4-A12, Class 4-A13 or Class 4-R Certificate. Pool 4 Group II Senior Certificate: Any Class 4-A4 Certificate. Pool 4 Junior Certificate: Any Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate. Pool 4 Mortgage Loan: A Mortgage Loan identified as a Pool 4 Mortgage Loan in the Mortgage Loan Schedule. Pool 4 Senior Certificate: Any Class 4-A1, Class 4-A2, Class 4-A3, Class 4-A4, Class 4-A5, Class 4-A6, Class 4-A7, Class 4-A8, Class 4-A9, Class 4-A10, Class 4-A11, Class 4-A12, Class 4-A13, Class 4-R or Class 4-PO Certificate. Pool 4 Senior Optimal Principal Amount: The Senior Optimal Principal Amount for Pool 4. Pool 4 Trust Fund: The corpus of the trust created by this Agreement evidenced by the Pool 4 Certificates and consisting of: (i) the Pool 4 Mortgage Loans; (ii) all payments on or collections in respect of such Pool 4 Mortgage Loans, except as otherwise described in the first paragraph of Section 2.01 including the proceeds from the liquidation of any Additional Collateral for any Pledged Asset Mortgage Loan in Pool 4; (iii) the obligation of the Company to deposit in the Pool 4 Certificate Account the amounts required by Sections 3.02(d), 3.02(e) and 4.04(a) in respect of Pool 4, and the obligation of the Trustee to deposit in the Pool 4 Certificate Account any amount required pursuant to Section 4.04(b) in respect of Pool 4; 33 (iv) the obligation of the Company to purchase or replace any Defective Mortgage Loan in Pool 4 pursuant to Section 2.02 or 2.03; (v) all property acquired by foreclosure or deed in lieu of foreclosure with respect to any REO Mortgage Loan in Pool 4; (vi) the proceeds of the Primary Insurance Policies, if any, and the hazard insurance policies required by Section 3.06, in each case, in respect of the Pool 4 Mortgage Loans, and the Company's interest in the Surety Bond in respect of Pool 4 transferred to the Trustee pursuant to Section 2.01; (vii) the Pool 4 Certificate Account established pursuant to Section 3.02(d); (viii) the Eligible Account or Accounts, if any, established in respect of Pool 4 pursuant to Section 3.02(e); (ix) any collateral funds established to secure the obligations of the Holder of the Class 4-B4 and Class 4-B5 Certificates, respectively, under any agreements entered into between either such holder and the Company pursuant to Section 3.08(e); and (x) all rights of the Company as assignee under any security agreements, pledge agreements or guarantees relating to the Additional Collateral supporting any Pledged Asset Mortgage Loan in Pool 4. Prepayment Assumption Multiple: With respect to Pool 1, 250% of the Prepayment Assumption. With respect to the Pool 2, Pool 3 and Pool 4, 275% of the Prepayment Assumption. Prepayment Assumption: The assumed fixed schedule of prepayments on a pool of new mortgage loans with such schedule given as a monthly sequence of prepayment rates, expressed as annualized percent values. These values start at 0.2% per year in the first month, increase by 0.2% per year in each succeeding month until month 30, ending at 6.0% per year. At such time, the rate remains constant at 6.0% per year for the balance of the remaining term. Multiples of the Prepayment Assumption are calculated from this prepayment rate series. Prepayment Distribution Trigger: As of any Distribution Date and as to each Class of Class B Certificates, the related Prepayment Distribution Trigger is satisfied if (x) the fraction, expressed as a percentage, the numerator of which is the aggregate Class Certificate Principal Balance of such Class and each Class of the related Certificate Group subordinate thereto, if any, on such Distribution Date, and the denominator of which is the Pool Scheduled Principal Balance for the related Mortgage Pool for such Distribution Date, equals or exceeds (y) such percentage calculated as of the Closing Date. 34 Prepayment Interest Excess: As to any Voluntary Principal Prepayment in full received from the first day through the fifteenth day of any calendar month (other than the calendar month in which the Cut-off Date occurs), all amounts paid in respect of interest on such Principal Prepayment. For purposes of determining the amount of Prepayment Interest Excess for any month, a Voluntary Principal Prepayment in full with respect to a Mortgage Loan serviced by a Primary Servicer shall be deemed to have been received when the Company, as servicer, receives notice thereof. All Prepayment Interest Excess shall be retained by the Company, as servicer, as additional servicing compensation. Prepayment Period: With respect to any Distribution Date and any Voluntary Principal Prepayment in part or other Principal Prepayment other than a Voluntary Principal Prepayment in full, the calendar month preceding the month of such Distribution Date; with respect to any Distribution Date and any Voluntary Principal Prepayment in full, the period beginning on the sixteenth day of the calendar month preceding the month of such Distribution Date (or, in the case of the first Distribution Date, beginning on the Cut-off Date) and ending on the fifteenth day of the month in which such Distribution Date occurs. Primary Insurance Policy: The certificate of private mortgage insurance relating to a particular Mortgage Loan, or an electronic screen print setting forth the information contained in such certificate of private mortgage insurance, including, without limitation, information relating to the name of the mortgage insurance carrier, the certificate number, the loan amount, the property address, the effective date of coverage, the amount of coverage and the expiration date of the policy. Each such policy covers defaults by the Mortgagor, which coverage shall equal the portion of the unpaid principal balance of the related Mortgage Loan that exceeds 75% (or such lesser coverage required or permitted by FNMA or FHLMC) of the Original Value of the underlying Mortgaged Property. Primary Servicer: Any servicer with which the Company has entered into a servicing agreement, as described in Section 3.01(f). Principal Balance Schedules: Any principal balance schedules attached hereto, if applicable, as Exhibit B, setting forth the PAC Balances of any PAC Certificates and PAC Components, the Aggregate Pool 1 PAC Balances of any Pool 1 PAC Certificates, the TAC Balances of any TAC Certificates and TAC Components, the Aggregate Pool 1 TAC Balances for any Pool 1 TAC Certificates, the Scheduled Balances of any Scheduled Certificates and Scheduled Components, the Aggregate Pool 1 Scheduled Balances of any Pool 1 Scheduled Certificates and the Class 1-A13 Scheduled Balances of the Class 1-A13 Certificates. Principal Only Certificate: With respect to Pool 1, any Class 1-PO Certificate. With respect to Pool 2, any Class 2-PO Certificate. With respect to Pool 3, any Class 3-PO Certificate. With respect to Pool 4, any Class 4-PO Certificate. 35 Principal Only Component: None. Principal Prepayment: Any payment or other recovery of principal on a Mortgage Loan (including, for this purpose, any refinancing permitted by Section 3.01 and any REO Proceeds treated as such pursuant to Section 3.08(b)) which is received in advance of its scheduled Due Date and is not accompanied by an amount of interest representing scheduled interest for any month subsequent to the month of prepayment. Private Placement Memorandum: Any of the private placement memoranda dated July 24, 1998 relating to the Restricted Junior Certificates. Prohibited Transaction Exemption: With respect to Pool 1, U.S. Department of Labor Prohibited Transaction Exemption ("PTE") 90-59, 55 Fed. Reg. 36724, September 6, 1990. With respect to Pool 3 and Pool 4, U.S. Department of Labor PTE 89-90, 54 Fed. Reg. 42597, October 17, 1989. With respect to Pool 2, PTE 91-14, 56 Fed. Reg. 7413, February 22, 1991. Property Protection Expenses: With respect to any Mortgage Loan, expenses paid or incurred by or for the account of the Company in accordance with the related Mortgage for (a) real estate property taxes and property repair, replacement, protection and preservation expenses and (b) similar expenses reasonably paid or incurred to preserve or protect the value of such Mortgage to the extent the Company is not reimbursed therefor pursuant to the Primary Insurance Policy, if any, or any other insurance policy with respect thereto. Proprietary Lease: With respect to a Cooperative Loan, the proprietary lease(s) or occupancy agreement with respect to the Cooperative Apartment occupied by the Mortgagor and relating to the related Cooperative Stock, which lease or agreement confers an exclusive right to the holder of such Cooperative Stock to occupy such apartment. Purchase Price: With respect to any Mortgage Loan required or permitted to be purchased hereunder from a Trust Fund, an amount equal to 100% of the unpaid principal balance thereof plus interest thereon at the applicable Mortgage Rate from the date to which interest was last paid to the first day of the month in which such purchase price is to be distributed; provided, however, that if the Company is the servicer hereunder, such purchase price shall be net of unreimbursed Monthly Advances with respect to such Mortgage Loan, and the interest component of the Purchase Price may be computed on the basis of the Remittance Rate for such Mortgage Loan. QIB: A "qualified institutional buyer" as defined in Rule 144A under the Securities Act of 1933, as amended. Rating Agency: Any statistical credit rating agency, or its successor, that rated any of the Certificates at the request of the Company at the time of the initial issuance of the Certificates. If such agency or a successor is no longer in existence, 36 "Rating Agency" shall be such statistical credit rating agency, or other comparable Person, designated by the Company, notice of which designation shall be given to the Trustee. References herein to the two highest long-term rating categories of a Rating Agency shall mean such ratings without any modifiers. As of the date of the initial issuance of the Certificates, the Rating Agencies are Fitch and S&P; except that for purposes of the Pool 1 Junior Certificates, Pool 2 Junior Certificates and Pool 4 Junior Certificates (other than the related Class B5 Certificates), Fitch shall be the sole Rating Agency; and for purposes of the Pool 3 Junior Certificates (other than the Class 3-B5 Certificates), S&P shall be the sole Rating Agency. The Class B5 Certificates shall not be rated. Realized Loss: Any (i) Deficient Valuation or (ii) as to any Liquidated Mortgage Loan, (x) the unpaid principal balance of such Liquidated Mortgage Loan plus accrued and unpaid interest thereon at the Net Mortgage Rate through the last day of the month of such liquidation less (y) the related Liquidation Proceeds and Insurance Proceeds (as reduced by the related Liquidation Expenses). Record Date: The last Business Day of the month immediately preceding the month of the related Distribution Date. Reference Banks: As defined in Section 5.08. Relief Act: The Soldiers' and Sailors' Civil Relief Act of 1940, as amended. Relief Act Mortgage Loan: Any Mortgage Loan as to which the Monthly Payment thereof has been reduced due to the application of the Relief Act. REMIC: A "real estate mortgage investment conduit" within the meaning of section 860D of the Code. REMIC Provisions: Provisions of the federal income tax law relating to real estate mortgage investment conduits, which appear at sections 860A through 860G of Part IV of Subchapter M of Chapter 1 of the Code, and related provisions, and U.S. Department of the Treasury temporary or final regulations promulgated thereunder, as the foregoing may be in effect from time to time, as well as provisions of applicable state laws. Remittance Rate: With respect to any Mortgage Loan, the related Mortgage Rate less the sum of the applicable Base Servicing Fee Rate and the Supplemental Servicing Fee Rate. REO Mortgage Loan: Any Mortgage Loan which is not a Liquidated Mortgage Loan and as to which the related Mortgaged Property is held as part of the related Trust Fund. 37 REO Proceeds: Proceeds, net of any related expenses of the Company, received in respect of any REO Mortgage Loan (including, without limitation, proceeds from the rental of the related Mortgaged Property). Required Surety Payment: With respect to any Pledged Asset Mortgage Loan that becomes a Liquidated Mortgage Loan, the lesser of (i) the principal portion of the Realized Loss with respect to such Mortgage Loan and (ii) the excess, if any, of (a) the amount of Additional Collateral required at origination with respect to such Mortgage Loan which is covered by the Surety Bond over (b) the net proceeds realized by MLCC from the liquidation of the related Additional Collateral. Reserve Fund: None. Reserve Interest Rate: As defined in Section 5.08. Residual Certificate: Any Class 1-R, Class 1-RL, Class 2-R, Class 2-RL, Class 3-R or Class 4-R Certificate. Responsible Officer: When used with respect to the Trustee, any officer or assistant officer assigned to and working in the Corporate Trust Department of the Trustee 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. Restricted Certificate: Any Restricted Junior Certificate or Class PO Certificate. Restricted Junior Certificate: Any Class B3, Class B4 or Class B5 Certificate. S&P: Standard & Poor's Ratings Services, a division of The McGraw-Hill Companies, Inc., and its successors. S&P Formula Amount: As to each Anniversary Determination Date and each Mortgage Pool, the greater of (i) $100,000 and (ii) the product of (x) 0.06% and (y) the Scheduled Principal Balance of each Mortgage Loan remaining in such Mortgage Pool whose original principal balance was 75% or greater of the Original Value thereof. SAIF: The Savings Association Insurance Fund of the FDIC, or its successor in interest. Scheduled Balance: As to any Distribution Date and any Class of Scheduled Certificates or any Scheduled Component, the balance designated as such for such Distribution Date and such Class or Component as set forth in the Principal Balance Schedules. Scheduled Certificates: None. 38 Scheduled Component: None. Scheduled Principal Balance: As to any Mortgage Loan and Distribution Date, the principal balance of such Mortgage Loan as of the Due Date in the month next preceding the month of such Distribution Date (or, if so specified, such other date) as specified in the amortization schedule at the time relating to such Mortgage Loan (before any adjustment to such amortization schedule by reason of any bankruptcy or similar proceeding or any moratorium or similar waiver or grace period) after giving effect to any previous Principal Prepayments, Deficient Valuations incurred subsequent to the related Bankruptcy Coverage Termination Date, adjustments due to the application of the Relief Act and the payment of principal due on such Due Date, irrespective of any delinquency in payment by the related Mortgagor. As to any Mortgage Loan and the Cut-off Date, the "unpaid balance" thereof specified in the initial Mortgage Loan Schedule. Security Agreement: With respect to a Cooperative Loan, the agreement creating a security interest in favor of the originator in the related Cooperative Stock and Proprietary Lease. Senior Certificate: Any Pool 1 Senior Certificate, Pool 2 Senior Certificate, Pool 3 Senior Certificate or Pool 4 Senior Certificate. Senior Certificate Principal Balance: As of any Distribution Date and as to each Certificate Group, an amount equal to the sum of the Certificate Principal Balances of the related Senior Certificates (other than the related Class PO Certificates). Senior Optimal Principal Amount: As to any Distribution Date and each Certificate Group, an amount equal to the sum of: (i) the related Senior Percentage of the applicable Non-PO Percentage of the principal portion of each Monthly Payment due on the related Due Date on each Outstanding Mortgage Loan in the related Mortgage Pool as of such Due Date as specified in the amortization schedule at the time applicable thereto (after adjustments for previous Principal Prepayments and the principal portion of Debt Service Reductions in respect of such Mortgage Pool subsequent to the related Bankruptcy Coverage Termination Date but before any adjustment to such amortization schedule by reason of any bankruptcy (except as aforesaid) or similar proceeding or any moratorium or similar waiver or grace period); (ii) the related Senior Prepayment Percentage of the applicable Non-PO Percentage of all principal prepayments in part in respect of the related Mortgage Pool received during the related Prepayment Period, together with the related Senior Prepayment Percentage of the applicable Non-PO Percentage of the Scheduled Principal Balance of each Mortgage Loan in the related Mortgage Pool 39 which was the subject of a Voluntary Principal Prepayment in full during the related Prepayment Period; (iii) the lesser of (x) the related Senior Percentage of the applicable Non-PO Percentage of the sum of (A) the Scheduled Principal Balance of each Mortgage Loan in the related Mortgage Pool that became a Liquidated Mortgage Loan (other than Mortgage Loans described in clause (B)) during the related Prepayment Period and (B) the Scheduled Principal Balance of each Mortgage Loan in the related Mortgage Pool that was purchased by an insurer from the Trustee during the related Prepayment Period pursuant to the related Primary Insurance Policy, as reduced in each case by the related Senior Percentage of the applicable Non-PO Percentage of the principal portion of any Excess Losses in respect of the related Mortgage Pool (other than Excess Bankruptcy Losses attributable to Debt Service Reductions), and (y) the related Senior Prepayment Percentage of the applicable Non-PO Percentage of the sum of (A) all Net Liquidation Proceeds allocable to principal received in respect of each such Liquidated Mortgage Loan in the related Mortgage Pool (other than Mortgage Loans described in clause (B)) and (B) the principal balance of each such Mortgage Loan in the related Mortgage Pool purchased by an insurer from the Trustee pursuant to the related Primary Insurance Policy, in each case during the related Prepayment Period; (iv) the related Senior Prepayment Percentage of the applicable Non-PO Percentage of the Scheduled Principal Balance of each Mortgage Loan in the related Mortgage Pool which was purchased on such Distribution Date pursuant to Section 2.02, 2.03(a) or 3.16; and (v) the related Senior Prepayment Percentage of the applicable Non-PO Percentage of the Substitution Amount for any Mortgage Loan in the related Mortgage Pool substituted during the month of such Distribution Date. For purposes of clause (ii) above, a Voluntary Principal Prepayment in full with respect to a Mortgage Loan serviced by a Primary Servicer shall be deemed to have been received when the Company, as servicer, receives notice thereof. Senior Percentage: As to any Distribution Date and each Certificate Group, the lesser of (i) 100% and (ii) the percentage (carried to six places rounded up) obtained by dividing the Senior Certificate Principal Balance for such Certificate Group immediately prior to such Distribution Date by an amount equal to the sum of the 40 Certificate Principal Balances of all the Certificates in such Certificate Group other than the related Class PO Certificates, immediately prior to such Distribution Date. Senior Prepayment Percentage: As to each Certificate Group, for any Distribution Date occurring prior to the fifth anniversary of the first Distribution Date, 100%. As to each Certificate Group, for any Distribution Date occurring on or after the fifth anniversary of the first Distribution Date, an amount as follows: (i) for any Distribution Date subsequent to July 2003 to and including the Distribution Date in July 2004, the related Senior Percentage for such Distribution Date plus 70% of the related Junior Percentage for such Distribution Date; (ii) for any Distribution Date subsequent to July 2004 to and including the Distribution Date in July 2005, the related Senior Percentage for such Distribution Date plus 60% of the related Junior Percentage for such Distribution Date; (iii) for any Distribution Date subsequent to July 2005 to and including the Distribution Date in July 2006, the related Senior Percentage for such Distribution Date plus 40% of the related Junior Percentage for such Distribution Date; (iv) for any Distribution Date subsequent to July 2006 to and including the Distribution Date in July 2007, the related Senior Percentage for such Distribution Date plus 20% of the related Junior Percentage for such Distribution Date; and (v) for any Distribution Date thereafter, the related Senior Percentage for such Distribution Date. Notwithstanding the foregoing, if on any Distribution Date the related Senior Percentage exceeds the related Senior Percentage as of the Closing Date, the Senior Prepayment Percentage for such Certificate Group for such Distribution Date will equal 100%. In addition, notwithstanding the foregoing, no reduction of the Senior Prepayment Percentage for a Certificate Group below the level in effect for the most recent prior period as set forth in clauses (i) through (iv) above shall be effective on any Distribution Date unless at least one of the following two tests is satisfied: Test I: If, as of the last day of the month preceding such Distribution Date, (i) the aggregate Scheduled Principal Balance of Mortgage Loans in the related Mortgage Pool is delinquent 60 days or more (including for this purpose any Mortgage Loans in foreclosure and REO Mortgage Loans) as a percentage of the aggregate Class Certificate Principal Balance of the related Junior Certificates 41 as of such date, does not exceed 50%, and (ii) cumulative Realized Losses with respect to the Mortgage Loans in the related Mortgage Pool do not exceed (a) 30% of the aggregate Class Certificate Principal Balance of the related Junior Certificates as of the Closing Date (the "Original Subordinate Principal Balance" for such Certificate Group) if such Distribution Date occurs between and including August 2003 and July 2004, (b) 35% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs between and including August 2004 and July 2005, (c) 40% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs between and including August 2005 and July 2006, (d) 45% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs between and including August 2006 and July 2007 and (e) 50% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs during or after August 2007; or Test II: If, as of the last day of the month preceding such Distribution Date, (i) the aggregate Scheduled Principal Balance of Mortgage Loans in the related Mortgage Pool delinquent 60 days or more (including for this purpose any Mortgage Loans in foreclosure and REO Mortgage Loans) averaged over the last three months, as a percentage of the aggregate Scheduled Principal Balance of Mortgage Loans in the related Mortgage Pool averaged over the last three months, does not exceed 4%, and (ii) cumulative Realized Losses with respect to the Mortgage Loans in the related Mortgage Pool do not exceed (a) 10% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs between and including August 2003 and July 2004, (b) 15% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs between and including August 2004 and July 2005, (c) 20% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs between and including August 2005 and July 2006, (d) 25% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs between and including August 2006 and July 2007, and (e) 30% of the Original Subordinate Principal Balance for such Certificate Group if such Distribution Date occurs during or after August 2007. Servicer's Certificate: A certificate, completed by and executed on behalf of the Company by a Servicing Officer in accordance with Section 4.06, substantially in the form of Exhibit D hereto or in such other form as the Company and the Trustee shall agree. Servicing Fee: As to any Mortgage Loan and Distribution Date, the sum of (a) the Base Servicing Fee and (b) the Supplemental Servicing Fee. Servicing Officer: Any officer of the Company involved in, or responsible for, the administration and servicing of the Mortgage Loans whose name appears on a list 42 of servicing officers attached to an Officer's Certificate furnished to the Trustee by the Company, as such list may from time to time be amended. Single Certificate: A Certificate with an Initial Certificate Principal Balance, or initial Notional Principal Balance, of $1,000 or, in the case of a Class of Certificates issued with an initial Class Certificate Principal Balance or initial Notional Principal Balance of less than $1,000, such lesser amount. Special Hazard Loss: (i) A Realized Loss suffered by a Mortgaged Property on account of direct physical loss, exclusive of (a) any loss covered by a hazard policy or a flood insurance policy required to be maintained in respect of such Mortgaged Property under Section 3.06 and (b) any loss caused by or resulting from: (1) normal wear and tear; (2) conversion or other dishonest act on the part of the Trustee, the Company or any of their agents or employees; or (3) errors in design, faulty workmanship or faulty materials, unless the collapse of the property or a part thereof ensues; or (ii) any Realized Loss suffered by a Trust Fund arising from or related to the presence or suspected presence of hazardous wastes or hazardous substances on a Mortgaged Property unless such loss to a Mortgaged Property is covered by a hazard policy or a flood insurance policy required to be maintained in respect of such Mortgaged Property under Section 3.06. Special Hazard Loss Amount: As of any Distribution Date, an amount equal to $4,475,747, in the case of Pool 1, $3,003,335, in the case of Pool 2, and $1,975,000, in the case of Pool 3 and $2,520,000, in the case of Pool 4, minus, in each case, the sum of (i) the aggregate amount of Special Hazard Losses in respect of such Mortgage Pool that would have been allocated to the related Junior Certificates in accordance with Section 4.03 in the absence of the Loss Allocation Limitation and (ii) the related Adjustment Amount (as defined below) as most recently calculated. On each anniversary of the Cut-off Date, the "Adjustment Amount" for each Mortgage Pool shall be equal to the amount, if any, by which the amount calculated in accordance with the preceding sentence for such Mortgage Pool (without giving effect to the deduction of the related Adjustment Amount for such anniversary) exceeds the lesser of (x) the greater of (A) the product of the Special Hazard Percentage for such Mortgage Pool for such anniversary multiplied by the outstanding principal balance of all the Mortgage Loans in such Mortgage Pool on the Distribution Date immediately preceding such anniversary and (B) twice the outstanding principal balance of the Mortgage Loan in such Mortgage Pool that has the largest outstanding principal balance on the Distribution Date immediately preceding such anniversary, and (y) an amount calculated by the Company and approved by each Rating Agency, which amount shall not be less than $500,000. 43 Special Hazard Percentage: With respect to each Mortgage Pool and as of each anniversary of the Cut-off Date, the greater of (i) 1.00% and (ii) the largest percentage obtained by dividing (x) the aggregate outstanding principal balance (as of the immediately preceding Distribution Date) of the Mortgage Loans in such Mortgage Pool secured by Mortgaged Properties located in a single, five-digit zip code area in the State of California by (y) the outstanding principal balance of all the Mortgage Loans in such Mortgage Pool as of the immediately preceding Distribution Date. Special Hazard Termination Date: With respect to each Mortgage Pool, the Distribution Date upon which the Special Hazard Loss Amount for such Mortgage Pool has been reduced to zero or a negative number (or the related Cross-Over Date, if earlier). Startup Day: As defined in Section 2.05(c). Subordinate Certificates: As to any date of determination and each Certificate Group, first, the related Class B5 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; second, the related Class B4 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; third, the related Class B3 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fourth, the related Class B2 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fifth, the related Class B1 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; and sixth, the related Class M Certificates until the Class Certificate Principal Balance thereof has been reduced to zero. Subordinate Certificate Writedown Amount: As to any Distribution Date, first, in the case of the Pool 1 Certificates, any amount distributed to the Class 1-PO Certificates on such Distribution Date pursuant to Section 4.01(a)(iv), in the case of the Pool 2 Certificates, any amount distributed to the Class 2-PO Certificates on such Distribution Date pursuant to Section 4.01(b)(iv), in the case of the Pool 3 Certificates, any amount distributed to the Class 3-PO Certificates on such Distribution Date pursuant to Section 4.01(c)(iv), and, in the case of the Pool 4 Certificates, any amount distributed to the Class 4-PO Certificates on such Distribution Date pursuant to Section 4.01(d)(iv), and second, after giving effect to the application of the applicable portion of clause first above, the amount by which (i) the sum of the Class Certificate Principal Balances of all the Certificates in the related Certificate Group (after giving effect to the distribution of principal and the application of Realized Losses in reduction of the Certificate Principal Balances of the related Certificates on such Distribution Date) exceeds (ii) the Pool Scheduled Principal Balance of the related Mortgage Pool on the first day of the month of such Distribution Date less any Deficient Valuations occurring in respect of the Mortgage Loans in such Mortgage Pool on or prior to the related Bankruptcy Coverage Termination Date. 44 Substitution Amount: With respect to any Mortgage Loan substituted pursuant to Section 2.03(b), the excess of (x) the Scheduled Principal Balance of the Mortgage Loan that is substituted for, over (y) the Scheduled Principal Balance of the related substitute Mortgage Loan, each balance being determined as of the date of substitution. Supplemental Servicing Fee: As to any Mortgage Loan and Distribution Date, an amount equal to the product of (i) the Scheduled Principal Balance of such Mortgage Loan as of the Due Date in the preceding calendar month and (ii) the Supplemental Servicing Fee Rate for such Mortgage Loan. The Supplemental Servicing Fee for any Distribution Date shall be reduced by its allocable share of Interest Shortfalls (as provided in the definition thereof) and any Interest Losses (in accordance with Section 3.08(d)). Supplemental Servicing Fee Rate: As to any Mortgage Loan and Distribution Date, a fixed rate per annum equal to the excess, if any, of the Net Mortgage Rate thereof over 6.75%, in the case of Pool 1, Pool 2 and Pool 4, and 6.50%, in the case of Pool 3. Surety: Ambac Assurance Corporation, or its successors in interest. Surety Bond: The Limited Purpose Surety Bond (Policy No. AB0039BE), dated February 28, 1996, issued by the Surety for the benefit of certain beneficiaries, including the Trustee for the benefit of the Holders of the Certificates, but only to the extent that such Limited Purpose Surety Bond covers any Pledged Asset Mortgage Loans. TAC Balance: As to any Distribution Date and any Class of TAC Certificates or any TAC Component, the balance designated as such for such Distribution Date and such Class or Component as set forth in the Principal Balance Schedules. TAC Certificate: Any Class 2-A4, Class 2-A5 or Class 2-A6 Certificate. TAC Component: None. Trigger Event: Any one or more of the following: (i) if the Company is not a wholly-owned direct or indirect subsidiary of General Electric Company or if General Electric Capital Corporation shall not own (directly or indirectly) at least two-thirds of the voting shares of the capital stock of the Company, (ii) if the long-term senior unsecured rating of General Electric Capital Corporation is downgraded or withdrawn by Fitch or S&P below their two highest rating categories, (iii) if General Electric Capital Corporation is no longer obligated pursuant to the terms of the support agreement, dated as of October 1, 1990, between General Electric Capital Corporation and the Company, to maintain the Company's net worth or liquidity (as such terms are defined therein) at the levels specified therein, or if such support agreement, including any amendment thereto, has been breached, terminated or otherwise held to be unenforceable and (iv) if such support agreement, including any amendment thereto, is amended or modified. 45 Trust Fund: Either the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund or the Pool 4 Trust Fund, as the case may be. Trustee: The institution executing this Agreement as Trustee, or its successor in interest, or if any successor trustee is appointed as herein provided, then such successor trustee so appointed. Unanticipated Recovery: As defined in Section 4.01(h) herein. Uninsured Cause: Any cause of damage to property subject to a Mortgage such that the complete restoration of the property is not fully reimbursable by the hazard insurance policies required to be maintained pursuant to Section 3.06. Unpaid Class Interest Shortfall: As to any Distribution Date and any Class of Certificates (other than any Class of Principal Only Certificates), the amount, if any, by which the aggregate of the Class Interest Shortfalls for such Class for prior Distribution Dates is in excess of the aggregate amounts distributed on prior Distribution Dates to Holders of such Class of Certificates (or added to the Class Certificate Principal Balance of any Class of Accrual Certificates, or to the Component Principal Balance of any Accrual Component) pursuant to Section 4.01(a)(ii), in the case of the Pool 1 Senior Certificates (other than any Class of Principal Only Certificates), and any Component thereof (other than any Principal Only Component), Section 4.01(a)(vi), in the case of the Class 1-M Certificates, Section 4.01(a)(ix), in the case of the Class 1-B1 Certificates, Section 4.01(a)(xii), in the case of the Class 1-B2 Certificates, Section 4.01(a)(xv), in the case of the Class 1-B3 Certificates, Section 4.01(a)(xviii), in the case of the Class 1-B4 Certificates, Section 4.01(a)(xxi), in the case of the Class 1-B5 Certificates, Section 4.01(b)(ii), in the case of the Pool 2 Senior Certificates and any Component thereof, Section 4.01(b)(vi), in the case of the Class 2-M Certificates, Section 4.01(b)(ix), in the case of the Class 2-B1 Certificates, Section 4.01(b)(xii), in the case of the Class 2-B2 Certificates, Section 4.01(b)(xv), in the case of the Class 2-B3 Certificates, Section 4.01(b)(xviii), in the case of the Class 2-B4 Certificates, Section 4.01(b)(xxi), in the case of the Class 2-B5 Certificates, Section 4.01(c)(ii), in the case of the Pool 3 Senior Certificates and any Component thereof, Section 4.01(c)(vi), in the case of the Class 3-M Certificates, Section 4.01(c)(ix), in the case of the Class 3-B1 Certificates, Section 4.01(c)(xii), in the case of the Class 3-B2 Certificates, Section 4.01(c)(xv), in the case of the Class 3-B3 Certificates, Section 4.01(c)(xviii), in the case of the Class 3-B4 Certificates, Section 4.01(c)(xxi), in the case of the Class 3-B5 Certificates, Section 4.01(d)(ii), in the case of the Pool 4 Senior Certificates and any Component thereof, Section 4.01(d)(vi), in the case of the Class 4-M Certificates, Section 4.01(d)(ix), in the case of the Class 4-B1 Certificates, Section 4.01(d)(xii), in the case of the Class 4-B2 Certificates, Section 4.01(d)(xv), in the case of the Class 4-B3 Certificates, Section 4.01(d)(xviii), in the case of the Class 4-B4 Certificates, and Section 4.01(d)(xxi), in the case of the Class 4-B5 Certificates. 46 Upper Tier REMIC: As applicable, (a) one of the two separate REMICs comprising the Pool 1 Trust Fund, the assets of which consist of the Lower Tier Interests in respect of Pool 1 and (b) one of the two separate REMICs comprising the Pool 2 Trust Fund, the assets of which consist of the Lower Tier Interests in respect of Pool 2. Voluntary Principal Prepayment: With respect to any Distribution Date, any prepayment of principal received from the related Mortgagor on a Mortgage Loan. Voting Rights: The portion of the voting rights of all the Certificates of a Certificate Group that is allocated to any Certificate for purposes of the voting provisions of Section 10.01. At all times during the term of this Agreement, all Voting Rights for the Pool 3 Certificates and the Pool 4 Certificates, respectively, shall be allocated among the related Classes in proportion to their aggregate Class Certificate Principal Balances (and among the Certificates of each such Class in proportion to their Certificate Principal Balances). At all times during the term of this Agreement, all Voting Rights for the Pool 1 Certificates shall be allocated so that the Class 1-A6 Certificates are allocated 1% of such Voting Rights and all other Pool 1 Certificates, in the aggregate, are allocated 99% of such Voting Rights. Voting Rights allocated to the Pool 1 Certificates other than the Class 1-A6 Certificates shall be allocated among such Classes in proportion to their aggregate Class Certificate Principal Balances (and among the Certificates of each such Class in proportion to their Certificate Principal Balances). Voting Rights allocated to the Class 1-A6 Certificates shall be allocated among the Certificates of such Class in proportion to their Notional Principal Balances. At all times during the term of this Agreement, all Voting Rights for the Pool 2 Certificates shall be allocated so that the Class 2-A3 Certificates are allocated 2% of such Voting Rights and all other Pool 2 Certificates, in the aggregate, are allocated 98% of such Voting Rights. Voting Rights allocated to the Pool 2 Certificates other than the Class 2-A3 Certificates shall be allocated among such classes in proportion to their aggregate Class Certificate Principal Balances (and among the Certificates of each such Class in proportion to their Certificate Principal Balances). ARTICLE II. CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES Section 2.01. Conveyance of Mortgage Loans. (a) The Company, concurrently with the execution and delivery of this Agreement, does hereby transfer, assign, set-over and otherwise convey to the Trustee, in respect of the related Trust Fund, without recourse (except as provided herein) all the right, title and interest of the Company in and to the Pool 1 Mortgage Loans (in the case of the Pool 1 Trust Fund), the Pool 2 Mortgage Loans (in the case of the Pool 2 Trust Fund), the Pool 3 Mortgage Loans (in the case of the Pool 3 Trust Fund) and the Pool 4 Mortgage Loans (in the case of the Pool 4 Trust Fund), including all interest and principal received by the Company on or with respect to the related Mortgage Loans (other than 47 payments of principal and interest due and payable on such Mortgage Loans on or before, and all Principal Prepayments received before, the Cut-off Date). In addition, with respect to any Pledged Asset Mortgage Loan, the Company does hereby transfer, assign, set-over and otherwise convey to the Trustee, in respect of the related Trust Fund, without recourse (except as provided herein) (i) its rights as assignee under any security agreements, pledge agreements or guarantees relating to the Additional Collateral supporting any Pledged Asset Mortgage Loan, (ii) its security interest in and to any Additional Collateral, (iii) its right to receive payments in respect of any Pledged Asset Mortgage Loan pursuant to the Pledged Asset Mortgage Servicing Agreement, and (iv) its rights as beneficiary under the Surety Bond in respect of any Pledged Asset Mortgage Loan. (b) In connection with such transfer and assignment, the Company does hereby deliver to the Trustee, in respect of the related Trust Fund, the following documents or instruments with respect to: (1) Each Mortgage Loan (other than any Cooperative Loan or Designated Loan) so transferred and assigned: (i) The Mortgage Note, endorsed without recourse in blank by the Company, and showing an unbroken chain of endorsements from the originator to the Company; provided, however, that if such Mortgage Note is a Confirmatory Mortgage Note, such Confirmatory Mortgage Note may be payable directly to the Company or may show a complete chain of endorsement from the named payee to the Company; (ii) Any assumption and modification agreement; and (iii) An assignment in recordable form (which may be included in a blanket assignment or assignments) of the Mortgage to the Trustee; and (2) Each Cooperative Loan (other than a Designated Loan) so transferred and assigned: (i) The Mortgage Note, endorsed without recourse in blank by the Company, and showing an unbroken chain of endorsements from the originator to the Company; provided, however, that if such Mortgage Note is a Confirmatory Mortgage Note, such Confirmatory Mortgage Note may be payable directly to the Company or may show a complete chain of endorsement from the named payee to the Company; (ii) A counterpart of the Proprietary Lease and the Assignment of Proprietary Lease executed in blank or to the originator of the Cooperative Loan; 48 (iii) The related Cooperative Stock Certificate, together with an undated stock power (or other similar instrument) executed in blank; (iv) A counterpart of the recognition agreement by the Cooperative of the security interests of the mortgagee with respect to the related Cooperative Loan; (v) The Security Agreement; (vi) Copies of the original UCC-1 financing statement, and any continuation statements, filed by the originator of such Cooperative Loan as secured party, each with evidence of recording thereof, evidencing the security interest of the originator in the Cooperative Stock and the Proprietary Lease; (vii) If applicable, copies of the UCC-3 assignments of the security interest described in clause (vi) above, sent to the appropriate public office for filing, showing an unbroken chain of title from the originator to the Company (if applicable), evidencing the security interest of the originator in the Cooperative Stock and the Proprietary Lease; (viii) An executed assignment (which may be a blanket assignment for all Cooperative Loans) of the security interest of the Company in the Security Agreement, Assignment of Proprietary Lease and the recognition agreement described in clause (iv) above, showing an unbroken chain of title from the originator to the Trustee; and (ix) A UCC-3 assignment from the Company to the Trustee of the security interest described in clause (vi) above, in form suitable for filing, otherwise complete except for filing information regarding the original UCC-1 if unavailable (which may be included in a blanket assignment to the Trustee in respect of the related Trust Fund). In instances where a completed assignment of the Mortgage in recordable form cannot be delivered by the Company to the Trustee in accordance with Section 2.01(b)(1)(iii) prior to or concurrently with the execution and delivery of this Agreement, due to a delay in connection with recording of the Mortgage, the Company may, in lieu of delivering the completed assignment in recordable form, deliver to the Trustee the assignment in such form, otherwise complete except for recording information. (3) With respect to each Designated Loan, the Company does hereby deliver to the Trustee the Designated Loan Closing Documents. (c) In connection with each Mortgage Loan transferred and assigned to the Trustee, the Company shall deliver to the Trustee, in respect of the related Trust Fund, the following documents or instruments as promptly as practicable, but in any event within 30 days, 49 after receipt by the Company of all such documents and instruments for all of the outstanding Mortgage Loans: (i) the Mortgage with evidence of recording indicated thereon (other than with respect to a Cooperative Loan); (ii) a copy of the title insurance policy (other than with respect to a Cooperative Loan); (iii) with respect to any Mortgage that has been assigned to the Company, the related recorded intervening assignment or assignments of Mortgage, showing a complete chain of assignment from the originator to the Company (other than with respect to a Cooperative Loan); and (iv) with respect to any Cooperative Loan that has been assigned to the Company, the related filed intervening UCC-3 financing statements (not previously delivered pursuant to Section 2.01(b)(2)(vii)), showing a complete chain of assignment from the named originator to the Company. Pending such delivery, the Company shall retain in its files (a) copies of the documents described in clauses (i) and (iii) of the preceding sentence, without evidence of recording thereon, and (b) title insurance binders with respect to the Mortgage Loans (other than with respect to a Cooperative Loan). The Company shall also retain in its files the Primary Insurance Policies evidencing any primary mortgage insurance relating to the Mortgage Loans during the period when the related insurance is in force. (The copies of the Mortgage, intervening assignments of Mortgage, if any, title insurance binder and the Primary Insurance Policy, if any, described in the two preceding sentences are collectively referred to herein as the "Document File" with respect to each Mortgage Loan.) The Company shall advise the Trustee in writing if such delivery to the Trustee shall not have occurred on or before the first anniversary of the Closing Date. The Company shall promptly furnish to the Trustee the documents included in the Document Files (other than any such documents previously delivered to the Trustee as originals or copies) either (a) upon the written request of the Trustee or (b) when the Company or the Trustee obtains actual notice or knowledge of a Trigger Event. The Trustee shall have no obligation to request delivery of the Document Files unless a Responsible Officer of the Trustee has actual notice or knowledge of the occurrence of a Trigger Event. In the case of Mortgage Loans which have been prepaid in full after the Cut-off Date and prior to the date of execution and delivery of this Agreement, the Company, in lieu of delivering the above documents to the Trustee, herewith delivers to the Trustee a certification of a Servicing Officer of the nature set forth in Section 3.09. (d) The Company shall not be required to record the assignments of the Mortgages referred to in Section 2.01(b)(1)(iii) or file the UCC-3 assignments referred to in Section 2.01(b)(2)(ix) to the Trustee unless the Company or the Trustee obtains actual notice or knowledge of the occurrence of any Trigger Event; provided, however, that such recording or filing shall not be required if the Company delivers to the Trustee a letter from each Rating 50 Agency to the effect that the failure to take such action will not cause such Rating Agency to reduce or withdraw its then current ratings of the Certificates of the related Certificate Group. The party obtaining actual notice or knowledge of any of such events shall give the other party prompt written notice thereof. For purposes of the foregoing (as well as for purposes of determining whether the Company shall be required to deliver the Document Files to the Trustee following the occurrence of a Trigger Event), the Company shall be deemed to have knowledge of any such downgrading referred to in the definition of Trigger Event if, in the exercise of reasonable diligence, the Company has or should have had knowledge thereof. As promptly as practicable subsequent to the Company's delivery or receipt of such written notice, as the case may be, the Company shall insert the recording or filing information in the assignments of the Mortgages or UCC-3 assignments to the Trustee and shall cause the same to be recorded or filed, at the Company's expense, in the appropriate public office for real property records or UCC financing statements, except that the Company need not cause to be so completed and recorded any assignment of Mortgage which relates to a Mortgage Loan secured by property in a jurisdiction under the laws of which, on the basis of an Opinion of Counsel reasonably satisfactory to the Trustee and satisfactory to each Rating Agency (as evidenced in writing), recordation of such assignment is not necessary to protect the Trustee against discharge of such Mortgage Loan by the Company or any valid assertion that any Person other than the Trustee has title to or any rights in such Mortgage Loan. In the event that the Company fails or refuses to record or file the assignment of Mortgages or UCC-3 financing statement in the circumstances provided above, the Trustee shall record or cause to be recorded or filed such assignment or UCC-3 financing statement at the expense of the Company. In connection with any such recording or filing, the Company shall furnish such documents as may be reasonably necessary to accomplish such recording or filing. Notwithstanding the foregoing, at any time the Company may record or file, or cause to be recorded or filed, the assignments of Mortgages or UCC-3 financing statement at the expense of the Company. Section 2.02. Acceptance by Trustee. Subject to the examination hereinafter provided, the Trustee acknowledges receipt by it of the Mortgage Notes, the assignments of the Mortgages to the Trustee, the assumption and modification agreements, if any, the documents specified in Section 2.01(b)(2) (subject to any permitted delayed delivery of the documents described in Section 2.01(c)(iv)), and the Designated Loan Closing Documents, if any, delivered pursuant to Section 2.01, and declares that the Trustee holds and will hold such documents and each other document delivered to it pursuant to Section 2.01 in trust, upon the trusts herein set forth, for the use and benefit of all present and future Certificateholders of the related Certificate Group. The Trustee agrees, for the benefit of the related Certificateholders, to review each Mortgage File within 45 days after (i) the execution and delivery of this Agreement, in the case of the Mortgage Notes, the assignments of the Mortgages to the Trustee, the assumption and modification agreements, if any, the documents specified in Section 2.01(b)(2) (subject to any permitted delayed delivery of the documents described in Section 2.01(c)(iv)), and the Designated Loan Closing Documents, if any, (ii) delivery to the Trustee after the Closing Date of the Mortgage Notes and the assumption and modification agreements, if any, with respect to each Designated Loan, and (iii) delivery of the recorded Mortgages, title insurance policies, recorded intervening assignments of Mortgage, if any, and filed intervening UCC-3 financing statements, if any, with respect to any Cooperative Loan to ascertain that all required documents set forth in Section 2.01 51 have been executed, received and recorded, if applicable, and that such documents relate to the Mortgage Loans identified in Exhibit C hereto. In performing such examination, the Trustee may conclusively assume the due execution and genuineness of any such document and the genuineness of any signature thereon. It is understood that the scope of the Trustee's examination of the Mortgage Files is limited solely to confirming, after receipt of the documents listed in Section 2.01, that such documents have been executed, received and recorded, if applicable, and relate to the Mortgage Loans identified in Exhibit C to this Agreement. If in the course of such review the Trustee finds (1) that any document required to be delivered as aforesaid has not been delivered, or (2) any such document has been mutilated, defaced or physically altered without the borrower's authorization or approval, or (3) based upon its examination of such documents, the information with respect to any Mortgage Loan set forth on Exhibit C is not accurate, the Trustee shall promptly so notify the Company in writing, which shall have a period of 60 days after receipt of such notice to correct or cure any such defect. The Company hereby covenants and agrees that, if any such material defect cannot be corrected or cured, the Company will on a Distribution Date which is not later than the first Distribution Date which is more than ten days after the end of such 60-day period repurchase the related Mortgage Loan from the Trustee at the Purchase Price therefor or replace such Mortgage Loan pursuant to Section 2.03(b); provided, however, that if the defect (or breach pursuant to Section 2.03(a)) is one that, had it been discovered before the Startup Day, would have prevented the Mortgage Loan from being a "qualified mortgage" within the meaning of the REMIC Provisions, such defect or breach shall be cured, or the related Mortgage Loan shall be repurchased or replaced, on a Distribution Date which falls within 90 days of the date of discovery of such defect or breach. The Purchase Price for the repurchased Mortgage Loan, or any amount required in respect of a substitution pursuant to Section 2.03(b), shall be deposited by the Company in the related Certificate Account pursuant to Section 3.02(d) on the Business Day prior to the applicable Distribution Date and, upon receipt by the Trustee of written notification of such deposit signed by a Servicing Officer, the Trustee shall release or cause to be released to the Company the related Mortgage File and shall execute and deliver or cause to be executed and delivered such instruments of transfer or assignment, in each case without recourse, as shall be necessary to vest in the Company any Mortgage Loan released pursuant hereto. It is understood and agreed that the obligation of the Company to repurchase or replace 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 or the Trustee on behalf of Certificateholders. Upon receipt by the Trustee of the Mortgage Note with respect to a Designated Loan that is not defective in accordance with the fifth sentence of the preceding paragraph, the related Lost Note Affidavit delivered pursuant to Section 2.01 shall be void and the Trustee shall return it to the Company. Section 2.03. Representations and Warranties of the Company; Mortgage Loan Repurchase. (a) The Company hereby represents and warrants to the Trustee in respect of the related Mortgage Loans that: 52 (i) The information set forth in Exhibit C hereto was true and correct in all material respects at the date or dates respecting which such information is furnished; (ii) As of the date of the initial issuance of the Certificates, other than with respect to Cooperative Loans, each Mortgage is a valid and enforceable first lien on the property securing the related Mortgage Note subject only to (a) the lien of current real property taxes and assessments, (b) covenants, conditions and restrictions, rights of way, easements and other matters of public record as of the date of recording of such Mortgage, such exceptions appearing of record being acceptable to mortgage lending institutions generally in the area wherein the property subject to the Mortgage is located or specifically reflected in the appraisal obtained in connection with the origination of the related Mortgage Loan obtained by the Company and (c) other matters to which like properties are commonly subject which do not materially interfere with the benefits of the security intended to be provided by such Mortgage; (iii) Immediately prior to the transfer and assignment herein contemplated, the Company had good title to, and was the sole owner of, each Mortgage Loan and all action had been taken to obtain good record title to each related Mortgage. Each Mortgage Loan has been transferred free and clear of any liens, claims and encumbrances; (iv) As of the date of the initial issuance of the Certificates, no payment of principal of or interest on or in respect of any Mortgage Loan is 30 or more days past due and none of the Mortgage Loans have been past due 30 or more days more than once during the preceding 12 months; (v) As of the date of the initial issuance of the Certificates, other than with respect to Cooperative Loans, there is no mechanics' lien or claim for work, labor or material affecting the premises subject to any Mortgage which is or may be a lien prior to, or equal or coordinate with, the lien of such Mortgage except those which are insured against by the title insurance policy referred to in (x) below; (vi) As of the date of the initial issuance of the Certificates, other than with respect to Cooperative Loans, there is no delinquent tax or assessment lien against the property subject to any Mortgage; (vii) As of the date of the initial issuance of the Certificates, there is no valid offset, defense or counterclaim to any Mortgage Note or Mortgage, including the obligation of the Mortgagor to pay the unpaid principal and interest on such Mortgage Note; 53 (viii) As of the date of the initial issuance of the Certificates, the physical property subject to any Mortgage (or in the case of a Cooperative Loan, the related Cooperative Apartment) is free of material damage and is in good repair; (ix) Each Mortgage Loan at the time it was made complied in all material respects with applicable state and federal laws, including, without limitation, usury, equal credit opportunity and disclosure laws; (x) Other than with respect to Cooperative Loans, a lender's title insurance policy or binder, or other assurance of title insurance customary in the relevant jurisdiction therefor was issued on the date of the origination of each Mortgage Loan and each such policy or binder is valid and remains in full force and effect; (xi) One of the Mortgage Loans in Pool 1 (less than 0.5%) and none of the Mortgage Loans in Pool 2, Pool 3 and Pool 4 constitute Pledged Asset Mortgage Loans. The Loan-to-Value-Ratio of each Mortgage Loan was not more than 95%. The one Pledged Asset Mortgage Loan has a Pledged Asset Loan to Value Ratio of 70%. As of the Cut-off Date, no more than 16.25% of the Mortgage Loans in Pool 1, no more than 14% of the Mortgage Loans in Pool 2, no more than 5% of the Mortgage Loans in Pool 3 and no more than 14% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, had Loan-to-Value Ratios of more than 80% and each such Mortgage Loan is covered by a Primary Insurance Policy so long as its then outstanding principal amount exceeds 80% of the greater of (a) the Original Value and (b) the then current value of the related Mortgaged Property as evidenced by an appraisal thereof satisfactory to the Company. Each Primary Insurance Policy is issued by a private mortgage insurer acceptable to FNMA or FHLMC; (xii) Each Mortgage Note is payable on the first day of each month in self-amortizing monthly installments of principal and interest, with interest payable in arrears, over an original term of not more than thirty years in the case of Pool 1, Pool 2 and Pool 4; and fifteen years, in the case of Pool 3. The Mortgage Rate of each Mortgage Note of the related Mortgage Loan was not less than 6.5% per annum and not greater than 8.875% per annum, in the case of Pool 1, was not less than 6.375% per annum and not greater than 8.75% per annum, in the case of Pool 2, was not less than 6% per annum and not greater than 8.5% per annum, in the case of Pool 3, and was not less than 6.5% per annum and not greater than 8.75% per annum, in the case of Pool 4. The Mortgage Rate of each Mortgage Note is fixed for the life of the related Mortgage Loan; 54 (xiii) Other than with respect to Cooperative Loans, the improvements on the Mortgaged Properties are insured against loss under a hazard insurance policy with extended coverage and conforming to the requirements of Section 3.06 hereof. As of the date of initial issuance of the Certificates, all such insurance policies are in full force and effect; (xiv) As of the Cut-off Date, (i) no more than 8.5% of the Mortgage Loans in Pool 1, no more than 8.75% of the Mortgage Loans in Pool 2, no more than 11.50% of the Mortgage Loans in Pool 3, and no more than 8.75% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, had a Scheduled Principal Balance of more than $500,000 and up to and including $750,000; (ii) no more than 1.25% of the Mortgage Loans in Pool 1, no more than 2.00% of the Mortgage Loans in Pool 2, no more than 1.25% of the Mortgage Loans in Pool 3 and no more than 0.75% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, had a Scheduled Principal Balance of more than $750,000 and up to and including $1,000,000; and (iii) no more than 0.50% of the Mortgage Loans in Pool 1, no more than 0.75% of the Mortgage Loans in Pool 2, none of the Mortgage Loans in Pool 3 and no more than 0.75% of the Mortgage Loans in Pool 4, had a Scheduled Principal Balance of more than $1,000,000; (xv) As of the Cut-off Date, no more than 1.25% of the Mortgage Loans in Pool 1, no more than 1.50% of the Mortgage Loans in Pool 2, no more than 1.25% of the Mortgage Loans in Pool 3 and no more than 1.25% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by Mortgaged Properties located in any one postal zip code area; (xvi) As of the Cut-off Date, at least 98.25% of the Mortgage Loans in Pool 1, at least 98% of the Mortgage Loans in Pool 2, at least 96.25% of the Mortgage Loans in Pool 3 and at least 97.50% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by Mortgaged Properties determined by the Company to be the primary residence of the Mortgagor. The basis for such determination is the making of a representation by the Mortgagor at origination that he or she intends to occupy the underlying property; (xvii) As of the Cut-off Date, at least 90.25% of the Mortgage Loans in Pool 1, at least 91.50% of the Mortgage Loans in Pool 2, at least 91.75% of the Mortgage Loans in Pool 3 and at least 93.25% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by one-family detached residences; 55 (xviii) As of the Cut-off Date, no more than 4.75% of the Mortgage Loans in Pool 1, no more than 6.50% of the Mortgage Loans in Pool 2, no more than 5.25% of the Mortgage Loans in Pool 3 and no more than 2.50% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by condominiums and, as of the Cut-off Date, no more than 2.00% of the Mortgage Loans in Pool 1, no more than 1.00% of the Mortgage Loans in Pool 2, no more than 0.75% of the Mortgage Loans in Pool 3 and no more than 0.50% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by two- to four-family residential properties. As to each condominium or related Mortgage Loan, (a) the related condominium is in a project that is on the FNMA or FHLMC approved list, (b) the related condominium is in a project that, upon submission of appropriate application, could be so approved by either FNMA or FHLMC, (c) the related Mortgage Loan meets the requirements for purchase by FNMA or FHLMC, (d) the related Mortgage Loan is of the type that could be approved for purchase by FNMA or FHLMC but for the principal balance of the related Mortgage Loan or the pre-sale requirements or (e) the related Mortgage Loan has been approved by a nationally recognized mortgage pool insurance company for coverage under a mortgage pool insurance policy issued by such insurer. As of the Cut-off Date, no more than 0.50% of the Mortgage Loans in Pool 1, no more than 0.50% of the Mortgage Loans in Pool 2, no more than 0.50% of the Mortgage Loans in Pool 3 and no more than 0.50% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by condominiums located in any one postal zip code area; (xix) Other than with respect to Cooperative Loans, no Mortgage Loan is secured by a leasehold interest in the related Mortgaged Property, and each Mortgagor holds fee title to the related Mortgaged Property; (xx) As of the Cut-off Date, no more than 0.25% of the Mortgage Loans in Pool 1, no more than 0.25% of the Mortgage Loans in Pool 2, none of the Mortgage Loans in Pool 3 and no more than 0.25% of the Mortgage Loans in Pool 4, by Scheduled Principal Balance, constituted Buydown Mortgage Loans. The maximum Buydown Period for any Buydown Mortgage Loan is three years, and the maximum difference between the stated Mortgage Rate of any Buydown Mortgage Loan and the rate paid by the related Mortgagor is three percentage points. Each Buydown Mortgage Loan has been fully funded; (xxi) The original principal balances of the Mortgage Loans in Pool 1 range from $20,000 to $1,400,000, the original principal balances of the Mortgage Loans in Pool 2 range from $60,000 to $1,100,000, the original principal balances of the Mortgage Loans in Pool 3 range from 56 $25,450 to $987,500 and the original principal balances of the Mortgage Loans in Pool 4 range from $54,000 to $1,260,000. (xxii) As of the Cut-off Date, no more than 1.00% of the Mortgage Loans in Pool 1, no more than 1.25% of the Mortgage Loans in Pool 2, no more than 3.25% of the Mortgage Loans in Pool 3 and no more than 1.50% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by second homes, no more than 1.00% of the Mortgage Loans in Pool 1, no more than 0.75% of the Mortgage Loans in Pool 2, no more than 0.50% of the Mortgage Loans in Pool 3 and no more than 1.00% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by investor-owned properties, and, as of the Cut-off Date, no more than 0.25% of the Mortgage Loans in Pool 1, no more than 0.25% of the Mortgage Loans in Pool 2 and no more than 1.00% of the Mortgage Loans in Pool 3 and no more than 0.50% of the Mortgage Loans in Pool 4, in each case by Scheduled Principal Balance, are secured by condominiums that constitute second homes; (xxiii) All appraisals have been prepared substantially in accordance with the description contained under the caption "The Trust Fund -- The Mortgage Loans" in the prospectus dated May 26, 1998, included in the registration statement on Form S-3 (file no. 333-51151) filed by the Company with the Securities and Exchange Commission with respect to the offer and sale of certain Classes of the Certificates; (xxiv) No selection procedures, other than those necessary to comply with the representations and warranties set forth herein or the description of the Mortgage Loans made in any disclosure document delivered to prospective investors in the Certificates, have been utilized in selecting the Mortgage Loans from the Company's portfolio which would be adverse to the interests of the Certificateholders; (xxv) Other than with respect to Cooperative Loans, to the best of the Company's knowledge, at origination no improvement located on or being part of a Mortgaged Property was in violation of any applicable zoning and subdivision laws and ordinances; (xxvi) None of the Mortgage Loans is a temporary construction loan. With respect to any Mortgaged Property which constitutes new construction, the related construction has been completed substantially in accordance with the specifications therefor and any incomplete aspect of such construction shall not be material or interfere with the habitability or legal occupancy of the Mortgaged Property. Mortgage Loan amounts sufficient to effect any such completion are in escrow for release upon or in connection with such completion or a performance bond or completion 57 bond is in place to provide funds for this purpose and such completion shall be accomplished within 120 days after weather conditions permit the commencement thereof; (xxvii) As of the Closing Date, each Mortgage Loan is a "qualified mortgage" as defined in Section 860G(a)(3) of the Code; (xxviii) As of the Closing Date, the Company possesses the Document File with respect to each Mortgage Loan, and, other than with respect to Cooperative Loans, the related Mortgages and intervening assignment or assignments of Mortgages, if any, have been delivered to a title insurance company for recording; (xxix) As of the Cut-Off Date, no more than 0.50% of the Mortgage Loans in Pool 1, none of the Mortgage Loans in Pool 2, none of the Mortgage Loans in Pool 3 and none of the Mortgage Loans in Pool 4, in each case, by Scheduled Principal Balance, are Cooperative Loans. With respect to each Cooperative Loan: (A) The Security Agreement creates a first lien in the stock ownership and leasehold rights associated with the related Cooperative Apartment; (B) The lien created by the related Security Agreement is a valid, enforceable and subsisting first priority security interest in the related Cooperative Stock securing the related Mortgage Note, subject only to (a) liens of the Cooperative for unpaid assessments representing the Mortgagor's pro rata share of the Cooperative's payments for its blanket mortgage, current and future real property taxes, insurance premiums, maintenance fees and other assessments to which like collateral is commonly subject and (b) other matters to which like collateral is commonly subject which do not materially interfere with the benefits of the security intended to be provided by the Security Agreement. There are no liens against or security interest in the Cooperative Stock relating to such Cooperative Loan (except for unpaid maintenance, assessments and other amounts owed to the related Cooperative which individually or in the aggregate do not have a material adverse effect on such Cooperative Loan), which have priority over the Trustee's security interest in such Cooperative Stock; (C) The Cooperative Stock that is pledged as security for the Mortgage Loan is held by a person as a "tenant-stockholder" within the meaning of section 216 of the Code, the related Cooperative that owns title to the related cooperative apartment building is a "cooperative housing corporation" within the meaning of section 216 of the Code, and such Cooperative is in material compliance with applicable federal, state and local laws which, if not complied with, could have a material adverse effect on the Mortgaged Property; and (D) There is no prohibition against pledging the Cooperative Stock or assigning the Proprietary Lease; and 58 (xxx) With respect to each Mortgage Loan identified on Exhibit C as having been originated or acquired under the Company's Enhanced Streamlined Refinance program, the value of the related Mortgaged Property, as of the date of such origination or acquisition under the Company's Enhanced Streamlined Refinance program, is no less than the value thereof established at the time the mortgage loan that is the subject of the refinancing was originated. It is understood and agreed that the representations and warranties set forth in this Section 2.03(a) shall survive delivery of the respective Mortgage Files to the Trustee. Upon discovery by either the Company or the Trustee of a breach of any of the foregoing representations and warranties which materially and adversely affects the interests of the Certificateholders in the related Mortgage Loan, the party discovering such breach shall give prompt written notice to the other. Subject to the following sentence, within 60 days of its discovery or its receipt of notice of breach, or, with the prior written consent of a Responsible Officer of the Trustee, such longer period specified in such consent, the Company shall cure such breach in all material respects or shall repurchase such Mortgage Loan from the Trustee or replace such Mortgage Loan pursuant to Section 2.03(b). Any such repurchase by the Company shall be accomplished in the manner set forth in Section 2.02, subject to the proviso of the third-to-last sentence thereof, and at the Purchase Price. It is understood and agreed that the obligation of the Company to repurchase or replace any Mortgage Loan as to which a breach occurred and is continuing shall constitute the sole remedy respecting such breach available to Certificateholders or the Trustee on behalf of Certificateholders and such obligation of the Company to repurchase or replace any such Mortgage Loan shall not be assumed by any Person which may succeed the Company as servicer hereunder, but shall continue as an obligation of the Company. Notwithstanding the preceding sentence, if a breach of the representation and warranty of the Company contained in Section 2.03(a)(ix) occurs as a result of a violation of the federal Truth in Lending Act, 15 U.S.C. ss. 1601 et seq., as amended ("TILA") or any state truth-in-lending or similar statute, and the Trustee or a Trust Fund is named as a defendant in a TILA suit or a suit under any such statutes in respect of such violation and liability in respect thereof is imposed upon the Trustee or such Trust Fund as assignees of the related Mortgage Loan pursuant to Section 1641 of TILA, or any analogous provision of any such statute; the Company shall indemnify the Trustee and such Trust Fund from, and hold them harmless against, any and all losses, liabilities, damages, claims or expenses (including reasonable attorneys' fees) to which the Trustee and such Trust Fund, or either of them, become subject pursuant to TILA or any such statute, insofar as such losses, damages, claims or expenses (including reasonable attorneys' fees) result from such violation. The Company's obligations under the preceding sentence shall not impair or derogate from the Company's obligations to the Trustee under Section 8.05. (b) If the Company is required to repurchase any Mortgage Loan pursuant to Section 2.02 or 2.03(a), the Company may, at its option, within the applicable time period specified in such respective Sections, remove such Defective Mortgage Loan from the terms of this Agreement and substitute one or more other mortgage loans for such Defective Mortgage Loan, in lieu of repurchasing such Defective Mortgage Loan, provided that no such substitution shall occur more than two years after the Closing Date. Any substitute Mortgage Loan shall 59 (a) have a Scheduled Principal Balance (together with that of any other Mortgage Loan substituted for the same Defective Mortgage Loan) as of the first Distribution Date following the month of substitution not in excess of the Scheduled Principal Balance of the Defective Mortgage Loan as of such date (the amount of any difference, plus one month's interest thereon at the respective Remittance Rate, to be deposited by the Company in the related Certificate Account pursuant to Section 2.02), (b) have a Mortgage Rate not less than, and not more than one percentage point greater than, the Mortgage Rate of the Defective Mortgage Loan, (c) have the same Net Mortgage Rate as the Defective Mortgage Loan, (d) have a remaining term to stated maturity not later than, and not more than one year less than, the remaining term to stated maturity of the Defective Mortgage Loan, (e) be, in the reasonable determination of the Company, of the same type, quality and character as the Defective Mortgage Loan as if the defect or breach had not occurred, (f) have a ratio of its current principal amount to its Original Value not greater than that of the removed Mortgage Loan and (g) be, in the reasonable determination of the Company, in compliance with the representations and warranties contained in Section 2.03(a) as of the date of substitution. The Company shall amend the Mortgage Loan Schedule to reflect the withdrawal of any Defective Mortgage Loan and the substitution of a substitute Mortgage Loan therefor. Upon such amendment the Company shall be deemed to have made as to such substitute Mortgage Loan the representations and warranties set forth in Section 2.03(a) as of the date of such substitution, which shall be continuing as long as any Certificate shall be outstanding or this Agreement has not been terminated, and the remedies for breach of any such representation or warranty shall be as set forth in Section 2.03(a). Upon such amendment, the Trustee shall review the Mortgage File delivered to it relating to the substitute Mortgage Loan, within the time and in the manner and with the remedies specified in Section 2.02, except that for purposes of this Section 2.03(b) (other than the two-year period specified in the first sentence of the preceding paragraph of this Section 2.03(b)), such time shall be measured from the date of the applicable substitution. Section 2.04. Execution of Certificates. The Trustee, as Trustee for each Trust Fund, has caused to be executed, countersigned and delivered to or upon the order of the Company, in exchange for the related Mortgage Loans, the Certificates in authorized denominations evidencing (i) in the case of the Pool 1 Certificates, the entire beneficial ownership of the Pool 1 Trust Fund, (ii) in the case of the Pool 2 Certificates, the entire beneficial ownership of the Pool 2 Trust Fund, (iii) in the case of the Pool 3 Certificates, the entire beneficial ownership of the Pool 3 Trust Fund, and (iv) in the case of the Pool 4 Certificates, the entire beneficial ownership of the Pool 4 Trust Fund. Section 2.05. The REMICs; Designations under the REMIC Provisions. (a) (i) For federal income tax purposes, the Pool 1 Trust Fund shall consist of two REMICs, the related Lower Tier REMIC and the related Upper Tier REMIC. The Pool 1 Certificates, other than the Class 1-RL Certificate, shall be issued by the Upper Tier REMIC in respect of Pool 1, and the Class 1-RL Certificate shall be issued by the Lower Tier REMIC in respect of Pool 1. The Lower Tier REMIC in respect of Pool 1 shall be evidenced by the Class 1-RL Certificate and the regular interests having the characteristics and terms set forth in the following table for Pool 1, which interests (other than the Class 1-RL Certificate) shall be 60 issued by the Lower Tier REMIC in respect of Pool 1 to the Trustee. The Lower Tier Interests in respect of Pool 1 and the proceeds thereof shall be assets of the Upper Tier REMIC in respect of Pool 1. Principal of and interest on the Lower Tier Interests in respect of Pool 1 shall be allocated to the Corresponding Classes of Certificates (or Components) in the manner set forth in the following table, and (ii) for federal income tax purposes, the Pool 2 Trust Fund shall consist of two REMICs, the related Lower Tier REMIC and the related Upper Tier REMIC. The Pool 2 Certificates, other than the Class 2-RL Certificate, shall be issued be issued by the Upper Tier REMIC in respect of Pool 2, and the Class 2-RL Certificate shall be issued by the Lower Tier REMIC in respect of Pool 2. The Lower Tier REMIC in respect of Pool 2 shall be evidenced by the Class 2-RL Certificate and the regular interests having the characteristics and terms set forth in the following table for Pool 2, which interests (other than the Class 2-RL Certificate) shall be issued by the Lower Tier REMIC in respect of Pool 2 to the Trustee. The Lower Tier Interests in respect of Pool 2 and the proceeds thereof shall be assets of the Upper Tier REMIC in respect of Pool 2. Principal of and interest on the Lower Tier Interests in respect of Pool 2 shall be allocated to the Corresponding Classes of Certificates (or Components) in the manner set forth in the following table. 61 Corresponding Class of Certificates(1) ------------------------ Allocation Allocation Lower-Tier Initial Lower Lower-Tier of of Interest Tier Balance Interest Rate Principal Interests -------- ------------ ------------- --------- --------- Pool 1: 1-A1 $53,290,000.00 6.75% 1-A1 (2) 1-A2 39,687,000.00 6.75 1-A2 (2) 1-A3 43,496,000.00 6.75 1-A3 (2) 1-A4 33,220,000.00 6.75 1-A4 1-A4 1-A5 13,974,000.00 6.75 1-A5 1-A5 1-A7 93,271,000.00 6.75 1-A7 1-A7 1-A8 38,202,219.00 (3) 1-A8 1-A8 1-A9 9,904,279.00 (3) 1-A9 1-A9 1-A10 116,705.00 6.75 1-A10 1-A10 1-A11 28,341,750.00 (3) 1-A11 1-A11 1-A12 9,447,250.00 (3) 1-A12 1-A12 1-A13 20,199,000.00 6.75 1-A13 1-A13 1-A14 625,797.00 6.75 1-A14 1-A14 1-PO 859,424.52 0.00 1-PO N/A 1-M 7,412,000.00 6.75 1-M 1-M 1-B1 3,205,500.00 6.75 1-B1 1-B1 1-B2 1,803,000.00 6.75 1-B2 1-B2 1-B3 1,603,000.00 6.75 1-B3 1-B3 1-B4 801,000.00 6.75 1-B4 1-B4 1-B5 1,202,871.10 6.75 1-B5 1-B5 1-R 50.00 6.75 1-R 1-R Pool 2: 2-A1 $42,800,000.00 6.75% 2-A1 (4) 2-A2 23,450,000.00 6.75 2-A2 (4) 2-A4 69,660,000.00 (5) 2-A4 2-A4 2-A5 13,416,000.00 (5) 2-A5 2-A5 2-A6 4,644,000.00 (5) 2-A6 2-A6 2-A7 5,361,000.00 6.75 2-A7 2-A7 2-A8 986,000.00 6.75 2-A8 2-A8 2-A9 31,800,000.00 6.75 2-A9 2-A9 2-PO 114,033.61 0.00 2-PO N/A 2-M 3,703,000.00 6.75 2-M 2-M 2-B1 1,502,000.00 6.75 2-B1 2-B1 2-B2 801,000.00 6.75 2-B2 2-B2 2-B3 801,000.00 6.75 2-B3 2-B3 62 Corresponding Class of Certificates(1) ------------------------ Allocation Allocation Lower-Tier Initial Lower Lower-Tier of of Interest Tier Balance Interest Rate Principal Interests -------- ------------ ------------- --------- --------- 2-B4 401,000.00 6.75 2-B4 2-B4 2-B5 801,080.75 6.75 2-B5 2-B5 2-R 100.00 6.75 2-R 2-R - ------------------- (1) Unless otherwise indicated, the amount of interest and principal allocable from a Lower Tier Interest to its Corresponding Class or Classes of Certificates on any Distribution Date shall be 100%. (2) On each Distribution Date, interest accrued on each of Lower Tier Interest 1-A1, 1-A2 and 1-A3 for the applicable Interest Accrual Period shall be allocated as follows: (x) an amount equal to the Accrued Certificate Interest on the Class of Certificates with the corresponding designation to each such Lower Tier Interest shall be allocated to such Class; and (y) the excess of each such amount shall be allocated to the Class 1-A6 Certificates. (3) Lower Tier Interests 1-A8, 1-A9, 1-A11 and 1-A12 shall each bear interest at the Certificate Interest Rate of their respective Corresponding Class of Certificates. (4) On each Distribution Date, interest accrued on each of Lower Tier Interests 2-A1 and 2-A2 for the applicable Interest Accrual Period shall be allocated as follows: (x) an amount equal to the Accrued Certificate Interest on the Class of Certificates with the corresponding designation to each such Lower Tier Interest shall be allocated to such Class; and (y) the excess of each such amount shall be allocated to the Class 2-A3 Certificates. (5) Lower Tier Interests 2-A4, 2-A5 and 2-A6 shall each bear interest at the Certificate Interest Rate of their respective Corresponding Class of Certificates. (i) The Lower Tier Interests shall be issued as non-certificated interests. The Class 1-RL and Class 2-RL Certificates shall be issued in fully registered certificated form and shall be executed and countersigned as provided in Section 5.01 hereof. (ii) For purposes of further identifying the terms of the Lower Tier Interests, distributions of principal and interest on each Class of Lower Tier Interests shall be considered to correspond, in timing and aggregate amount, to the distributions of principal and interest, respectively, made under Section 4.01 on the Corresponding Classes of Certificates or Components, and allocations of losses on each Class of Lower Tier Interests shall be considered to correspond, in timing and aggregate amount, to the allocations of losses made under Section 4.03 on the Corresponding Classes of Certificates or Components. (iii) (A) On each Distribution Date, in addition to amounts otherwise distributable thereon pursuant to Section 4.01, the Trustee shall distribute to the holder of the Class 1-RL Certificates any amounts (other than the amounts described in clauses (x) and (y) of the definition of Available Funds for Pool 1) remaining in the Lower Tier REMIC in 63 respect to Pool 1 after all amounts required to be applied pursuant to Section 2.05(a)(ii) have been so applied. Any distributions pursuant to this clause (a)(iii)(A) shall not reduce the Class Certificate Principal Balance of the Class 1-RL Certificate, and (B) on each Distribution Date, in addition to amounts otherwise distributable thereon pursuant to Section 4.01, the Trustee shall distribute to the holder of the Class 2-RL Certificate any amounts (other than the amounts described in clauses (x) and (y) of the definition of Available Funds for Pool 2) remaining in the Lower Tier REMIC in respect of Pool 2 after all amounts required to be applied pursuant to Section 2.05(a)(ii) have been so applied. Any distributions pursuant to this clause (a)(iii)(B) shall not reduce the Class Certificate Principal Balance of the Class 2-RL Certificate. (b) (i) The Company hereby designates the Lower Tier Interests in respect of Pool 1 identified in Section 2.05(a) above as "regular interests," and the Class 1-RL Certificate as the single class of "residual interests," in the Lower Tier REMIC in respect of Pool 1 for purposes of the REMIC Provisions. The Company hereby designates the Classes of Pool 1 Certificates identified in Section 5.01(b), other than the related Residual Certificates, as "regular interests," and the Class 1-R Certificate as the single class of "residual interests," in the Upper Tier REMIC in respect of Pool 1 for purposes of the REMIC Provisions. (ii) The Company hereby designates the Lower Tier Interests in respect of Pool 2 identified in Section 2.05(a) above as "regular interests," and the Class 2-RL Certificate as the single class of "residual interests," in the Lower Tier REMIC in respect of Pool 2 for purposes of the REMIC Provisions. The Company hereby designates the Classes of Pool 2 Certificates identified in Section 5.01(b), other than the related Residual Certificates, as "regular interests," and the Class 2-R Certificate as the single class of "residual interests," in the Upper Tier REMIC in respect of Pool 2 for purposes of the REMIC Provisions. (iii) The Company hereby designates the Pool 3 Certificates, other than the Class 3-R Certificates, as "regular interests," and the Class 3-R Certificates as the single class of "residual interests," in the REMIC for the Pool 3 Trust Fund established hereunder for REMIC purposes. (iv) The Company hereby designates the Pool 4 Certificates, other than the Class 4-R Certificates, as "regular interests," and the Class 4-R Certificates as the single class of "residual interests," in the REMIC for the Pool 4 Trust Fund established hereunder for REMIC purposes. (c) The Closing Date will be the "Startup Day" for each REMIC established hereunder for purposes of the REMIC Provisions. (d) The "tax matters person" with respect to each REMIC established hereunder for purposes of the REMIC Provisions shall be (i) the Company, if the Company is the owner of a related Residual Certificate, or (ii) in any other case, the beneficial owner of the related 64 Residual Certificate having the largest Percentage Interest of such Class; provided, however, that such largest beneficial owner and, to the extent relevant, each other holder of a related Residual Certificate, by its acceptance thereof irrevocably appoints the Company as its agent and attorney-in-fact to act as "tax matters person" with respect to each REMIC established hereunder for purposes of the REMIC Provisions. (e) The "latest possible maturity date" of the regular interests in each REMIC established hereunder is the related Latest Possible Maturity Date for purposes of section 860G(a)(1) of the Code. (f) In no event shall the assets described in clause (x) of the definition of the term Pool 1 Trust Fund, Pool 2 Trust Fund, Pool 3 Trust Fund or Pool 4 Trust Fund constitute a part of the related REMICs established hereunder. (g) In the event that the Servicing Fee exceeds the amount reasonable for such services (within the meaning of Treasury Regulation 1.860D-1(b)(1)(ii)), the portion or portions of such fee that can be measured as a fixed number of basis points on some or all of the Mortgage Loans and can be treated as one or more stripped coupons within the meaning of Treasury Regulation 1.860D-1(b)(2)(iii) shall be treated as such stripped coupons and shall not be treated as an asset of the related REMIC. Section 2.06. Trust Funds Separate. It is the intention of the Company and the Trustee that (i) the Trust Funds established under this Agreement shall be separate and distinct for all purposes, (ii) all revenues and, except as provided below, expenses relating to the Mortgage Loans or this Agreement shall be allocated exclusively to the Trust Fund to which they relate, and (iii) the holders of the Pool 1 Certificates, Pool 2 Certificates, Pool 3 Certificates and Pool 4 Certificates shall have interests exclusively in the Pool 1 Trust Fund, Pool 2 Trust Fund, Pool 3 Trust Fund and Pool 4 Trust Fund, respectively. In the event that the Company or the Trustee, as the case may be, cannot reasonably allocate any expenses relating to the Mortgage Loans or this Agreement to a particular Trust Fund, it shall allocate such expenses among the four Trust Funds created hereunder in such manner as it deems fair and reasonable under the circumstances, which determination shall be conclusive and binding. ARTICLE III. ADMINISTRATION AND SERVICING OF MORTGAGE LOANS Section 3.01. Company to Act as Servicer. (a) It is intended that each REMIC established hereunder shall constitute, and that the affairs of each such REMIC shall be conducted so as to qualify (in each case, other than any collateral fund established under the agreement referred to in Section 3.08(e)) as, a "real estate mortgage investment conduit" as defined in and in accordance with the REMIC Provisions. In furtherance of such intention, the Company covenants and agrees that it shall act as agent (and the Company is hereby appointed to act as agent) on behalf of each of the Upper Tier and Lower Tier REMIC in respect of Pool 1, in the case of Pool 1, each of the Upper Tier and Lower Tier REMIC in 65 respect of Pool 2, in the case of Pool 2, the Pool 3 Trust Fund, in the case of Pool 3, and the Pool 4 Trust Fund, in the case of Pool 4, and the respective Holders of the related Residual Certificates and that in such capacity it shall: (i) prepare and file, or cause to be prepared and filed, in a timely manner, a U.S. Real Estate Mortgage Investment Conduit Income Tax Return (Form 1066) and prepare and file or cause to be prepared and filed with the Internal Revenue Service and applicable state or local tax authorities income tax or information returns for each taxable year with respect to each REMIC established hereunder, using the calendar year as the taxable year and the accrual method of accounting, containing such information and at the times and in the manner as may be required by the Code or state or local tax laws, regulations, or rules, and shall furnish or cause to be furnished to Certificateholders the schedules, statements or information at such times and in such manner as may be required thereby; (ii) within thirty days of the Closing Date, shall furnish or cause to be furnished to the Internal Revenue Service, on Form 8811 or as otherwise may be required by the Code, the name, title, address, and telephone number of the person that the holders of the Certificates may contact for tax information relating thereto (and the Company shall act as the representative of each REMIC established hereunder for this purpose), together with such additional information as may be required by such Form, and shall update such information at the time or times and in the manner required by the Code; (iii) make or cause to be made an election, on behalf of each REMIC established hereunder, to be treated as a REMIC, and make the appropriate designations, if applicable, in accordance with Section 2.05(b) hereof on the federal tax return of each Trust Fund for its first taxable year (and, if necessary, under applicable state law); (iv) prepare and forward, or cause to be prepared and forwarded, to the Certificateholders and to the Internal Revenue Service and, if necessary, state tax authorities, all information returns or reports, or furnish or cause to be furnished by telephone, mail, publication or other appropriate method such information, as and when required to be provided to them in accordance with the REMIC Provisions, including without limitation, the calculation of any original issue discount using the applicable Prepayment Assumption Multiple; (v) provide information necessary for the computation of tax imposed on the transfer of a Residual Certificate to a Disqualified Organization, or an agent (including a broker, nominee or other middleman) of a Disqualified Organization, or a pass-through entity in which a Disqualified Organization is the record holder of an interest (the reasonable cost of computing and furnishing such information may be charged to the Person liable for such tax); 66 (vi) use its best reasonable efforts to conduct the affairs of each REMIC established hereunder at all times that any related Certificates are outstanding so as to maintain the status thereof as a REMIC under the REMIC Provisions; (vii) not knowingly or intentionally take any action or omit to take any action that would cause the termination of the REMIC status of either REMIC or that would subject either Trust Fund to tax; (viii) with respect to Pool 1 and Pool 2, exercise reasonable care not to allow the creation of any "interests" (A) in the related Upper Tier REMIC within the meaning of section 860D(a)(2) of the Code in addition to the interests represented by the Classes of Certificates identified in Section 5.01(b) other than the Class 1-RL and Class 2-RL Certificates, respectively, and (B) in the related Lower Tier REMIC within the meaning of Section 860D(a)(2) of the Code in addition to the interests represented by the related Lower Tier Interests identified in Section 2.05(a) and the Class 1-RL and Class 2-RL Certificates, respectively; (ix) with respect to Pool 3 and Pool 4, exercise reasonable care not to allow the creation of any "interests" in the related REMIC constituted by the Pool 3 Trust Fund and the Pool 4 Trust Fund, respectively, within the meaning of section 860D(a)(2) of the Code other than the interests represented by the Classes of Certificates identified in Section 5.01(b); (x) exercise reasonable care not to allow the occurrence of any "prohibited transactions" within the meaning of section 860F of the Code, unless the Company shall have provided an Opinion of Counsel to the Trustee that such occurrence would not (a) result in a taxable gain, (b) otherwise subject any Trust Fund to tax, or (c) cause any REMIC established hereunder to fail to qualify as a REMIC; (xi) exercise reasonable care not to allow any Trust Fund to receive income from the performance of services or from assets not permitted under the REMIC Provisions to be held by a REMIC; (xii) pay the amount of any federal or state tax, including prohibited transaction taxes, taxes on certain contributions to each REMIC after the Startup Day, and taxes on net income from foreclosure property, imposed on each Trust Fund when and as the same shall be due and payable (but such obligation shall not prevent the Company or any other appropriate Person from contesting any such tax in appropriate proceedings and shall not prevent the Company from withholding payment of such tax, if permitted by law, pending the outcome of such proceedings); (xiii) ensure that federal, state or local income tax or information returns shall be signed by the Trustee or such other person as may be required to sign such returns by the Code or state or local laws, regulations or rules; and 67 (xiv) maintain such records relating to each REMIC established hereunder, including but not limited to the income, expenses, individual Mortgage Loans (including Mortgaged Property), other assets and liabilities thereof, and the fair market value and adjusted basis of the property of each determined at such intervals as may be required by the Code, as may be necessary to prepare the foregoing returns, schedules, statements or information. The Company shall be entitled to be reimbursed pursuant to Section 3.04 for any federal income taxes paid by it pursuant to clause (xi) of the preceding sentence, except to the extent that such taxes are imposed as a result of the bad faith, misfeasance or negligence of the Company in the performance of its obligations hereunder. With respect to any reimbursement of prohibited transaction taxes, the Company shall inform the Trustee of the circumstances under which such taxes were incurred. (b) The Company shall service and administer the Mortgage Loans and shall have full power and authority, acting alone or through one or more Primary Servicers, to do any and all things in connection with such servicing and administration which it may deem necessary or desirable. Without limiting the generality of the foregoing, the Company shall continue, and is hereby authorized and empowered by the Trustee, to execute and deliver, or file, as appropriate, on behalf of itself, the related Certificateholders and the Trustee or any of them, any and all continuation statements, termination statements, instruments of satisfaction or cancellation, or of partial or full release or discharge and all other comparable instruments, with respect to the Mortgage Loans and with respect to the properties subject to the Mortgages. Without limitation of the foregoing, if the Company in its individual capacity agrees to refinance any Mortgage Loan upon the request of the related Mortgagor, the Company, as servicer hereunder, may execute an instrument of assignment in customary form to the Company in its individual capacity. In connection with any such refinancing, the Trustee shall, upon certification of a Servicing Officer to the effect that an amount equal to the principal balance of the related Mortgage Loan together with accrued and unpaid interest thereon at the applicable Remittance Rate to the date of such certification has been credited to the applicable Mortgage Loan Payment Record, release the related Mortgage File to the Company whereupon the Company may cancel the related Mortgage Note. Upon request by the Company after the execution and delivery of this Agreement, the Trustee shall furnish the Company with any powers of attorney and other documents necessary or appropriate to enable the Company to carry out its servicing and administrative duties hereunder. Except as otherwise provided herein, the Company shall maintain servicing standards substantially equivalent to those required for approval by FNMA or FHLMC. The Company shall not agree to any modification of the material terms of any Mortgage Loan except as provided in the second sentence of Section 3.02(a) and in Section 3.07. The Company shall not release any portion of any Mortgaged Property from the lien of the related Mortgage unless the related Mortgage Loan would be a "qualified mortgage" within the meaning of the REMIC Provisions following such release. (c) [Intentionally Omitted] 68 (d) The relationship of the Company (and of any successor to the Company as 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. (e) All costs incurred by the Company in effecting the timely payment of taxes and assessments on the properties subject to the Mortgage Loans shall not, for the purpose of calculating monthly distributions to Certificateholders, be added to the amount owing under the related Mortgage Loans, notwithstanding that the terms of such Mortgage Loans so permit, and such costs shall be recoverable by the Company to the extent permitted by Section 3.04. The Company shall collect such amounts from the Mortgagor and shall credit the applicable Mortgage Loan Payment Record accordingly. (f) If the Company enters into a servicing agreement with any servicer (a "Primary Servicer") pursuant to which such Primary Servicer shall directly service certain Mortgage Loans and the Company shall perform master servicing with respect thereto, the Company shall not be released from its obligations to the Trustee and Certificateholders with respect to the servicing and administration of the Mortgage Loans in accordance with the provisions of Article III hereof and such obligations shall not be diminished by virtue of any such servicing agreement or arrangement and the Company shall be obligated to the same extent and under the same terms and conditions as if the Company alone were servicing and administering the Mortgage Loans. Any amounts received by a Primary Servicer in respect of a Mortgage Loan shall be deemed to have been received by the Company whether or not actually received by it. Any servicing agreement that may be entered into and any transactions or services relating to the Mortgage Loans involving a Primary Servicer in its capacity as such shall be deemed to be between the Company and the Primary Servicer alone, and the Trustee and the Certificateholders shall have no claims, obligations, duties or liabilities with respect thereto. Notwithstanding the foregoing, in the event the Company has been removed as the servicer hereunder pursuant to Section 6.04 or Section 7.01, the Trustee or any successor servicer appointed pursuant to Section 7.02 shall succeed to all of the Company's rights and interests (but not to any obligations or liabilities of the Company arising prior to the date of succession) under any servicing agreement with any Primary Servicer in respect of the Mortgage Loans, subject to the limitation on the Trustee's responsibilities under Section 7.02. (g) In no event shall any collateral fund established under the agreement referred to in Section 3.08(e) constitute an asset of any REMIC established hereunder. Section 3.02. Collection of Certain Mortgage Loan Payments; Mortgage Loan Payment Records; Certificate Accounts. (a) The Company 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, follow such collection procedures as it follows with respect to mortgage loans comparable to the Mortgage Loans in its servicing portfolio. Consistent with the foregoing, the Company may in its discretion (i) waive any late payment charge or any assumption fees or other fees which may be collected in the ordinary course of servicing such Mortgage Loan and (ii) if a default on the Mortgage Loan has occurred or is reasonably foreseeable, arrange at any time prior 69 to foreclosure with a Mortgagor a schedule for the payment of due and unpaid principal and interest for a period extending up to two years after the date that such schedule is arranged. Any arrangement of the sort described in clause (ii) above shall not affect the amount or timing of the Company's obligation to make Monthly Advances with respect to any Mortgage Loan which Monthly Advances shall be made pursuant to the original amortization schedule applicable to such Mortgage Loan. (b) The Company shall establish and maintain a Mortgage Loan Payment Record for each Mortgage Pool in which the following payments on and collections in respect of each Mortgage Loan in such Mortgage Pool shall as promptly as practicable be credited by the Company for the account of the Holders of the related Certificates: (i) All payments on account of principal, including Principal Prepayments (other than (A) payments of principal due and payable on the Mortgage Loans on or before, and all Principal Prepayments received before, the Cut-off Date, (B) in the case of a substitute Mortgage Loan, payments of principal due and payable on such Mortgage Loan on or before the Determination Date in the month of substitution, and all Principal Prepayments received before the first day of the month of substitution, and (C) in the case of a replaced Mortgage Loan, payments of principal due and payable on such Mortgage Loan after the Determination Date in the month of substitution, and all Principal Prepayments received in the month of substitution); (ii) All payments (other than (A) those due and payable on or before the Cut-off Date, (B) in the case of a substitute Mortgage Loan, those due and payable on such Mortgage Loan on or before the Determination Date in the month of substitution, and (C) in the case of a replaced Mortgage Loan, those due and payable on such Mortgage Loan after the Determination Date in the month of substitution) on account of interest at the applicable Remittance Rate on the Mortgage Loan received from the related Mortgagor, including any Buydown Funds applied with respect to interest at the applicable Remittance Rate on any Buydown Mortgage Loan; (iii) All Liquidation Proceeds received by the Company with respect to such Mortgage Loan and the Purchase Price for any Mortgage Loan purchased by the Company pursuant to Sections 2.02, 2.03 and 3.16 (including any amounts received in respect of a substitution of a Mortgage Loan); (iv) All Insurance Proceeds (including, for this purpose, any amounts required to be credited by the Company pursuant to the last sentence of Section 3.06) received by the Company in respect of the related Mortgage Pool for the benefit of the related Trust Fund, other than proceeds to be applied to the restoration or repair of the property subject to the related Mortgage or released, or to be released, to the related Mortgagor in accordance with the normal servicing procedures of the Company; 70 (v) All REO Proceeds; (vi) All Unanticipated Recoveries; and (vii) All amounts received by the Company with respect to any Pledged Asset Mortgage Loan pursuant to the liquidation of any Additional Collateral or pursuant to any recovery under the Surety Bond in accordance with Section 4.09. The foregoing requirements respecting credits to each Mortgage Loan Payment Record are exclusive, it being understood that, without limiting the generality of the foregoing, the Company need not enter in either Mortgage Loan Payment Record collections, Liquidation Proceeds or Insurance Proceeds in respect of Mortgage Loans which have been previously released from the terms of this Agreement, amounts representing fees or late charge penalties payable by Mortgagors, or amounts received by the Company for the account of Mortgagors for application towards the payment of taxes, insurance premiums, assessments and similar items. (c) Subject to subsection (e) below, until the Business Day prior to each Distribution Date on which amounts are required to be transferred to the related Certificate Account pursuant to subsection (d) of this Section 3.02, the Company may retain and commingle such amounts with its own funds and shall be entitled to retain for its own account any gain or investment income thereon, and any such investment income shall not be subject to any claim of the Trustee or Certificateholders. To the extent that the Company realizes any net loss on any such investments, the Company shall deposit in the related Certificate Account an amount equal to such net loss at the time the Company is required to deposit amounts in such Certificate Account pursuant to subsection (d) of this section 3.02. Any such deposit shall not increase the Company's obligation under said subsection (d). (d) The Trustee shall establish and maintain with the Trustee in its corporate trust department a single separate trust account for each Mortgage Pool designated in the name of the Trustee for the benefit of the Holders of the related Certificates issued hereunder (each, a "Certificate Account") into which the Company shall transfer, not later than 11:00 a.m. New York time on the Business Day prior to each Distribution Date, an amount in next-day funds equal to the sum of Available Funds in respect of such Mortgage Pool for such Distribution Date and any Unanticipated Recoveries in respect of such Mortgage Pool received in the calendar month preceding the month of such Distribution Date. If the Trustee does not receive such transfer by 2:00 p.m. on such Business Day, it shall give the Company written notice thereof. (e) If the Company or a Responsible Officer of the Trustee obtains actual notice of or knowledge of the occurrence of either (x) any Trigger Event or (y) the downgrade by S&P of General Electric Capital Corporation's short-term senior unsecured debt rating below A-1+, then, notwithstanding subsection (c) above, the Company shall promptly establish, and thereafter maintain, one or more Eligible Accounts, in respect of each Mortgage Pool, in the name of the Trustee and bearing a designation indicating that amounts therein are held for the benefit of the Trustee and the related Certificateholders, into which the Company and any Primary Servicer shall deposit within two Business Days after receipt, all amounts otherwise required to be credited to the applicable Mortgage Loan Payment Record pursuant to Section 3.02(b); provided, 71 however, that such action shall not be required if the Company delivers to the Trustee a letter from each Rating Agency to the effect that the failure to take such action will not cause such Rating Agency to withdraw or reduce its then current ratings of the related Certificates. All amounts so deposited shall be held in trust for the benefit of the related Certificateholders. Amounts so deposited may be invested at the written instruction of the Company in Permitted Investments in the name of the Trustee maturing no later than the Business Day preceding the Distribution Date following the date of such investment; provided, however, that any such Permitted Investment which is an obligation of State Street Bank and Trust Company, in its individual capacity and not in its capacity as Trustee, may mature on such Distribution Date; and, provided, further, that no such Permitted Investment shall be sold before the maturity thereof if the sale thereof would result in the realization of gain prior to maturity unless the Company has obtained an Opinion of Counsel that such sale or disposition will not cause the related Trust Fund to be subject to the tax on prohibited transactions under section 860F of the Code, or otherwise subject the related Trust Fund to tax or cause any of the related REMICs established hereunder to fail to qualify as a REMIC. The Trustee shall maintain physical possession of all Permitted Investments, other than Permitted Investments maintained in book-entry form. The Company, as servicer, shall be entitled to retain for its own account any gain or other income from Permitted Investments, and neither the Trustee nor Certificateholders shall have any right or claim with respect to such income. The Company shall deposit an amount equal to any loss realized on any Permitted Investment as soon as any such loss is realized. If the provisions in this subsection (e) become operable, references in this Agreement to each Mortgage Loan Payment Record and credits and debits to such Record shall be deemed to refer to the related Eligible Accounts and transfers to and withdrawals from such Eligible Accounts. Any action which may be necessary to establish the terms of an account pursuant to this Section 3.02(e) may be taken by an amendment or supplement to this Agreement or pursuant to a written order of the Company, which amendment, supplement or order shall not require the consent of Certificateholders, provided that the Company has delivered to the Trustee a letter from each Rating Agency to the effect that such amendment, supplement or order will not cause such Rating Agency to withdraw or reduce its then current ratings of the related Certificates. Section 3.03. Collection of Taxes, Assessments and Other Items. Other than with respect to any Cooperative Loan, the Company shall establish and maintain with one or more depository institutions one or more accounts into which it shall deposit all collections of taxes, assessments, private mortgage or hazard insurance premiums or comparable items for the account of the Mortgagors. As servicer, the Company shall effect the timely payment of all such items for the account of Mortgagors. Withdrawals from such account or accounts may be made only to effect payment of taxes, assessments, private mortgage or standard hazard insurance premiums or comparable items, to reimburse the Company out of related collections for any payments made regarding taxes and assessments or for any payments made pursuant to Section 3.05 regarding premiums on Primary Insurance Policies and Section 3.06 regarding premiums on standard hazard insurance policies, to refund to any Mortgagors any sums determined to be overages, or to pay interest owed to Mortgagors to the extent required by law. Section 3.04. Permitted Debits to the Mortgage Loan Payment Records. The Company (or any successor servicer pursuant to Section 7.02) may, from time to time, make debits to each 72 Mortgage Loan Payment Record for the following purposes (in each case as to the Mortgage Loans in the related Mortgage Pool): (i) To reimburse the Company or the applicable Primary Servicer for Liquidation Expenses theretofore incurred in respect of any Mortgage Loan in an amount not to exceed the amount of the related Liquidation Proceeds credited to such Mortgage Loan Payment Record pursuant to Section 3.02(b)(iii); provided that the Company or the applicable Primary Servicer shall not be entitled to reimbursement for Liquidation Expenses incurred after the initiation of foreclosure proceedings in respect of any Defaulted Mortgage Loan that is repurchased pursuant to Section 3.16; (ii) To reimburse the Company or the applicable Primary Servicer for Insured Expenses and amounts expended by it pursuant to Section 3.08 in good faith in connection with the restoration of property damaged by an Uninsured Cause, in an amount not to exceed the amount of the related Insurance Proceeds and Liquidation Proceeds (net of any debits pursuant to clause (i) above) and amounts representing proceeds of other insurance policies covering the property subject to the related Mortgage credited to such Mortgage Loan Payment Record pursuant to Section 3.02(b) (iii) and (iv); (iii) To reimburse the Company to the extent permitted by Sections 3.01(a) and 6.04; (iv) To pay to the Company amounts received in respect of any Defective Mortgage Loan or Defaulted Mortgage Loan purchased by the Company to the extent that the distribution of any such amounts on the Distribution Date upon which the proceeds of such purchase are distributed would make the total amount distributed in respect of any such Mortgage Loan on such Distribution Date greater than the Purchase Price therefor, net of any unreimbursed Monthly Advances made by the Company; (v) To reimburse the Company (or the Trustee, as applicable) for Monthly Advances theretofore made in respect of any Mortgage Loan to the extent of late payments, REO Proceeds, Insurance Proceeds and Liquidation Proceeds in respect of such Mortgage Loan; (vi) To reimburse the Company from any Mortgagor payment of interest or other recovery with respect to a particular Mortgage Loan, to the extent not previously retained by the Company, for unpaid Servicing Fees with respect to such Mortgage Loan, subject to Section 3.08(d); (vii) To reimburse the Company (or the Trustee, as applicable) for any Nonrecoverable Advance in respect of such Mortgage Pool (which right of reimbursement of the Trustee pursuant to this clause shall be prior to such right of the Company); 73 (viii) To make transfers of funds to the related Certificate Account pursuant to Section 3.02(d); and (ix) To deduct any amounts credited to the related Mortgage Loan Payment Record in error. The Company shall keep and maintain separate accounting records, on a Mortgage Loan by Mortgage Loan basis, for the purpose of accounting for debits to the related Mortgage Loan Payment Record pursuant to clauses (i), (ii), (iv), (v) and (vi) of this Section 3.04; provided, however, that it is understood and agreed that the records of such accounting need not be retained by the Company for a period longer than the five most recent fiscal years. Section 3.05. Maintenance of the Primary Insurance Policies. (a) The Company shall not take any action which would result in non-coverage under any applicable Primary Insurance Policy of any loss which, but for the actions of the Company, would have been covered thereunder. To the extent coverage is available, the Company shall keep or cause to be kept in full force and effect each such Primary Insurance Policy until the principal balance of the related Mortgage Note is 80% or less of the greater of (i) the related Original Value and (ii) the then current value of the property underlying the related Mortgage Note as evidenced by an appraisal thereof satisfactory to the Company; provided, that no such Primary Insurance Policy need be kept in effect if doing so would violate applicable law. The Company shall not cancel or refuse to renew any such Primary Insurance Policy applicable to a Mortgage Loan that is in effect at the Closing Date and is required to be kept in force hereunder unless the replacement Primary Insurance Policy for such canceled or non-renewed policy is maintained with an insurer whose claims-paying ability is acceptable to each Rating Agency for mortgage pass-through certificates having ratings equal to or better than the ratings then assigned to the Certificates by such Rating Agency. The Company agrees to effect the timely payment of the premium on each Primary Insurance Policy, and such costs not otherwise recoverable shall be recoverable by the Company from related Insurance Proceeds and Liquidation Proceeds pursuant to Section 3.04. (b) In connection with its activities as administrator and servicer of the Mortgage Loans, the Company agrees to present, on behalf of itself, the Trustee and the related Certificateholders, claims to the insurer under each Primary Insurance Policy and, in this regard, to take such reasonable action as shall be necessary to permit recovery under any Primary Insurance Policy respecting a related defaulted Mortgage Loan. To the extent provided in Section 3.02(b), any amounts collected by the Company under any Primary Insurance Policy in respect of the Mortgage Loans (including, without limitation, a Mortgage Loan purchased by a related insurer) shall be credited to the applicable Mortgage Loan Payment Record. Section 3.06. Maintenance of Hazard Insurance. The Company shall cause to be maintained for each Mortgage Loan other than a Cooperative Loan hazard insurance with a standard mortgagee clause and with extended coverage in an amount which is at least equal to the maximum insurable value of the improvements securing such Mortgage Loan from time to time or the principal balance owing on such Mortgage Loan from time to time, whichever is less. 74 The Company shall also maintain on property (other than Cooperative Apartments) acquired upon foreclosure, or by deed in lieu of foreclosure, hazard insurance with extended coverage in an amount which is at least equal to the lesser of (i) the maximum insurable value from time to time of the improvements which are a part of such property or (ii) the unpaid principal balance of such Mortgage Loan at the time of such foreclosure or deed in lieu of foreclosure plus accrued interest and the good-faith estimate of the Company of related Liquidation Expenses to be incurred in connection therewith. To the extent provided in Section 3.02(b)(iv), amounts collected by the Company under any such policies in respect of the Mortgage Loans shall be credited to the applicable Mortgage Loan Payment Record. Such costs shall be recoverable by the Company pursuant to Sections 3.03 and 3.04. In cases in which property securing any Mortgage Loan other than a Cooperative Loan is located in a federally designated flood area, the hazard insurance to be maintained for such Mortgage Loan shall include flood insurance. All such flood insurance shall be in such amounts as are required under applicable guidelines of FNMA. The Company shall be under no obligation to require that any Mortgagor maintain earthquake or other additional insurance and shall be under no obligation itself to maintain any such additional insurance 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. If the Company shall obtain and maintain a blanket policy insuring against hazard losses on all of the Mortgage Loans (whether or not including Cooperative Loans), it shall conclusively be deemed to have satisfied its obligations as set forth in the first sentence of this Section 3.06, it being understood and agreed that such policy may contain a deductible clause, in which case the Company shall, in the event that there shall not have been maintained on the related Mortgaged Property a policy complying with the first sentence of this Section 3.06, and there shall have been a loss which would have been covered by such policy, credit to the applicable Mortgage Loan Payment Record the amount not otherwise payable under the blanket policy because of such deductible clause. Section 3.07. Assumption and Modification Agreements. (a) In any case in which property subject to a Mortgage has been or is about to be conveyed by the Mortgagor, the Company shall exercise its right to accelerate the maturity of such Mortgage Loan under any "due-on-sale" clause applicable thereto, unless in the reasonable discretion of the Company, such exercise would adversely affect or jeopardize coverage under the related Primary Insurance Policy, if any; provided, however, that if the Company is prevented, as provided in Section 3.07(b), from enforcing any such clause, the Company is authorized to make or enter into an assumption and modification agreement from or with the Person to whom such property has been or is about to be conveyed, pursuant to which such Person becomes liable under the Mortgage Note and the Mortgagor remains liable thereon. In connection with any such assumption and modification agreement, the Company shall apply its then current underwriting standards to such Person. The Company shall not make or enter into any such assumption and modification agreement, however, unless (to the extent practicable in the circumstances) it shall have received confirmation of the continued effectiveness of any applicable Primary Insurance Policy and hazard insurance policy. The Company shall notify the Trustee that any assumption and modification agreement has been completed by forwarding to the Trustee the original copy thereof, which copy shall be added by the Trustee to the related Mortgage File and shall, for all purposes, be considered a part of such Mortgage File to the same 75 extent as all other documents and instruments constituting a part thereof. In connection with any such agreement, the Mortgage Rate, mortgage term and any other material term of such Mortgage Loan shall not be changed. Any fee collected by the Company for entering into any such agreement will be retained by the Company as additional servicing compensation. (b) Notwithstanding Section 3.07(a) or any other provision of this Agreement, the Company 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, or transfer of the property subject to a Mortgage without the assumption thereof, by operation of law or any assumption or transfer which the Company reasonably believes it may be restricted by law from preventing, for any reason whatsoever. Section 3.08. Realization Upon Defaulted Mortgage Loans. (a) The Company shall foreclose upon or otherwise comparably convert the ownership of Mortgaged 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 3.02. In connection with such foreclosure or other conversion the Company shall, consistent with Section 3.05, follow such practices and procedures as it shall deem necessary or advisable and as shall be normal and usual in its general mortgage servicing activities. The foregoing is subject to the proviso that the Company shall not be required to expend its own funds in connection with any foreclosure or towards the restoration of any property unless it shall determine (i) that such restoration or foreclosure will increase the proceeds of liquidation of the Mortgage Loan to Certificateholders of the related Certificate Group after reimbursement to itself for such expenses and (ii) that such expenses will be recoverable to it either through Liquidation Proceeds or Insurance Proceeds. Notwithstanding the foregoing, the Company shall not be entitled to recover legal expenses incurred in connection with foreclosure proceedings where the Mortgage Loan is reinstated and such foreclosure proceedings are terminated prior to completion, other than sums received from the Mortgagor for such expenses. Notwithstanding anything to the contrary contained herein, the Company shall be under no obligation to foreclose upon or otherwise convert the ownership of any Mortgaged Property which it believes may be contaminated with or affected by hazardous or toxic wastes, materials or substances. The Company may, but shall not be obligated to, make such determination on the basis of a Phase I environmental assessment with respect to the related Mortgaged Property. Neither the Trustee nor the Company shall be liable to the related Trust Fund or the Certificateholders if, based on the Company's belief that such contamination or effect exists, the Company does not foreclose upon or otherwise convert the ownership of a Mortgaged Property. In addition, neither the Trustee nor the Company shall be liable to the related Trust Fund or the Certificateholders if, based on the Company's belief that no such contamination or effect exists, the Company forecloses upon a Mortgaged Property and the Trustee or its nominee on behalf of the related Trust Fund takes title to such Mortgaged Property, and thereafter such Mortgaged Property is determined to be so contaminated or affected. 76 (b) In the event that title to any Mortgaged Property is acquired in foreclosure or by deed in lieu of foreclosure, the deed or certificate of sale shall be issued to the Trustee, or to its nominee on behalf of the related Trust Fund. Notwithstanding any such acquisition of title and cancellation of the related Mortgage Loan, such Mortgage Loan shall (except for purposes of Section 9.01) be considered to be an Outstanding Mortgage Loan until such time as the Mortgaged Property shall be sold and such Mortgage Loan becomes a Liquidated Mortgage Loan. Consistent with the foregoing, for purposes of all calculations hereunder so long as such Mortgage Loan shall be considered to be an Outstanding Mortgage Loan, it shall be assumed that the related Mortgage Note and its amortization schedule in effect on and after such acquisition of title (after giving effect to any previous Principal Prepayments and Deficient Valuations incurred subsequent to the related Bankruptcy Coverage Termination Date and before any adjustment thereto by reason of any bankruptcy (other than as aforesaid) or any similar proceeding or any moratorium or similar waiver or grace period) remain in effect (notwithstanding that the indebtedness evidenced by such Mortgage Note shall have been discharged), subject to adjustment to reflect the application of REO Proceeds received in any month. REO Proceeds received in any month shall be applied to the payment of the installments of principal due and interest accrued on the related REO Mortgage Loan in accordance with the terms of such Mortgage Note. REO Proceeds received in any month in excess of the Amortization Payment for such month due on any REO Mortgage Loan shall be treated as a Principal Prepayment received in respect of such Mortgage Loan. (c) In the event that a Trust Fund acquires any Mortgaged Property as aforesaid or otherwise in connection with a default or imminent default on a Mortgage Loan, the Company shall dispose of such Mortgaged Property prior to the close of the third calendar year after the year of its acquisition by such Trust Fund unless (a) the Trustee shall have been supplied with an Opinion of Counsel to the effect that the holding by such Trust Fund of such Mortgaged Property subsequent to such period (and specifying the period beyond such period for which the Mortgaged Property may be held) will not result in the imposition of taxes on "prohibited transactions" of such Trust Fund as defined in section 860F of the Code, or cause any of the related REMICs established hereunder to fail to qualify as a REMIC at any time that any Certificates are outstanding, in which case such Trust Fund may continue to hold such Mortgaged Property (subject to any conditions contained in such Opinion of Counsel), or (b) the Trustee (at the Company's expense) or the Company shall have applied for, not later than 61 days prior to the expiration of such period, an extension of such period in the manner contemplated by section 856(e)(3) of the Code, in which case such period shall be extended by the time period permitted by section 856(e)(3) of the Code. Notwithstanding any other provision of this Agreement, no Mortgaged Property acquired by a Trust Fund shall be rented (or allowed to continue to be rented) or otherwise used for the production of income by or on behalf of such Trust Fund or sold in such a manner or pursuant to any terms that would (i) cause such Mortgaged Property to fail to qualify at any time as "foreclosure property" within the meaning of section 860G(a)(8) of the Code, (ii) subject such Trust Fund to the imposition of any federal or state income taxes on "net income from foreclosure property" with respect to such Mortgaged Property within the meaning of section 860G(c) of the Code, or (iii) cause the sale of such Mortgaged Property to result in the receipt by such Trust Fund of any income from non-permitted assets as described in section 860F(a)(2)(B) of the Code, unless the Company has 77 agreed to indemnify and hold harmless such Trust Fund with respect to the imposition of any such taxes. (d) Any collection of Insurance Proceeds or Liquidation Proceeds will be applied in the following order of priority: first, to reimburse the Company for any related unreimbursed Liquidation Expenses and to reimburse the Company or the Trustee, as applicable, for any related unreimbursed Monthly Advances; second, to accrued and unpaid interest on the Mortgage Loan at the Mortgage Rate from the date to which interest was last paid or advanced to the Due Date prior to the Distribution Date on which such amounts are to be distributed; and third, as a recovery of principal of the Mortgage Loan. If the amount so allocated to interest is less than the full amount of accrued and unpaid interest due on such Mortgage Loan, the amount of such recovery will be allocated among the Base Servicing Fee at the Base Servicing Fee Rate, the Supplemental Servicing Fee at the Supplemental Servicing Fee Rate and interest at the applicable Remittance Rate in proportion to the amount of such accrued interest which would have been allocated to each such category in the absence of any shortfall. The resulting Interest Loss shall be allocated among each such category in the same proportion as described in the preceding sentence. The portion so allocated to interest at the Remittance Rate shall be allocated to the Certificates of the related Certificate Group for purposes of making the allocation specified in the definition of Certificate Interest Loss. (e) Notwithstanding anything to the contrary contained herein, the Company shall have the right to enter into an agreement substantially in the form of Exhibit K hereto with any Person that is the Holder of 100% of the Class 1-B5 Certificates, the Class 2-B5 Certificates, the Class 3-B5 Certificates or the Class 4-B5 Certificates (provided that such form may be revised to delete the option on the part of such Person to purchase a defaulted Mortgage Loan as set forth in Section 2.02(f) thereof). Prior to entering into any such agreement with any Person, the Company shall obtain a certification from such Person to the effect that (1) such Person is not an "affiliate" (within the meaning of the Prohibited Transaction Exemption) of the Trustee and (ii) such Person will not purchase any Certificates if such purchase would cause such Person to hold more than a ten percent interest in the related Mortgage Pool or in the related Trust Fund. It is understood that the right of the Company to be reimbursed for Monthly Advances and Nonrecoverable Advances under this Agreement shall not be affected in any way by the provisions of any such agreement. The Trustee hereby agrees to perform such obligations as may be expressly required of it pursuant to the provisions of such agreement and to promptly notify each party to such agreement if a Responsible Officer of the Trustee (with direct responsibility for administration of this Agreement) becomes aware of any discussions, plans or events that might lead to the Trustee's becoming an "affiliate" (within the meaning of the Prohibited Transaction Exemption) of any Person with which the Company has entered into such agreement, provided that the contents of any such notification shall be kept confidential by the parties to such agreement. The Company agrees to promptly notify the Trustee upon entering into any such agreement. In addition, the Company shall provide the Trustee with such information as may be necessary for the Trustee to perform its obligations thereunder, including written instructions, clearly identifying the source, amount and application of funds to be deposited or withdrawn from the Collateral Fund (as defined in such agreement). The Trustee shall provide the Company with such information concerning credits and debits to the Collateral 78 Fund on account of income, gains and losses realized from Collateral Fund Permitted Investments (as defined in such agreement), and costs associated with the purchase and sale thereof, as the Company may request in order to prepare the instructions described in the preceding sentence. In addition, subject to the provisions of the preceding paragraph, the Company shall have the right to enter into an agreement substantially in the form of Exhibit K hereto with the Person that is the Holder of 100% of the Class 1-B4 Certificates, the Class 2-B4 Certificates, the Class 3-B4 Certificates or the Class 4-B4 Certificates, provided that (i) such Person is also the Holder of 100% of the Class B5 Certificates of the related Certificate Group, (ii) such Person shall have no rights under such agreement until the date on which the Class Certificate Principal Balance of the Class B5 Certificates of the related Certificate Group has been reduced to zero, and (iii) any rights of such Person under such agreement shall terminate in the event that such Person transfers, directly or indirectly, the Class B4 Certificates of such Certificate Group to any other Person. Section 3.09. Trustee to Cooperate; Release of Mortgage Files. Upon the payment in full of any Mortgage Loan, the Company will immediately notify the Trustee by a certification (which certification shall include a statement to the effect that all amounts received in connection with such payment which are required to be credited to the applicable Mortgage Loan Payment Record pursuant to Section 3.02 have been so credited) of a Servicing Officer and shall request delivery to it of the Mortgage File. If a Buydown Mortgage Loan is the subject of a Principal Prepayment in full during the related Buydown Period, the related Buydown Funds will be applied or returned to the Person entitled thereto in accordance with the terms of such Buydown Mortgage Loan. Upon receipt of such certification and request in form satisfactory to the Trustee, the Trustee shall promptly, but in any event within five Business Days, release the related Mortgage File to the Company; provided, that the Trustee shall not be responsible for any delay in the release of a Mortgage File resulting from acts beyond its control, including without limitation, acts of God, strikes, lockouts, riots, acts of war or terrorism, epidemics, nationalization, governmental regulations imposed after the fact, fire, communication line failures, computer viruses, power failures, earthquakes or other disasters. Upon any such payment in full, the Company is authorized to execute, pursuant to the authorization contained in Section 3.01, an instrument of satisfaction regarding such Mortgage, which instrument of satisfaction shall be recorded by the Company if required by applicable law and be delivered to the Person entitled thereto, it being understood and agreed that no expenses incurred in connection with such instrument of satisfaction shall be reimbursed from amounts at the time credited to the applicable Mortgage Loan Payment Record. From time to time and as appropriate for the servicing or foreclosure of any Mortgage Loan (including, without limitation, collection under any Primary Insurance Policy), the Trustee shall, upon request of the Company and delivery to the Trustee of a receipt signed by a Servicing Officer, release the related Mortgage File to the Company and shall execute such documents as shall be necessary to the prosecution of any such proceedings. Such receipt shall obligate the Company to return the Mortgage File to the Trustee when the need therefor by the Company no longer exists unless the Mortgage Loan shall be liquidated, in which case, upon receipt of a certificate of a Servicing Officer similar to that hereinabove specified, the receipt shall be released by the Trustee to the Company. 79 Section 3.10. Servicing Compensation; Payment of Certain Expenses by the Company. (a) As compensation for its activities and obligations hereunder, the Company shall be entitled to withhold and pay to itself out of each payment received by it on account of interest on each Mortgage Loan (including the portion of any Buydown Funds applied to the related Buydown Mortgage Loan for the applicable period) an amount equal to the Servicing Fee. The aggregate of the Servicing Fees payable to the Company on any Distribution Date in respect of the Mortgage Loans in a Mortgage Pool shall be reduced by the amount of any Compensating Interest Payment in respect of such Mortgage Pool for such Distribution Date. Additional servicing compensation in the form of Prepayment Interest Excess, assumption fees, modification fees, late payment charges, interest income or gain with respect to amounts deposited in a Certificate Account and invested by the Company or otherwise shall be retained by the Company, subject to Section 3.10(b), if applicable. The Company shall be required to pay all expenses incurred by it in connection with its activities hereunder (including payment of Trustee fees and all other fees and expenses not expressly stated hereunder to be for the account of the Certificateholders) and shall not be entitled to reimbursement therefor except as provided in Sections 3.01, 3.03, 3.04 and 3.08. (b) The Company may, as a condition to granting any request by a Mortgagor for any consent, modification, waiver or amendment or any other matter or thing, the granting of which is in the Company's discretion pursuant to the terms of the instruments evidencing or securing the related Mortgage Loan and is permitted by other sections of this Agreement, require (to the extent permitted by applicable law) that such Mortgagor pay to it a reasonable or customary fee in accordance with the schedule set forth as Exhibit H (which may be amended from time to time by provision of a revised schedule of such fees to the Trustee, whereupon such revised schedule shall be deemed to be Exhibit H hereunder) for the additional services performed in connection with such request, together with any related costs and expenses incurred by it. Such fees shall be additional servicing compensation to the Company. Section 3.11. Reports to the Trustee; Certificate Account Statements. Not later than 15 days after each Distribution Date, the Company shall forward to the Trustee a statement, certified by a Servicing Officer, setting forth the status of each Mortgage Loan Payment Record as of the close of business on such Distribution Date and showing, for the period covered by such statement, the aggregate of credits to each Mortgage Loan Payment Record for each category of credit specified in Section 3.02 and each category of debit specified in Section 3.04. Section 3.12. Annual Statement as to Compliance. The Company will deliver to the Trustee, on or before March 31 of each year, beginning with March 31, 1999, an Officer's Certificate stating that (a) a review of the activities of the Company during the preceding calendar year and of its performance under this Agreement has been made under such Officer's supervision and (b) to the best of such Officer's knowledge, based on such review, the Company has fulfilled all its material obligations under this Agreement throughout such year, or, if there has been a default in the fulfillment of any such obligation, specifying each such default known to such Officer and the nature and status thereof. 80 Section 3.13. Annual Independent Public Accountants' Servicing Report. On or before March 31 of each year, beginning with March 31, 1999, the Company shall: (a) furnish to a firm of independent public accountants (which may also render other services to the Company) a statement substantially to the effect that the Company has complied in all material respects with the minimum servicing standards set forth in the Uniform Single Attestation Program for Mortgage Bankers (the "Minimum Servicing Standards") with respect to the mortgage loans in the Company's servicing portfolio (which may exclude home equity loans) or, if there has been material noncompliance with such servicing standards, containing a description of such noncompliance; and (b) at its expense cause such firm of independent public accountants to furnish a report to the Trustee stating its opinion as to the Company's assertion contained in the statement delivered pursuant to Section 3.13(a), which opinion shall be based on an examination conducted by such firm in accordance with the standards established by the American Institute of Certified Public Accountants, including examining, on a test basis, evidence about the Company's compliance with the Minimum Servicing Standards. Such opinion shall be to the effect that the Company has complied in all material respects with the Minimum Servicing Standards with respect to the mortgage loan portfolio described in the Company's statement delivered pursuant to Section 3.13(a) hereof or if there has been material noncompliance with the Minimum Servicing Standards, shall contain a description of such noncompliance in accordance with applicable accounting standards. In rendering such report, such firm may rely, as to matters relating to direct servicing of Mortgage Loans by any primary servicer, upon comparable reports of independent public accountants with respect to such primary servicer. Section 3.14. Access to Certain Documentation and Information Regarding the Mortgage Loans. To the extent permitted by applicable law, the Company shall provide to the Trustee, Certificateholders which are regulated insurance entities and the applicable insurance regulatory agencies thereof, Certificateholders which are federally insured savings and loan associations, the Office of Thrift Supervision, the FDIC and the supervisory agents and examiners thereof access to the documentation regarding the Mortgage Loans required by applicable regulations of the Office of Thrift Supervision or of such insurance regulatory agencies, as the case may be, such access being afforded without charge but only upon reasonable request and during normal business hours at the offices of the Company. Nothing in this Section 3.14 shall derogate from the obligation of the Company to observe any applicable law prohibiting disclosure of information regarding the Mortgagors and the failure of the Company to provide access as provided in this Section 3.14 as a result of such obligation shall not constitute a breach of this Section 3.14. Section 3.15. Maintenance of Certain Servicing Policies. The Company shall during the term of its service as servicer maintain in force (i) a policy or policies of insurance covering errors and omissions in the performance of its obligations as servicer hereunder and (ii) a fidelity bond in respect of its officers, employees or agents. Each such policy or policies and bond shall, 81 together, comply with the requirements from time to time of FNMA for persons performing servicing for mortgage loans purchased by such association. Section 3.16. Optional Purchase of Defaulted Mortgage Loans. The Company shall have the right, but not the obligation, to purchase any Defaulted Mortgage Loan for a price equal to the Purchase Price therefor. Any such purchase shall be accomplished as provided in Section 4.04(a) hereof. ARTICLE IV. PAYMENTS AND STATEMENTS Section 4.01. Distributions. (a) On each Distribution Date, the Trustee shall withdraw the Available Funds in respect of Pool 1 from the Pool 1 Certificate Account and shall make distributions to Holders of the Pool 1 Certificates as of the preceding Record Date in the following order of priority, to the extent of the remaining Available Funds in respect of Pool 1: (i) to each Class of Pool 1 Senior Certificates (other than any Class of Principal Only Certificates), the Accrued Certificate Interest thereon for such Distribution Date; provided, however, that Accrued Certificate Interest on the Class 1-A10 and Class 1-A14 Certificates for such Distribution Date shall be applied in the manner provided in Section 4.01(h); and provided further, that any shortfall in available amounts shall be allocated among such Classes in proportion to the amount of Accrued Certificate Interest that would otherwise be distributable (or added to the balance thereof) thereon; (ii) to each Class of Pool 1 Senior Certificates (other than any Class of Principal Only Certificates), any related Unpaid Class Interest Shortfall for such Distribution Date; provided, however, that any Unpaid Class Interest Shortfall for the Class 1-A10 and Class 1-A14 Certificates for such Distribution Date shall be applied in the manner provided in Section 4.01(h); and provided further, that any shortfall in available amounts shall be allocated among such Classes in proportion to the Unpaid Class Interest Shortfall for each such Class (or Component) on such Distribution Date; (iii) to the Classes of Pool 1 Senior Certificates in reduction of the Class Certificate Principal Balances thereof, as set forth in Exhibit O-1 hereto; provided, however, that references to the "Pool 1 Scheduled Balances Table" shall mean the Principal Balance Schedules and terms defined therein shall have the meanings ascribed thereto in Article I hereof; (iv) to the Class 1-PO Certificates, any related Class PO Deferred Amount for such Distribution Date, up to an amount not to exceed the Junior Optimal Principal Amount for the Pool 1 Certificates for such Distribution Date, until the Class Certificate Principal Balance of such Class has been reduced to zero; 82 provided, that any such amounts distributed to the Class 1-PO Certificates pursuant to this clause (iv) shall not reduce the Class Certificate Principal Balance thereof; (v) to the Class 1-M Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (vi) to the Class 1-M Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (vii) to the Class 1-M Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 1 Certificates on such Distribution Date; (viii) to the Class 1-B1 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (ix) to the Class 1-B1 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (x) to the Class 1-B1 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 1 Certificates on such Distribution Date; (xi) to the Class 1-B2 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xii) to the Class 1-B2 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xiii) to the Class 1-B2 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 1 Certificates on such Distribution Date; (xiv) to the Class 1-B3 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xv) to the Class 1-B3 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xvi) to the Class 1-B3 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 1 Certificates on such Distribution Date; (xvii) to the Class 1-B4 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; 83 (xviii) to the Class 1-B4 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xix) to the Class 1-B4 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 1 Certificates on such Distribution Date; (xx) to the Class 1-B5 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xxi) to the Class 1-B5 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; and (xxii) to the Class 1-B5 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 1 Certificates on such Distribution Date. Notwithstanding the foregoing, amounts otherwise distributable pursuant to clauses (vii), (x), (xiii), (xvi), (xix) and (xxii) on any Distribution Date shall be reduced, in inverse order of priority, by any amount distributed pursuant to clause (iv) on such date, such that such amount distributed pursuant to clause (iv) on such date shall be applied first to reduce the amount distributable pursuant to clause (xxii), and then, to the extent of any excess, applied second, to reduce the amount distributable pursuant to clause (xix), third, to reduce the amount distributable pursuant to clause (xvi), fourth, to reduce the amount distributable pursuant to clause (xiii), fifth, to reduce the amount distributable pursuant to clause (x) and sixth, to reduce the amount distributable pursuant to clause (vii). (b) On each Distribution Date, the Trustee shall withdraw the Available Funds in respect of Pool 2 from the Pool 2 Certificate Account and shall make distributions to Holders of the Pool 2 Certificates as of the preceding Record Date in the following order of priority, to the extent of the remaining Available Funds in respect of Pool 2: (i) to each Class of Pool 2 Senior Certificates (other than any Class of Principal Only Certificates), the Accrued Certificate Interest thereon for such Distribution Date; provided, however, that Accrued Certificate Interest on the Class 2-A7 and Class 2-A8 Certificates for such Distribution Date shall be applied in the manner provided in Section 4.01(h); and provided further, that any shortfall in available amounts shall be allocated among such Classes in proportion to the amount of Accrued Certificate Interest that would otherwise be distributable (or added to the balance thereof) thereon; (ii) to each Class of Pool 2 Senior Certificates (other than any Class of Principal Only Certificates), any related Unpaid Class Interest Shortfall for such Distribution Date; provided, however, that any Unpaid Class Interest Shortfall for the Class 2-A7 and Class 2-A8 Certificates for such Distribution Date shall be applied in the manner provided in Section 4.01(h); and provided further, that any 84 shortfall in available amounts shall be allocated among such Classes in proportion to the Unpaid Class Interest Shortfall for each such Class on such Distribution Date; (iii) to the Classes of Pool 2 Senior Certificates, in reduction of the Class Certificate Principal Balances thereof, as set forth in Exhibit O-2 hereof, without regard to the use therein of the word "approximate" or any variation thereof; provided, however, that references to the "Pool 2 Scheduled Balances Table" shall mean the Principal Balance Schedule and terms defined therein shall have the meanings ascribed thereto in Article I hereof; (iv) to the Class 2-PO Certificates, any related Class PO Deferred Amount for such Distribution Date, up to an amount not to exceed the Junior Optimal Principal Amount for the Pool 2 Certificates for such Distribution Date, until the Class Certificate Principal Balance of such Class has been reduced to zero; provided, that any such amounts distributed to the Class 2-PO Certificates pursuant to this clause (iv) shall not reduce the Class Certificate Principal Balance thereof; (v) to the Class 2-M Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (vi) to the Class 2-M Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (vii) to the Class 2-M Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 2 Certificates on such Distribution Date; (viii) to the Class 2-B1 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (ix) to the Class 2-B1 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (x) to the Class 2-B1 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 2 Certificates on such Distribution Date; (xi) to the Class 2-B2 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xii) to the Class 2-B2 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; 85 (xiii) to the Class 2-B2 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 2 Certificates on such Distribution Date; (xiv) to the Class 2-B3 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xv) to the Class 2-B3 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xvi) to the Class 2-B3 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 2 Certificates on such Distribution Date; (xvii) to the Class 2-B4 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xviii) to the Class 2-B4 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xix) to the Class 2-B4 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 2 Certificates on such Distribution Date; (xx) to the Class 2-B5 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xxi) to the Class 2-B5 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; and (xxii) to the Class 2-B5 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 2 Certificates on such Distribution Date. Notwithstanding the foregoing, amounts otherwise distributable pursuant to clauses (vii), (x), (xiii), (xvi), (xix) and (xxii) on any Distribution Date shall be reduced, in inverse order of priority, by any amount distributed pursuant to clause (iv) on such date, such that such amount distributed pursuant to clause (iv) on such date shall be applied first to reduce the amount distributable pursuant to clause (xxii), and then, to the extent of any excess, applied second, to reduce the amount distributable pursuant to clause (xix), third, to reduce the amount distributable pursuant to clause (xvi), fourth, to reduce the amount distributable pursuant to clause (xiii), fifth, to reduce the amount distributable pursuant to clause (x) and sixth, to reduce the amount distributable pursuant to clause (vii). (c) On each Distribution Date, the Trustee shall withdraw the Available Funds in respect of Pool 3 from the Pool 3 Certificate Account and shall make distributions to Holders of 86 the Pool 3 Certificates as of the preceding Record Date in the following order of priority, to the extent of the remaining Available Funds in respect of Pool 3; (i) to each Class of Pool 3 Senior Certificates (other than any Class of Principal Only Certificates), the Accrued Certificate Interest thereon for such Distribution Date; provided, however, that any shortfall in available amounts shall be allocated among such Classes in proportion to the amount of Accrued Certificate Interest that would otherwise be distributable thereon; (ii) to each Class of Pool 3 Senior Certificates (other than any Class of Principal Only Certificates), any related Unpaid Class Interest Shortfall for such Distribution Date; provided, however, that any shortfall in available amounts shall be allocated among such Classes in proportion to the Unpaid Class Interest Shortfall for each such Class (or Component) on such Distribution Date; (iii) to the Classes of Pool 3 Senior Certificates in reduction of the Class Certificate Principal Balances thereof, as set forth in Exhibit O-3 hereto, without regard to the use therein of the word "approximate" or any variation thereof and terms defined therein shall have the meanings ascribed thereto in Article I hereof; (iv) to the Class 3-PO Certificates, any related Class PO Deferred Amount for such Distribution Date, up to an amount not to exceed the Junior Optimal Principal Amount for the Pool 3 Certificates for such Distribution Date, until the Class Certificate Principal Balance of such Class has been reduced to zero; provided, that any such amounts distributed to the Class 3-PO Certificates pursuant to this clause (iv) shall not reduce the Class Certificate Principal Balance thereof; (v) to the Class 3-M Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (vi) to the Class 3-M Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (vii) to the Class 3-M Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 3 Certificates on such Distribution Date; (viii) to the Class 3-B1 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (ix) to the Class 3-B1 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; 87 (x) to the Class 3-B1 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 3 Certificates on such Distribution Date; (xi) to the Class 3-B2 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xii) to the Class 3-B2 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xiii) to the Class 3-B2 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 3 Certificates on such Distribution Date; (xiv) to the Class 3-B3 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xv) to the Class 3-B3 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xvi) to the Class 3-B3 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 3 Certificates on such Distribution Date; (xvii) to the Class 3-B4 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xviii) to the Class 3-B4 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xix) to the Class 3-B4 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 3 Certificates on such Distribution Date; (xx) to the Class 3-B5 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xxi) to the Class 3-B5 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; and (xxii) to the Class 3-B5 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 3 Certificates on such Distribution Date. Notwithstanding the foregoing, amounts otherwise distributable pursuant to clauses (vii), (x), (xiii), (xvi), (xix) and (xxii) on any Distribution Date shall be reduced, in inverse order of priority, by any amount distributed pursuant to clause (iv) on such date, such that such amount 88 distributed pursuant to clause (iv) on such date shall be applied first to reduce the amount distributable pursuant to clause (xxii), and then, to the extent of any excess, applied second, to reduce the amount distributable pursuant to clause (xix), third, to reduce the amount distributable pursuant to clause (xvi), fourth, to reduce the amount distributable pursuant to clause (xiii), fifth, to reduce the amount distributable pursuant to clause (x) and sixth, to reduce the amount distributable pursuant to clause (vii). (d) On each Distribution Date, the Trustee shall withdraw the Available Funds in respect of Pool 4 from the Pool 4 Certificate Account and shall make distributions to Holders of the Pool 4 Certificates as of the preceding Record Date in the following order of priority, to the extent of the remaining Available Funds in respect of Pool 4; (i) to each Class of Pool 4 Senior Certificates (other than any Class of Principal Only Certificates), the Accrued Certificate Interest thereon for such Distribution Date; provided, however, that any shortfall in available amounts shall be allocated among such Classes in proportion to the amount of Accrued Certificate Interest that would otherwise be distributable thereon; (ii) to each Class of Pool 4 Senior Certificates (other than any Class of Principal Only Certificates), any related Unpaid Class Interest Shortfall for such Distribution Date; provided, however, that any shortfall in available amounts shall be allocated among such Classes in proportion to the Unpaid Class Interest Shortfall for each such Class (or Component) on such Distribution Date; (iii) to the Classes of Pool 4 Senior Certificates in reduction of the Class Certificate Principal Balances thereof, as set forth in Exhibit O-4 hereto, without regard to the use therein of the word "approximate" and any variation thereof and terms defined therein shall have the meanings ascribed thereto in Article I hereof; (iv) to the Class 4-PO Certificates, the Class 4-PO Principal Distribution Amount for such Distribution Date, until the Class Certificate Principal Balance thereof has been reduced to zero; (v) to the Class 4-PO Certificates, any related Class PO Deferred Amount for such Distribution Date, up to an amount not to exceed the Junior Optimal Principal Amount for the Pool 4 Certificates for such Distribution Date, until the Class Certificate Principal Balance of such Class has been reduced to zero; provided, that any such amounts distributed to the Class 4-PO Certificates pursuant to this clause (iv) shall not reduce the Class Certificate Principal Balance thereof; (vi) to the Class 4-M Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (vii) to the Class 4-M Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; 89 (viii) to the Class 4-M Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 4 Certificates on such Distribution Date; (ix) to the Class 4-B1 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (x) to the Class 4-B1 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xi) to the Class 4-B1 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 4 Certificates on such Distribution Date; (xii) to the Class 4-B2 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xiii) to the Class 4-B2 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xiv) to the Class 4-B2 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 4 Certificates on such Distribution Date; (xv) to the Class 4-B3 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xvi) to the Class 4-B3 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xvii) to the Class 4-B3 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 4 Certificates on such Distribution Date; (xviii) to the Class 4-B4 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; (xix) to the Class 4-B4 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; (xx) to the Class 4-B4 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 4 Certificates on such Distribution Date; (xxi) to the Class 4-B5 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; 90 (xxii) to the Class 4-B5 Certificates, any Unpaid Class Interest Shortfall therefor on such Distribution Date; and (xxiii) to the Class 4-B5 Certificates, in reduction of the Class Certificate Principal Balance thereof, such Class's Allocable Share of the Junior Optimal Principal Amount for the Pool 4 Certificates on such Distribution Date. Notwithstanding the foregoing, amounts otherwise distributable pursuant to clauses (vii), (x), (xiii), (xvi), (xix) and (xxii) on any Distribution Date shall be reduced, in inverse order of priority, by any amount distributed pursuant to clause (iv) on such date, such that such amount distributed pursuant to clause (iv) on such date shall be applied first to reduce the amount distributable pursuant to clause (xxii), and then, to the extent of any excess, applied second, to reduce the amount distributable pursuant to clause (xix), third, to reduce the amount distributable pursuant to clause (xvi), fourth, to reduce the amount distributable pursuant to clause (xiii), fifth, to reduce the amount distributable pursuant to clause (x) and sixth, to reduce the amount distributable pursuant to clause (vii). (e) On each Distribution Date, the Trustee shall distribute to the holder of the Class 1-R Certificate, any remaining amounts in the Upper Tier REMIC in respect of Pool 1, to the holder of the Class 2-R Certificate, any remaining amounts in the Upper Tier REMIC in respect of Pool 2, to the holder of the Class 3-R Certificate, any remaining Available Funds in respect of Pool 3, and to the holder of the Class 4-R Certificate, any remaining Available Funds in respect of Pool 4, in each case, for such Distribution Date after application of all amounts described in clauses (a), (b), (c) and (d) of this Section 4.01, as applicable, together with any Unanticipated Recoveries in respect of Pool 1, in the case of the Class 1-R Certificates, Pool 2, in the case of the Class 2-R Certificates, Pool 3, in the case of the Class 3-R Certificates, and Pool 4, in the case of the Class 4-R Certificates, received by the Company in the calendar month preceding the month of such Distribution Date and not distributed on such Distribution Date to the holders of outstanding Certificates of any other related Class pursuant to Section 4.01(i). Any distributions pursuant to this clause (e) shall not reduce the Class Certificate Principal Balance of the related Residual Certificates. (f) If on any Distribution Date the Class Certificate Principal Balances of the Pool 1 Junior Certificates have each been reduced to zero, the amount distributable to the Pool 1 Senior Certificates (other than the Class 1-PO Certificates) pursuant to Section 4.01(a)(iii) for such Distribution Date and each succeeding Distribution Date shall be allocated among such Classes of Pool 1 Senior Certificates, pro rata, on the basis of their respective Class Certificate Principal Balances immediately prior to such Distribution Date, regardless of the priorities and amounts set forth in Section 4.01(a)(iii). If on any Distribution Date the Class Certificate Principal Balances of the Pool 2 Junior Certificates have each been reduced to zero, the amount distributable to the Pool 2 Senior Certificates (other than the Class 2-PO Certificates) pursuant to Section 4.01(b)(iii) for such Distribution Date and each succeeding Distribution Date shall be allocated among such Classes of Pool 2 Senior Certificates, pro rata, on the basis of their respective Class Certificate Principal 91 Balances immediately prior to such Distribution Date, regardless of the priorities and amounts set forth in Section 4.01(b)(iii). If on any Distribution Date the Class Certificate Principal Balances of the Pool 3 Junior Certificates have each been reduced to zero, the amount distributable to the Pool 3 Senior Certificates (other than the Class 3-PO Certificates) pursuant to Section 4.01(c)(iii) for such Distribution Date and each succeeding Distribution Date shall be allocated among such Classes of Pool 3 Senior Certificates, pro rata, on the basis of their respective Class Certificate Principal Balances immediately prior to such Distribution Date, regardless of the priorities and amounts set forth in Section 4.01(c)(iii). If on any Distribution Date the Class Certificate Principal Balances of the Pool 4 Junior Certificates have each been reduced to zero, the amount distributable to the Pool 4 Senior Certificates (other than the Class 4-PO Certificates) pursuant to Section 4.01(d)(iii) for such Distribution Date and each succeeding Distribution Date shall be allocated among such Classes of Pool 4 Senior Certificates, pro rata, on the basis of their respective Class Certificate Principal Balances immediately prior to such Distribution Date, regardless of the priorities and amounts set forth in Section 4.01(d)(iii). (g) If on any Distribution Date (i) the Class Certificate Principal Balance of a Class of Class M Certificates or any Class of Class B Certificates for which the related Prepayment Distribution Trigger was satisfied on such Distribution Date is reduced to zero and (ii) amounts distributable pursuant to clauses (ii), (iv) and (v) of the Junior Optimal Principal Amount for the related Certificate Group remain undistributed on such Distribution Date after all amounts otherwise distributable on such date pursuant to clauses (iv) through (xxii) of Section 4.01(a), in the case of the Pool 1 Certificates, Section 4.01(b), in the case of the Pool 2 Certificates, Section 4.01(c), in the case of the Pool 3 Certificates, or Section 4.01(d), in the case of the Pool 4 Certificates, have been distributed, such amounts shall be distributed on such Distribution Date to the remaining Classes of Junior Certificates of such Certificate Group in order of priority, such that no such distribution shall be made to any Class of Junior Certificates while a prior such Class of the related Certificate Group is outstanding. (h) (i) On each Distribution Date through the Accretion Termination Date with respect to the Class 1-A10 Certificates, amounts allocable to the Class 1-A10 Certificates pursuant to clauses (a)(i) and (a)(ii) of this Section 4.01 shall not be distributable to the Class 1-A10 Certificates pursuant to such clauses but shall instead be (A) added to the Class Certificate Principal Balance thereof to the extent of the related Accrual Amount for such Distribution Date, and (B) distributed to, and in reduction of Certificate Principal Balances of, the following Classes of Certificates, before any distributions are made pursuant to Section 4.01(a)(iii), in the following order of priority: first, pro rata to the Class 1-A8 and Class 1-A9 Certificates, up to an amount necessary to reduce the aggregate Class Certificate Principal Balance of such Classes to the Aggregate Pool 1 TAC Balance for such Distribution Date; and 92 second, to the Class 1-A10 Certificates, until the Class Certificate Principal Balance thereof has been reduced to zero. On each Distribution Date occurring after the Accretion Termination Date with respect to the Class 1-A10 Certificates, amounts allocable to the Class 1-A10 Certificates pursuant to clauses (a)(i) and (a)(ii) of this Section 4.01 shall be distributable on such Distribution Date pursuant to such clauses to Holders of the Class 1-A10 Certificates as Accrued Certificate Interest. (ii) On each Distribution Date through the Accretion Termination Date with respect to the Class 1-A14 Certificates, amounts allocable to the Class 1-A14 Certificates pursuant to clauses (a)(i) and (a)(ii) of this Section 4.01 shall not be distributable to the Class 1-A14 Certificates pursuant to such clauses but shall instead be (A) added to the Class Certificate Principal Balance thereof to the extent of the related Accrual Amount for such Distribution Date, and (B) distributed to, and in reduction of Certificate Principal Balances of, the following Classes of Certificates, before any distributions are made pursuant to Section 4.01(a)(iii), in the following order of priority: first, to the Class 1-A13 Certificates, up to an amount necessary to reduce the Class Certificate Principal Balance of such Class to the Class 1- A13 Scheduled Balance for such Distribution Date; and second, to the Class 1-A14 Certificates, until the Class Certificate Principal Balance thereof has been reduced to zero. On each Distribution Date occurring after the Accretion Termination Date with respect to the Class 1-A14 Certificates, amounts allocable to the Class 1-A14 Certificates pursuant to clauses (a)(i) and (a)(ii) of this Section 4.01 shall be distributable on such Distribution Date pursuant to such clauses to Holders of the Class 1-A14 Certificates as Accrued Certificate Interest. (iii) On each Distribution Date through the Accretion Termination Date with respect to the Class 2-A7 and Class 2-A8 Certificates, amounts allocable to the Class 2-A7 and Class 2-A8 Certificates pursuant to clauses (b)(i) and (b)(ii) of this Section 4.01 shall not be distributable to the Class 2-A7 and Class 2-A8 Certificates pursuant to such clauses but shall instead be (A) added to the respective Class Certificate Principal Balance thereof to the extent of the related Accrual Amount for such Distribution Date, and (B) distributed to, and in reduction of the Certificate Principal Balances of, the following Classes of Certificates, before any distribution are made pursuant to Section 4.01(b)(iii), in the following order of priority: first, pro rata to the Class 2-A4, Class 2-A5 and Class 2-A6 Certificates, up to the amount necessary to reduce the respective Class 93 Certificate Principal Balances of such Classes to their respective TAC Balances for such Distribution Date; second, to the Class 2-A7 Certificates, in reduction of the Class Certificate Principal Balance thereof, until the Class Certificate Principal Balance thereof has been reduced to zero; third, pro rata to the Class 2-A4, Class 2-A5 and Class 2-A6 Certificates, without regard to their respective TAC Balances, until the Class Certificate Principal Balances thereof have each been reduced to zero; and fourth, to the Class 2-A8 Certificates, until the Class Certificate Principal Balance thereof has been reduced to zero. On each Distribution Date occurring after the Accretion Termination Date with respect to the Class 2-A7 and Class 2-A8 Certificates, amounts allocable to the Class 2-A7 and Class 2-A8 Certificates pursuant to clauses (b)(i) and (b)(ii) of this Section 4.01 shall be distributable on such Distribution Date pursuant to such clauses to Holders of the Class 2-A7 and Class 2-A8 Certificates as Accrued Certificate Interest. (i) In the event that in any calendar month the Company recovers an amount (an "Unanticipated Recovery") in respect of principal of a Mortgage Loan which had previously been allocated as a Realized Loss to any Class of Certificates pursuant to Section 4.03, on the Distribution Date in the next succeeding calendar month the Trustee shall withdraw from the related Certificate Account and distribute to the holders of each outstanding Class to which such Realized Loss had previously been allocated its share (determined as described in the succeeding paragraph) of such Unanticipated Recovery in an amount not to exceed the amount of such Realized Loss previously allocated to such Class. When the Class Certificate Principal Balance of a Class of Certificates has been reduced to zero, the holders of such Class shall not be entitled to any share of an Unanticipated Recovery, and such Unanticipated Recovery shall be allocated among all outstanding Classes of Certificates of the related Certificate Group entitled thereto in accordance with the preceding sentence, subject to the remainder of this subsection (i). In the event that (i) any Unanticipated Recovery remains undistributed in accordance with the preceding sentence or (ii) the amount of an Unanticipated Recovery exceeds the amount of the Realized Loss previously allocated to any outstanding Classes with respect to the related Mortgage Loan, on the applicable Distribution Date the Trustee shall distribute to the holders of all outstanding Classes of the Certificates of the related Certificate Group to which Realized Losses had previously been allocated and not reimbursed their pro rata share (determined as described below) of such excess in an amount not to exceed the aggregate amount of any Realized Loss previously allocated to such Class with respect to any other Mortgage Loan that has not been recovered in accordance with this Section 4.01(i). Any distributions made pursuant to this Section 4.01(i) shall not reduce the Class Certificate Principal Balance of the related Certificate. For purposes of the preceding paragraph, the share of an Unanticipated Recovery allocable to any Class of Certificates with respect to a Mortgage Loan shall be (i) with respect to 94 a Class of Class PO Certificates, based on the applicable PO Percentage of the principal portion of the Realized Loss previously allocated thereto with respect to such Mortgage Loan (or all Mortgage Loans for purposes of the next to last sentence of the preceding paragraph), and (ii) with respect to any other Class of Certificates, based on its pro rata share (in proportion to the Class Certificate Principal Balances thereof with respect to such Distribution Date) of the applicable Non-PO Percentage of the principal portion of any such Realized Loss previously allocated with respect to such Mortgage Loan (or Loans); provided, however, that (i) the share of an Unanticipated Recovery allocable to a Class PO Certificate with respect to any Mortgage Loan (or Loans) shall be reduced by the aggregate amount previously distributed to such Class on account of the applicable Class PO Deferred Amount in respect of such Mortgage Loan (or Loans) and (ii) the amount by which the distributions to the Class PO Certificates have been so reduced shall be distributed to the Classes of Certificates of the related Certificate Group described in clause (ii) of the preceding paragraph in the same proportion as described in such clause (ii). For purposes of the preceding sentence, any Class PO Deferred Amount distributed to a Class PO Certificate on previous Distribution Dates shall be deemed to have been allocated in respect of the Mortgage Loans as to which the applicable PO Percentage of the principal portion of Realized Losses has previously been allocated to such Class on a pro rata basis (based on the amount of Realized Losses so allocated). Section 4.02. Method of Distribution. (a) All distributions with respect to each Class of Certificates on each Distribution Date shall be made pro rata among the outstanding Certificates of such Class, based on the Percentage Interest in such Class represented by each Certificate. Payments to the Certificateholders on each Distribution Date will be made by the Trustee to the Certificateholders of record on the related Record Date (other than as provided in Section 9.01 respecting the final distribution) by check or money order mailed to a Certificateholder at the address appearing in the Certificate Register, or upon written request by such Certificateholder to the Trustee made not later than the applicable Record Date, by wire transfer to a U.S. depository institution acceptable to the Trustee, or by such other means of payment as such Certificateholder and the Trustee shall agree. (b) Each distribution with respect to a Book-Entry Certificate shall be paid to the Depository, which shall credit the amount of such distribution to the accounts of its Depository Participants in accordance with its normal procedures. Each Depository Participant shall be responsible for disbursing such distribution to the Certificate Owners that it represents and to each Financial Intermediary for which it acts as agent. Each Financial Intermediary shall be responsible for disbursing funds to the Certificate Owners that it represents. All such credits and disbursements with respect to a Book-Entry Certificate are to be made by the Depository and the Depository Participants in accordance with the provisions of the applicable Certificates. Neither the Trustee nor the Company shall have any responsibility therefor except as otherwise provided by applicable law. (c) The Trustee shall withhold or cause to be withheld such amounts as it reasonably determines are required by the Code (giving full effect to any exemptions from withholding and related certifications required to be furnished by Certificateholders or Certificate Owners and any reductions to withholding by virtue of any bilateral tax treaties and any 95 applicable certification required to be furnished by Certificateholders or Certificate Owners with respect thereto) from distributions to be made to Non-U.S. Persons. If the Trustee reasonably determines that a more accurate determination of the amount required to be withheld for a distribution can be made within a reasonable period after the scheduled date for such distribution, it may hold such distribution in trust for a holder of a Residual Certificate until such determination can be made. For the purposes of this paragraph, a "Non-U.S. Person" is (i) an individual other than a citizen or resident of the United States, (ii) a partnership, corporation or entity treated as a partnership or corporation for U.S. federal income tax purposes not formed under the laws of the United States, any state thereof or the District of Columbia (unless, in the case of a partnership, Treasury regulations provide otherwise), (iii) any estate, the income of which is not subject to U.S. federal income taxation, regardless of source, and (iv) any trust, other than a trust that a court within the United States is able to exercise primary supervision over the administration of the trust and one or more U.S. Persons have the authority to control all substantial decisions of the trust. Section 4.03. Allocation of Losses. (a) On or prior to each Determination Date, the Company shall determine the amount of any Realized Loss in respect of each Mortgage Loan in each Mortgage Pool that occurred during the immediately preceding calendar month. (b) With respect to any Distribution Date, the principal portion of each Realized Loss (other than any Excess Loss) in respect of Pool 1 shall be allocated as follows: (i) the applicable PO Percentage of the principal portion of any such Realized Loss shall be allocated to the Class 1-PO Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; and (ii) the applicable Non-PO Percentage of the principal portion of any such Realized Loss shall be allocated in the following order of priority: first, to the Class 1-B5 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; second, to the Class 1-B4 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; third, to the Class 1-B3 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fourth, to the Class 1-B2 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fifth, to the Class 1-B1 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; 96 sixth, to the Class 1-M Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; and seventh, to the Classes of Pool 1 Senior Certificates other than the Class 1-PO Certificates, pro rata, in accordance with their Class Certificate Principal Balances; provided, that any such loss allocated to any Class of Accrual Certificates (and any Accrual Component) shall be allocated (subject to Section 4.03(d)) on the basis of the lesser of (x) the Class Certificate Principal Balance (or Component Principal Balance) thereof immediately prior to the applicable Distribution Date and (y) the Class Certificate Principal Balance (or Component Principal Balance) thereof on the Closing Date (as reduced by any Realized Losses previously allocated thereto); and provided, further, that all such losses other than Non-Credit Losses, that would otherwise be allocable to the Class 1-A8 Certificates shall be allocable, first, to the Class 1-A17 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero, and, second, to the Class 1-A8 Certificates. With respect to any Distribution Date, the principal portion of each Realized Loss (other than any Excess Loss) in respect of Pool 2 shall be allocated as follows: (i) the applicable PO Percentage of the principal portion of any such Realized Loss shall be allocated to the Class 2-PO Certificates until the Class Certificate Principal Balance of such Class has been reduced to zero; and (ii) the applicable Non-PO Percentage of the principal portion of any such Realized Loss shall be allocated in the following order of priority: first, to the Class 2-B5 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; second, to the Class 2-B4 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; third, to the Class 2-B3 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fourth, to the Class 2-B2 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fifth, to the Class 2-B1 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; sixth, to the Class 2-M Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; and 97 seventh, to the Classes of Pool 2 Senior Certificates other than the Class 2-PO Certificates, pro rata, in accordance with their Class Certificate Principal Balances; provided, that any such loss allocated to any Class of Accrual Certificates (and any Accrual Component) shall be allocated (subject to Section 4.03(d)) on the basis of the lesser of (x) the Class Certificate Principal Balance (or Component Principal Balance) thereof immediately prior to the applicable Distribution Date and (y) the Class Certificate Principal Balance (or Component Principal Balance) thereof on the Closing Date (as reduced by any Realized Losses previously allocated thereto). With respect to any Distribution Date, the principal portion of each Realized Loss (other than any Excess Loss) in respect of Pool 3 shall be allocated as follows: (i) the applicable PO Percentage of the principal portion of any such Realized Loss shall be allocated to the Class 3-PO Certificates until the Class Certificate Principal Balance of such Class has been reduced to zero; and (ii) the applicable Non-PO Percentage of the principal portion of any such Realized Loss shall be allocated in the following order of priority: first, to the Class 3-B5 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; second, to the Class 3-B4 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; third, to the Class 3-B3 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fourth, to the Class 3-B2 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fifth, to the Class 3-B1 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; sixth, to the Class 3-M Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; and seventh, to the Classes of Pool 3 Senior Certificates other than the Class 3-PO Certificates, pro rata, in accordance with their Class Certificate Principal Balances; provided, that any such loss allocated to any Class of Accrual Certificates (and any Accrual Component) shall be allocated (subject to Section 4.03(d)) on the basis of the lesser of (x) the Class Certificate Principal Balance (or Component 98 Principal Balance) thereof immediately prior to the applicable Distribution Date and (y) the Class Certificate Principal Balance (or Component Principal Balance) thereof on the Closing Date (as reduced by any Realized Losses previously allocated thereto). With respect to any Distribution Date, the principal portion of each Realized Loss (other than any Excess Loss) in respect of Pool 4 shall be allocated as follows: (i) the applicable PO Percentage of the principal portion of any such Realized Loss shall be allocated to the Class 4-PO Certificates until the Class Certificate Principal Balance of such Class has been reduced to zero; and (ii) the applicable Non-PO Percentage of the principal portion of any such Realized Loss shall be allocated in the following order of priority: first, to the Class 4-B5 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; second, to the Class 4-B4 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; third, to the Class 4-B3 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fourth, to the Class 4-B2 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; fifth, to the Class 4-B1 Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; sixth, to the Class 4-M Certificates until the Class Certificate Principal Balance thereof has been reduced to zero; and seventh, to the Classes of Pool 4 Senior Certificates other than the Class 4-PO Certificates, pro rata, in accordance with their Class Certificate Principal Balances; provided, that any such loss allocated to any Class of Accrual Certificates (and any Accrual Component) shall be allocated (subject to Section 4.03(d)) on the basis of the lesser of (x) the Class Certificate Principal Balance (or Component Principal Balance) thereof immediately prior to the applicable Distribution Date and (y) the Class Certificate Principal Balance (or Component Principal Balance) thereof on the Closing Date (as reduced by any Realized Losses previously allocated thereto). (c) With respect to any Distribution Date, the principal portion of any Excess Loss in respect of a Mortgage Pool (other than Excess Bankruptcy Losses attributable to Debt Service Reductions) shall be allocated as follows: (1) the applicable PO Percentage of any such loss shall be allocated to the Class 1-PO Certificates, in the case of Pool 1, to the Class 2-PO Certificates, in the case of Pool 2, to the Class 3-PO Certificates, in the case of Pool 3, and to the 99 Class 4-PO Certificates, in the case of Pool 4, and (2) the applicable Non-PO Percentage of any such loss shall be allocated to each Class of Pool 1 Certificates other than the Class 1-PO Certificates, in the case of Pool 1, to each Class of Pool 2 Certificates other than the Class 2-PO Certificates, in the case of Pool 2, to each Class of Pool 3 Certificates other than the Class 3-PO Certificates, in the case of Pool 3, and to each Class of Pool 4 Certificates other than the Class 4-PO Certificates, in the case of Pool 4, pro rata, based on the respective Class CertificatePrincipal Balances thereof; provided, that any such loss allocated to any Class of Accrual Certificates (and any Accrual Component) shall be allocated (subject to Section 4.03(d)) on the basis of the lesser of (x) the Class Certificate Principal Balance (or Component Principal Balance) thereof immediately prior to the applicable Distribution Date and (y) the Class Certificate Principal Balance (or Component Principal Balance) thereof on the Closing Date (as reduced by any Realized Losses previously allocated thereto). (d) Any Realized Losses allocated to a Class of Certificates pursuant to Section 4.03(b) or (c) shall be allocated among the Certificates of such Class in proportion to their respective Certificate Principal Balances. In addition, any Realized Losses allocated to any Class of Component Certificates on a Distribution Date shall be allocated in reduction of the Component Principal Balances of the related Components (other than any Notional Component) in proportion to their respective Component Principal Balances immediately prior to such Distribution Date. Any allocation of Realized Losses pursuant to this paragraph (d) shall be accomplished by reducing the Certificate Principal Balance (or, in the case of any Component, the Component Principal Balance) of the related Certificates (or Components) on the related Distribution Date in accordance with Section 4.03(e). (e) Realized Losses allocated in accordance with this Section 4.03 shall be allocated on the Distribution Date in the month following the month in which such loss was incurred and, in the case of the principal portion thereof, after giving effect to distributions made on such Distribution Date, except that the aggregate amount of Realized Losses in respect of Pool 1 to be allocated to the Class 1-PO Certificates on such Distribution Date will be taken into account in determining distributions in respect of any related Class PO Deferred Amount for such date, the aggregate amount of Realized Losses in respect of Pool 2 to be allocated to the Class 2-PO Certificates on such Distribution Date will be taken into account in determining distributions in respect of any related Class PO Deferred Amount for such date, the aggregate amount of Realized Losses in respect of Pool 3 to be allocated to the Class 3-PO Certificates on such Distribution Date will be taken into account in determining distributions in respect of any related Class PO Deferred Amount for such date, and the aggregate amount of Realized Losses in respect of Pool 4 to be allocated to the Class 4-PO Certificates on such Distribution Date will be taken into account in determining distributions in respect of any related Class PO Deferred Amount for such date. (f) On each Distribution Date, the Company shall determine the Subordinate Certificate Writedown Amount, if any, for each Mortgage Pool. Any such Subordinate Certificate Writedown Amount shall effect a corresponding reduction in the Certificate Principal Balance of the Subordinate Certificates of the related Certificate Group, which reduction shall 100 occur on such Distribution Date after giving effect to distributions made on such Distribution Date. (g) Notwithstanding the foregoing, no such allocation of the principal portion of any Realized Loss in respect of a Mortgage Pool shall be made on a Distribution Date to a Class of Certificates of the related Certificate Group to the extent that such allocation would result in the reduction of the aggregate Certificate Principal Balances of all the Certificates as of such Distribution Date, after giving effect to all distributions and prior allocations of Realized Losses in respect of such Mortgage Pool on such date, to an amount less than the aggregate Scheduled Principal Balance of the Mortgage Loans in the related Mortgage Pool as of the first day of the month of such Distribution Date, less any Deficient Valuations occurring on or prior to the related Bankruptcy Coverage Termination Date (such limitation, the related "Loss Allocation Limitation"). (h) Any allocation of a Realized Loss to a Class of Pool 1 Certificates or a Class of Pool 2 Certificates (or Component), or of any Subordinate Certificate Writedown Amount to a Class of Subordinate Certificates in Pool 1 or Pool 2, respectively, pursuant to this Section 4.03 shall effect a corresponding allocation thereof to the corresponding Class of Lower Tier Interest and, in the case of the principal portion of any such Realized loss and any such Subordinate certificate Writedown Amount, a corresponding reduction in the related Lower Tier Balance thereof Section 4.04. Monthly Advances; Purchases of Defaulted Mortgage Loans. (a) The Company shall be required to make Monthly Advances in the manner and to the extent provided herein. Prior to the close of business on each Determination Date, the Company shall determine (i) the amount of the Monthly Advance which it is required to make on the related Distribution Date and (ii) whether it has elected to purchase any Defaulted Mortgage Loan or Loans on such Distribution Date. If the Company so elects to purchase any Defaulted Mortgage Loans (or is required to purchase any Mortgage Loan pursuant to Section 2.02 or 2.03(a)), no Monthly Advance shall be required with respect thereto for the month in which such purchase occurs. The Company shall include information as to each of such determinations in the Servicer's Certificate furnished by it to the Trustee in accordance with Section 4.06 and shall be obligated to transfer to the related Certificate Account pursuant to Section 3.02(d) on or before 11:00 a.m. New York time on the Business Day next preceding the following Distribution Date in next-day funds the respective amounts applicable to such determinations appearing in such Servicer's Certificate. Upon receipt by the Trustee of written notification signed by a Servicing Officer of any such deposit relating to the purchase by the Company of such a Mortgage Loan, the Trustee shall release to the Company the related Mortgage File and shall execute and deliver such instruments of transfer or assignment, in each case without recourse, as shall be necessary to vest in the Company any Mortgage Loan released pursuant hereto. (b) In the event that the Company transfers or expects to transfer less than the Available Funds in respect of a Mortgage Pool required to be deposited by it pursuant to Section 3.02(d), the Company shall so notify the Trustee no later than 9:00 a.m. on the Business Day 101 preceding the related Distribution Date, and the amount so transferred, if any, shall be deemed to have been transferred first pursuant to clause (1) of the definition of Available Funds for such Mortgage Pool, second pursuant to clause (iii) of the definition of Available Funds for such Mortgage Pool, and third pursuant to clause (ii) of the definition of Available Funds for such Mortgage Pool. Such notice shall specify each Mortgage Loan delinquent as of the preceding Determination Date. In such event, the Trustee shall make any Monthly Advance required to be made hereunder, in the manner and to the extent required; provided, the Trustee shall not be so obligated if prohibited by applicable law. (c) In the event that the Company is succeeded hereunder as servicer, the obligation to make Monthly Advances in the manner and to the extent required by Section 4.04(a) shall be assumed by the successor servicer (subject to Section 7.02). Section 4.05. Statements to Certificateholders. Each month, at least two Business Days prior to each Distribution Date, the Company shall deliver to the Trustee for mailing to each Certificateholder, and the Trustee shall mail to each Certificateholder on such Distribution Date, a statement (each, a "Distribution Date Statement") substantially in the form of Exhibit J hereto, setting forth: (i) The amount of such distribution to the Certificateholders of each Class (and in respect of any Component), other than any Notional Certificates (and any Notional Component), allocable to principal, separately identifying the aggregate amount of any Principal Prepayments included therein (including, for this purpose, the Scheduled Principal Balances of all Defaulted Mortgage Loans and Defective Mortgage Loans purchased pursuant to Section 2.02, 2.03(b) or 3.16, respectively, and any amounts deposited pursuant to Section 2.03(b) in connection with the substitution of any Mortgage Loans pursuant to Section 2.02 or 2.03(a), the proceeds of which purchases or substitutions are being distributed on such Distribution Date); (ii) The amount of such distribution to the Certificateholders of each Class (other than any Class of Principal Only Certificates) allocable to interest, including any Accrual Amount added to the Class Certificate Principal Balance of any Class of Accrual Certificates (or the Component Principal Balance of any Accrual Component); (iii) The amount of servicing compensation paid to the Company during the month preceding the month of distribution in respect of the Mortgage Loans and such other customary information as the Company deems necessary or desirable to enable Certificateholders to prepare their tax returns; (iv) The Pool Scheduled Principal Balance for each Mortgage Pool and the aggregate number of the Mortgage Loans in each Mortgage Pool on the preceding Due Date after giving effect to all distributions allocable to principal made on such Distribution Date; 102 (v) The Class Certificate Principal Balance (or Notional Principal Balance) of each Class, the Component Principal Balance of each Component and the Certificate Principal Balance (or Notional Principal Balance) of a Single Certificate of each Class after giving effect to (i) all distributions allocable to principal (or reductions in the Notional Principal Balance, in the case of the Notional Certificates, or the addition of any Accrual Amount, in the case of any Class of Accrual Certificates or Accrual Component) made on such Distribution Date and (ii) the allocation of any Realized Losses and any Subordinate Certificate Writedown Amount for such Distribution Date; (vi) The Pay-out Rate applicable to each Class of Certificates; (vii) The book value and unpaid principal balance of any real estate acquired on behalf of Certificateholders through foreclosure, or grant of a deed in lieu of foreclosure or otherwise, of any REO Mortgage Loan, and the number of the related Mortgage Loans, separately identified as to each Mortgage Pool; (viii) The aggregate Scheduled Principal Balances and number of Mortgage Loans which, as of the close of business on the last day of the month preceding the related Distribution Date, were (a) delinquent as to a total of (x) 30-59 days, (y) 60-89 days and (z) 90 days or more, and (b) in foreclosure, separately identified as to each Mortgage Pool; (ix) The Scheduled Principal Balance of any Mortgage Loan replaced pursuant to Section 2.03(b); (x) The Certificate Interest Rates of any LIBOR Certificates and any COFI Certificates applicable to the Interest Accrual Period relating to such Distribution Date and such Class; (xi) The Senior Percentage and Junior Percentage for each Certificate Group, the Class 2-A9 Scheduled Distribution Percentage, the Class 2-A9 Prepayment Distribution Percentage, the Class 2-A9 Percentage, the Class 3-A3 Prepayment Distribution Percentage, the Class 3-A3 Percentage, the Class 4-A4 Distribution Percentage and the Class 4-A4 Percentage for such Distribution Date; (xii) The Senior Prepayment Percentage and Junior Prepayment Percentage for each Certificate Group for such Distribution Date; and (xiii) The amount of such distribution to the Certificateholders of each Class allocable to Unanticipated Recoveries. In the case of information furnished pursuant to clauses (i) through (iii) above, the amounts shall be expressed as a dollar amount per Single Certificate. 103 In connection with any proposed transfer of a Certificate that is purported to be made in reliance on Rule 144A under the Securities Act, the Company shall be responsible for furnishing such information as may be required thereunder to a proposed transferee. In furtherance of the Company's obligations hereunder, the Company hereby instructs the Trustee, at the Company's expense and on its behalf, and the Trustee agrees, to promptly make available to the proposed transferee, upon request of the holder, (i) all statements furnished to Certificateholders of the related Certificate Group pursuant to this Section 4.05(a) on previous Distribution Dates, (ii) all certificates furnished to the Trustee pursuant to Section 4.06 in prior months, (iii) Officer's Certificates furnished to the Trustee pursuant to Section 3.12 for the two years preceding such request, (iv) reports of independent accountants furnished to the Trustee pursuant to Section 3.13 for the two years preceding such request, (v) a copy of the Private Placement Memorandum relating to such Certificate, together with any amendments or supplements thereto issued by the Company (which copy shall be furnished to the Trustee by the Company), and (vi) the Company's Current Report on Form 8-K, dated the Closing Date, relating to the Mortgage Loans; provided, however, that the Trustee shall in no event be required to make available such statements or certificates pursuant to clauses (i) and (ii) above relating to Distribution Dates occurring more than twenty-four months preceding the month in which such request was received; provided, further, however, that notwithstanding the Trustee's agreement as aforesaid to provide such materials to a proposed transferee, the Trustee does not assume, and shall not thereby be deemed to have assumed, any responsibility for compliance by the Company with Rule 144A (subject to the Trustee's agreement set forth in the second sentence of this paragraph) and shall be entitled to include a notice with such statements or certificates to the effect that such materials have not been prepared or assembled by the Trustee and that the Trustee assumes no responsibility for the adequacy, sufficiency or contents thereof. In connection with any such proposed transfer, the Company shall make available to the proposed holder, at the request of the related transferor, such additional information, if any, as may be required to be delivered pursuant to Rule 144A(d)(4). Section 4.06. Servicer's Certificate. Each month, not later than the second Business Day next preceding each Distribution Date, the Company shall deliver to the Trustee a completed Servicer's Certificate. Section 4.07. Reports of Foreclosures and Abandonments of Mortgaged Property. The Trustee (or the Company on behalf of the Trustee) shall, in each year beginning after 1998, make the reports of foreclosures and abandonments of any Mortgaged Property as required by section 6050J of the Code. In order to facilitate this reporting process, the Company, on or before January 15th of each year, shall provide to the Trustee reports relating to each instance occurring during the previous calendar year in which the Company (i) on behalf of the Trustee acquires an interest in a Mortgaged Property through foreclosure or other comparable conversion in full or partial satisfaction of a Mortgage Loan, or (ii) knows or has reason to know that a Mortgaged Property has been abandoned. Reports from the Company shall be in form and substance sufficient to meet the reporting requirements imposed by section 6050J of the Code. Section 4.08. Reduction of Servicing Fees by Compensating Interest Payments. The aggregate amount of the Base Servicing Fees subject to retention by the Company as servicer in 104 respect of any Distribution Date and either Mortgage Pool shall be reduced by the amount of any Compensating Interest Payment for such Distribution Date and such Mortgage Pool. Section 4.09. Surety Bond. (a) If a Required Surety Payment is payable pursuant to the Surety Bond with respect to any Pledged Asset Mortgage Loan, the Company shall so notify the Trustee as soon as reasonably practicable and shall, on behalf of the Trustee for the benefit of the related Certificateholders, promptly complete the notice in the form of Attachment 1 to the Surety Bond and shall promptly submit such notice to the Surety as a claim for a Required Surety Payment. (b) Upon receipt of a Required Surety Payment from the Surety on behalf of the Certificateholders, the Company shall promptly credit the Mortgage Loan Payment Record and shall distribute such Required Surety Payment, or the proceeds thereof, in accordance with the provisions of Section 4.01. ARTICLE V. THE CERTIFICATES Section 5.01. The Certificates. (a) The Certificates shall be substantially in the forms set forth in Exhibit A hereto, as applicable, and shall, on original issue, be executed by the Trustee, not in its individual capacity but solely as Trustee, and countersigned and delivered by the Trustee to or upon the order of the Company as provided in Article II. (b) The Pool 1 Certificates, the Pool 2 Certificates, the Pool 3 Certificates and the Pool 4 Certificates shall be issued in aggregate Initial Certificate Principal Balances of $400,661,895.62, $200,222,314.36, $176,002,356.26 and $201,364,346.26, respectively. Such aggregate original principal balances shall be divided among the Classes having the designations, Class Certificate Principal Balances, Certificate Interest Rates and minimum denominations as follows: 105 Initial Class Certificate Certificate Principal Interest Minimum Designation Balance Rate Denominations - ----------- ------------- ----------- ------------- Pool 1 Class 1-A1 $53,290,000.00 6.50% $ 25,000 Class 1-A2 39,687,000.00 6.60 25,000 Class 1-A3 43,496,000.00 6.70 25,000 Class 1-A4 33,220,000.00 6.75 25,000 Class 1-A5 13,974,000.00 6.75 25,000 Class 1-A6 (1) 6.75 121,000 Class 1-A7 93,271,000.00 6.75 25,000 Class 1-A8 38,202,219.00 (2) 25,000 Class 1-A9 9,904,279.00 (2) 25,000 Class 1-A10 116,705.00 6.75 25,000 Class 1-A11 28,341,750.00 (2) 25,000 Class 1-A12 9,447,250.00 (2) 25,000 Class 1-A13 20,199,000.00 6.75 25,000 Class 1-A14 625,797.00 6.75 25,000 Class 1-PO 859,424.52 0.00 (3) Class 1-M 7,412,000.00 6.75 100,000 Class 1-B1 3,205,500.00 6.75 100,000 Class 1-B2 1,803,000.00 6.75 100,000 Class 1-B3 1,603,000.00 6.75 250,000 Class 1-B4 801,000.00 6.75 250,000 Class 1-B5 1,202,871.10 6.75 250,000 Class 1-R 50.00 6.75 100 Class 1-RL 50.00 6.75 100 Pool 2 Class 2-A1 $42,800,000.00 6.60 25,000 Class 2-A2 23,450,000.00 6.55 25,000 Class 2-A3 (4) 6.75 139,000 Class 2-A4 69,660,000.00 (2) 25,000 Class 2-A5 13,416,000.00 (2) 25,000 Class 2-A6 4,644,000.00 (2) 25,000 Class 2-A7 5,361,000.00 6.75 25,000 Class 2-A8 968,000.00 6.75 25,000 Class 2-A9 31,800,000.00 6.75 25,000 Class 2-PO 114,033.61 0.00 (3) Class 2-M 3,703,000.00 6.75 100,000 Class 2-B1 1,502,000.00 6.75 100,000 Class 2-B2 801,000.00 6.75 100,000 Class 2-B3 801,000.00 6.75 250,000 Class 2-B4 401,000.00 6.75 250,000 Class 2-B5 801,080.75 6.75 250,000 Class 2-R 100.00 6.75 100 Class 2-RL 100.00 6.75 100 106 Initial Class Certificate Certificate Principal Interest Minimum Designation Balance Rate Denominations - ----------- ------------- ----------- ------------- Pool 3 Class 3-A1 $37,700,000.00 6.50 25,000 Class 3-A2 2,300,000.00 6.50 25,000 Class 3-A3 10,000,000.00 6.50 25,000 Class 3-A4 121,818,119.00 6.50 25,000 Class 3-PO 664,090.01 0.00 (3) Class 3-M 1,320,017.00 6.50 100,000 Class 3-B1 440,005.00 6.50 100,000 Class 3-B2 440,005.00 6.50 100,000 Class 3-B3 792,010.00 6.50 25,000 Class 3-B4 264,003.00 6.50 25,000 Class 3-B5 264,007.25 6.50 25,000 Class 3-R 100.00 6.50 100 Pool 4 Class 4-A1 $71,750,000.00 6.75 25,000 Class 4-A2 11,149,185.00 (2) 25,000 Class 4-A3 3,716,395.00 (2) 25,000 Class 4-A4 20,140,000.00 6.75 25,000 Class 4-A5 45,100,000.00 6.75 25,000 Class 4-A6 19,500,000.00 6.75 25,000 Class 4-A7 3,125,000.00 7.00 1,000 Class 4-A8 3,125,000.00 6.50 1,000 Class 4-A9 3,300,000.00 6.75 1,000 Class 4-A10 3,100,000.00 7.00 1,000 Class 4-A11 3,100,000.00 6.50 1,000 Class 4-A12 3,750,000.00 6.75 1,000 Class 4-A13 2,124,900.00 6.75 1,000 Class 4-PO 329,191.69 0.00 (3) Class 4-M 3,725,240.00 6.75 100,000 Class 4-B1 1,610,914.00 6.75 100,000 Class 4-B2 906,139.00 6.75 100,000 Class 4-B3 805,457.00 6.75 250,000 Class 4-B4 402,728.00 6.75 250,000 Class 4-B5 604,096.57 6.75 250,000 Class 4-R 100.00 6.75 100 - ------------------- (1) The Class 1-A6 Certificates are issued with an initial Notional Principal Balance of $3,177,829.00. (2) The Certificate Interest Rates of the Class 1-A8, Class 1-A9, Class 1-A11, Class 1-A12, Class 2-A4, Class 2-A5, Class 2-A6, Class 4-A2 and Class 4-A3 Certificates for each Interest Accrual Period shall be determined as provided in Section 5.01(e). (3) Each of the Class PO Certificates will be issued as a single certificate evidencing the entire Class Certificate Principal Balance of such Class. (4) The Class 2-A3 Certificates are issued with an initial Notional Principal Balance of $1,645,926. 107 (c) The Certificates shall be issuable in registered form only. The Book-Entry Certificates will be evidenced by one or more certificates, beneficial ownership of which will be held in the minimum dollar denominations in Certificate Principal Balance or Notional Principal Balance, as applicable, specified in Section 5.01(b), and integral multiples of $1,000 in excess thereof. The Non-Book-Entry Certificates other than the Residual Certificates shall each be issued in the minimum dollar denominations in Certificate Principal Balance or Notional Principal Balance, as applicable, specified in Section 5.01(b), and integral multiples of $1,000 in excess thereof (and, if necessary, in the amount of the remaining Class Certificate Principal Balance or Notional Principal Balance, as applicable, of each Class, in the case of one Certificate of such Class). Each Class of Residual Certificates shall be issued as a single certificate evidencing the entire Class Certificate Principal Balance of such Class and having a Percentage Interest of 100%. If necessary, one Certificate of each Class of Book-Entry Certificates may evidence an additional amount equal to the remainder of the Class Certificate Principal Balance (or Notional Principal Balance) of such Class. (d) The Certificates shall be executed by manual or facsimile signature on behalf of the Trustee by an authorized officer under its seal, which may be in facsimile form and be imprinted or otherwise reproduced thereon. Certificates bearing the manual or facsimile signatures of individuals who were, at the time when such signatures were affixed, authorized to sign on behalf of the Trustee shall bind the Trustee, notwithstanding that such individuals or any of them have ceased to be so authorized prior to the authentication and delivery of such Certificates or did not hold such offices at the date of such Certificate. No Certificate shall be entitled to any benefit under this Agreement, or be valid for any purpose, unless such Certificate shall have been manually countersigned by the Trustee substantially in the forms set forth in Exhibit A hereto, and such countersignature upon any Certificate shall be conclusive evidence, and the only evidence, that such Certificate has been duly executed and delivered hereunder. All Certificates issued on the Closing Date shall be dated the Closing Date; all Certificates issued thereafter shall be dated the date of their countersignature. (e) During the first Interest Accrual Period, the Certificate Interest Rate of the Class 1-A8 Certificates shall be 6.156% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 1-A8 Certificates shall be a per annum rate equal to the lesser of (i) 0.50% plus LIBOR and (ii) 8.50%, subject to a minimum rate of 0.50%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 1-A9 Certificates shall be 9.041143% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 1-A9 Certificates shall be a per annum rate equal to the lesser of (i) 30.857143% minus the product of 3.857143 and LIBOR, and (ii) 30.857143%, subject to a minimum rate of 0.00%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 1-A11 Certificates shall be 6.356% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 1-A11 Certificates shall be a per annum rate equal to the lesser of (i) 0.70% plus LIBOR and (ii) 9%, subject to a minimum rate of 0.70%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 1-A12 Certificates shall be 7.932% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 1-A12 Certificates shall be a per annum rate equal to the lesser of (i) 24.90% minus the product of 3.0 and LIBOR, and (ii) 24.90%, subject to a minimum 108 rate of 0.00%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 2-A4 Certificates shall be 6.15% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 2-A4 Certificates shall be a per annum rate equal to the lesser of (i) 0.50% plus LIBOR and (ii) 8.50%, subject to a minimum rate of 0.50%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 2-A5 Certificates shall be 9.60575% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 2-A5 Certificates shall be a per annum rate equal to the lesser of (i) 38.94230% minus the product of 5.19231 and LIBOR, and (ii) 38.94230%, subject to a minimum rate of 0.00%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 2-A6 Certificates shall be 7.500% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 2-A6 Certificates shall be a per annum rate equal to the lesser of (i) 120% minus the product of 15 and LIBOR, and (ii) 7.50%, subject to a minimum rate of 0.00%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 4-A2 Certificates shall be 6.55625% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 4-A2 Certificates shall be a per annum rate equal to the lesser of (i) 0.90% plus LIBOR and (ii) 9.00%, subject to a minimum rate of 0.90%. During the first Interest Accrual Period, the Certificate Interest Rate of the Class 4-A3 Certificates shall be 7.33125% per annum. For each subsequent Interest Accrual Period, the Certificate Interest Rate of the Class 4-A3 Certificates shall be a per annum rate equal to the lesser of (i) 24.30% minus the product of 3.00 and LIBOR, and (ii) 24.30%, subject to a minimum rate of 0.00%. Section 5.02. Registration of Transfer and Exchange of Certificates. (a) The Trustee shall cause to be kept at an office or agency in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, New York 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. The Trustee shall initially serve as Certificate Registrar for the purpose of registering Certificates and transfers and exchanges of Certificates as herein provided. Subject to Sections 5.02(b) and 5.02(c), upon surrender for registration of transfer of any Certificate at the Corporate Trust Office, the Trustee shall execute, authenticate and deliver, in the name of the designated transferee or transferees, one or more new Certificates of the same Class in authorized denominations of a like Percentage Interest. At the option of a Certificateholder, Certificates may be exchanged for other Certificates of authorized denominations of a like Class and Percentage Interest, upon surrender of the Certificates to be exchanged at any such office or agency. Whenever any Certificates are so surrendered for exchange the Trustee shall execute, countersign and deliver the Certificates which the Certificateholder making the exchange is entitled to receive. Every Certificate presented or surrendered for registration of transfer or exchange shall be accompanied by a written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by the Holder thereof or his attorney duly authorized in writing. No service charge shall be made for any registration of transfer or exchange of Certificates, but the Trustee may require payment of a sum sufficient to cover any tax or 109 governmental charge that may be imposed in connection with any transfer or exchange of Certificates. All Certificates surrendered for registration of transfer and exchange shall be canceled and subsequently destroyed by the Trustee and a certificate of destruction shall be delivered by the Trustee to the Company. (b) No legal or beneficial interest in all or any portion of the Residual Certificates may be transferred directly or indirectly to (i) a Disqualified Organization or an agent of a Disqualified Organization (including a broker, nominee, or middleman), (ii) an entity that holds REMIC residual securities as nominee to facilitate the clearance and settlement of such securities through electronic book-entry changes in accounts of participating organizations (a "Book-Entry Nominee"), or (iii) an individual, corporation, partnership or other person unless such transferee (A) is not a Non-U.S. Person or (B) is a Non-U.S. Person that holds a Residual Certificate in connection with the conduct of a trade or business within the United States and has furnished the transferor and the Trustee with an effective Internal Revenue Service Form 4224 or (C) is a Non-U.S. Person that has delivered to both the transferor and the Trustee an opinion of a nationally recognized tax counsel to the effect that the transfer of a Residual Certificate to it is in accordance with the requirements of the Code and the regulations promulgated thereunder and that such transfer of a Residual Certificate will not be disregarded for federal income tax purposes (any such person who is not covered by clause (A), (B) or (C) above being referred to herein as a "Non-permitted Foreign Holder"), and any such purported transfer shall be void and have no effect. The Trustee shall not execute, and shall not authenticate and deliver, a Residual Certificate in connection with any transfer thereof unless the transferor shall have provided to the Trustee an affidavit, substantially in the form attached as Exhibit F hereto, signed by the transferee, to the effect that the transferee is not such a Disqualified Organization, an agent (including a broker, nominee, or middleman) for any entity as to which the transferee has not received a substantially similar affidavit, a Book-Entry Nominee or a Non-permitted Foreign Holder, which affidavit shall contain the consent of the transferee to any such amendments of this Agreement as may be required to further effectuate the foregoing restrictions on transfer of the Residual Certificates to Disqualified Organizations, Book-Entry Nominees or Non-permitted Foreign Holders, and an agreement by the Transferee that it will not transfer a Residual Certificate without providing to the Trustee an affidavit substantially in the form attached as Exhibit F hereto and a letter substantially in the form attached as Exhibit G hereto. Such affidavit shall also contain the statement of the transferee that (i) it does not have the intention to impede the assessment or collection of any federal, state or local taxes legally required to be paid with respect to the Residual Certificates and (ii) it understands that it may incur tax liabilities in excess of cash flows generated by a Residual Certificate and that it intends to pay taxes associated with holding a Residual Certificate as they become due. The affidavit described in the preceding paragraph, if not executed in connection with the initial issuance of the Residual Certificates, shall be accompanied by a written statement in the form attached as Exhibit G hereto, signed by the transferor, to the effect that as of the time of the transfer, the transferor has (i) no actual knowledge that the transferee is a Disqualified Organization, Book-Entry Nominee or Non-permitted Foreign Holder, (ii) no reason to believe 110 that the transferee has the intention to impede the assessment or collection of any federal, state or local taxes legally required to be paid with respect to a Residual Certificate, and (iii) conducted a reasonable investigation and found that the transferee had historically paid its debts as they came due and found no significant evidence to indicate that the transferee will not continue to pay its debts as they become due. The Residual Certificates shall bear a legend referring to the foregoing restrictions contained in this paragraph and the preceding paragraph. Upon notice to the Company that any legal or beneficial interest in any portion of the Residual Certificates has been transferred, directly or indirectly, to a Disqualified Organization or agent thereof (including a broker, nominee, or middleman) in contravention of the foregoing restrictions, (i) such transferee shall be deemed to hold such Residual Certificate in constructive trust for the last transferor who was not a Disqualified Organization or agent thereof, and such transferor shall be restored as the owner of such Residual Certificate as completely as if such transfer had never occurred, provided that the Company may, but is not required to, recover any distributions made to such transferee with respect to such Residual Certificate and return such recovery to the transferor, and (ii) the Company agrees to furnish to the Internal Revenue Service and to any transferor of such Residual Certificate or such agent (within 60 days of the request therefor by the transferor or agent) such information necessary to the application of section 860E(e) of the Code as may be required by the Code, including but not limited to the present value of the total anticipated excess inclusions with respect to such Residual Certificate (or portion thereof) for periods after such transfer. At the election of the Company, the cost to the Company of computing and furnishing such information may be charged to the transferor or such agent referred to above; however, the Company shall in no event be excused from furnishing such information. The restrictions on transfers of the Residual Certificates set forth in the preceding three paragraphs shall cease to apply to transfers (and the applicable portions of the legend to the Residual Certificates may be deleted) after delivery to the Trustee of an Opinion of Counsel to the effect that the elimination of such restrictions will not cause the related REMIC established hereunder to fail to qualify as a REMIC at any time that the Certificates are outstanding. No transfer of a Restricted Certificate shall be made unless such transfer is made pursuant to an effective registration statement under the Securities Act of 1933, as amended (the "Act"), and any applicable state securities laws, in each case as evidenced by an Officer's Certificate, or is exempt from the registration requirements of the Act and any applicable state securities laws. In the event of such registration, any restrictive legends set forth in the form of the relevant Restricted Certificate in Exhibit A hereto with respect to the Act and state securities law restrictions shall be removed by the Trustee upon request of the Holder thereof and automatically upon exchange or registration of transfer thereof. As a condition to any transfer that is to be made in reliance upon an exemption from the Act and such laws of a (i) Class PO Certificate or (ii) Restricted Junior Certificate to any person other than a QIB (as certified by the proposed transferee in the form of assignment attached to the related Certificate), either (x) the Trustee shall require the transferee to execute an investment letter in the form substantially as set forth in Exhibit I hereto or in such other form as may be acceptable to the Trustee, certifying as to the facts surrounding such transfer, or (y) in lieu of such investment letter, the Trustee may 111 accept a written Opinion of Counsel (in form and substance acceptable to the Trustee) that such proposed transfer may be made pursuant to an exemption from the Act. As an additional condition to any transfer of a Restricted Certificate, either (i) the transferor and the transferee shall complete the form of assignment attached to the Certificate proposed to be transferred, or (ii) the Trustee shall have received the above-referenced Opinion of Counsel. The holder of any Restricted Certificate desiring to effect the transfer thereof to a person other than a QIB shall, and hereby agrees to, comply with any applicable conditions set forth in the preceding two sentences and indemnify the Trustee and the Company against any liability that may result if the transfer thereof is not so exempt or is not made in accordance with such federal and state laws. Such agreement to so indemnify the Trustee and the Company shall survive the termination of this Agreement. Notwithstanding the foregoing, no Opinion of Counsel or investment letter shall be required upon the original issuance of (i) the Restricted Junior Certificates to the Initial Purchaser (as defined in the related Private Placement Memorandum) or its nominee and (ii) the Class PO Certificates to the Company or upon any subsequent transfer of any Class PO Certificate by the Company, provided that if any Restricted Junior Certificates are, at the request of the Initial Purchaser, registered in the name of its nominee, the Initial Purchaser shall be deemed to acknowledge and agree with the Company and the Trustee that no transfer of a beneficial interest in such Certificates will be made without registering such Certificates in the name of the transferee, which shall be a Person other than such nominee. Any opinion or letter required pursuant to this paragraph shall not be at the expense of the related Trust Fund or the Trustee. (c) (i) No transfer of an ERISA-Restricted Certificate in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (A) a certificate (substantially in the form of Exhibit E or such other form as is acceptable to the Company and the Trustee) from such transferee to the effect that such transferee (i) is not a Plan or a Person that is using the assets of a Plan to acquire such ERISA- Restricted Certificate or (ii) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction Class Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemptions") apply to the transferee's acquisition and holding of any ERISA-Restricted Certificate or (B) an opinion of counsel satisfactory to the Trustee and the Company to the effect that the purchase and holding of such a Certificate will not constitute or result in the assets of the related Trust Fund being deemed to be "plan assets" subject to the prohibited transactions provisions of ERISA or Section 4975 of the Code and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of an ERISA-Restricted Certificate by a Plan or a Person that is purchasing or holding such a Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975 of the Code. The preparation and delivery of the certificate and opinions referred to above shall not be an expense of the related Trust Fund, the Trustee or the Company. Notwithstanding the foregoing, no opinion or certificate shall be required for the initial issuance of the ERISA-Restricted Certificates. 112 (ii) No transfer of a Residual Certificate shall be made to any Person unless the Trustee has received a certification (substantially in the form of paragraph 4 of Exhibit F) from such transferee to the effect that, among other things, such transferee is not a Plan or a Person that is using the assets of a Plan to acquire any such Certificate. The preparation and delivery of such certificate shall not be an expense of the related Trust Fund, the Trustee or the Company. (d) Subject to Section 8.01(i) hereof, the Trustee may conclusively rely upon any certificate, affidavit or opinion delivered pursuant to Section 5.02(b) or (c). Any certificate or affidavit required to be delivered by a transferee under this Section 5.02 may be executed and delivered in the name of such transferee by its attorney-in-fact duly authorized in writing in form and substance satisfactory to the Trustee. (e) Except as to any additional Certificate of any Class of Book-Entry Certificates held in physical certificated form pursuant to Section 5.02(g) or any Restricted Junior Certificate of any Class of Book-Entry Certificates that is transferred to an entity other than a QIB, the Book-Entry Certificates shall, subject to Section 5.02(f), at all times remain registered in the name of the Depository or its nominee and at all times: (i) registration thereof may not be transferred by the Trustee except to another Depository; (ii) the Depository shall maintain book-entry records with respect to the Certificate Owners and with respect to ownership and transfers of such Certificates; (iii) ownership and transfers of registration of the Certificates issued in book-entry form on the books of the Depository shall be governed by applicable rules established by the Depository and the rights of Certificate Owners with respect to Book-Entry Certificates shall be governed by applicable law and agreements between such Certificate Owners and the Depository, Depository Participants, and indirect participating firms; (iv) the Depository may collect its usual and customary fees, charges and expenses from its Depository Participants; (v) the Trustee shall deal with the Depository, Depository Participants and indirect participating firms as authorized representatives of the Certificate Owners of the Certificates issued in book-entry form for all purposes including the making of payments due on the Book-Entry Certificates and exercising the rights of Holders under this Agreement, and requests and directions for and votes of such representatives shall not be deemed to be inconsistent if they are made with respect to different Certificate Owners; (vi) the Trustee may rely and shall be fully protected in relying upon information furnished by the Depository with respect to its Depository Participants and furnished by the Depository Participants with respect to indirect participating firms and persons shown on the books of such indirect participating firms as direct or indirect Certificate Owners; (vii) Certificate Owners shall not be entitled to certificates for the Book-Entry Certificates and (viii) the Trustee may establish a reasonable record date in connection with solicitations of consents from or voting by Certificateholders and give notice to the Depository of such record date. All transfers by Certificate Owners of Book-Entry Certificates shall be made in accordance with the procedures established by the Depository Participant or brokerage firm representing such Certificate Owner. Each Depository Participant shall only transfer 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. Except as provided herein, the Trustee shall have no duty to monitor or restrict the transfer of Certificates or interests therein, and shall 113 have no liability for any transfer, including any transfer made through the book-entry facilities of the Depository or between or among Depository Participants or Certificate Owners, made in violation of applicable restrictions set forth herein, except in the event of the failure of the Trustee to perform its duties and fulfill its obligations under this Agreement. (f) If (x)(i) the Company or the Depository advises the Trustee in writing that the Depository is no longer willing, qualified or able to properly discharge its responsibilities as Depository, and (ii) the Trustee or the Company is unable to locate a qualified successor, (y) the Company at its option advises the Trustee in writing that it elects to terminate the book-entry system through the Depository or (z) after the occurrence of an Event of Default for a Certificate Group, Certificate Owners representing not less than 51% of the aggregate Voting Rights for such Certificate Group allocated to the Book-Entry Certificates together advise the Trustee and the Depository through the Depository Participants in writing that the continuation of a book-entry system through the Depository is no longer in the best interests of the Certificate Owners, 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 such Certificates by the Depository, accompanied by registration instructions from the Depository for registration, the Trustee shall issue the Definitive Certificates. Neither the Company nor the Trustee shall be liable for any delay in delivery of such instructions and may conclusively rely on, and shall be protected in relying on, such instructions. Upon the issuance of Definitive Certificates all references herein to obligations imposed upon or to be performed by the Depository shall be deemed to be imposed upon and performed by the Trustee, to the extent applicable with respect to such Definitive Certificates and the Trustee shall recognize the Holders of the Definitive Certificates as Certificateholders hereunder. (g) On or prior to the Closing Date, there shall be delivered to the Depository (or to State Street Bank and Trust Company acting as custodian for the Depository pursuant to the Depository's procedures) one certificate for each Class of Book-Entry Certificates registered in the name of the Depository's nominee, Cede & Co. The face amount of each such Certificate shall represent 100% of the initial Class Certificate Principal Balance thereof, except for such amount that does not constitute an acceptable denomination to the Depository. An additional Certificate of each Class of Book-Entry Certificates may be issued evidencing such remainder and, if so issued, will be held in physical certificated form by the Holders thereof. Each Certificate issued in book-entry form shall bear the following legend: "Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York corporation ("DTC"), to Issuer or its agent for registration of transfer, exchange, or payment, and any certificate issued is registered in the name of Cede & Co. or in such other name as requested by an authorized representative of DTC (and any payment is made to Cede & Co. or to such other entity as is requested by an authorized representative of DTC), ANY TRANSFER, PLEDGE OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL inasmuch as the registered owner hereof, Cede & Co., has an interest herein." 114 Section 5.03. Mutilated, Destroyed, Lost or Stolen Certificates. If (a) any mutilated Certificate is surrendered to the Certificate Registrar, or the Certificate Registrar receives evidence to its satisfaction of the destruction, loss or theft of any Certificate and (b) there is delivered to the Company, the Certificate Registrar and the Trustee such security or indemnity as may be required by them to save each of them harmless, then, in the absence of notice to the Certificate Registrar or the Trustee that such Certificate has been acquired by a bona fide purchaser, the Trustee shall execute, countersign and deliver, in exchange for or in lieu of any such mutilated, destroyed, lost or stolen Certificate, a new Certificate of like tenor, Class and Percentage Interest. In connection with the issuance of any new Certificate under this Section 5.03, 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 and the Certificate Registrar) connected therewith. Any duplicate Certificate issued pursuant to this Section 5.03 shall constitute complete and indefeasible evidence of ownership in the related 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. Prior to due presentation of a Certificate for registration of transfer, the Company, the Trustee, the Certificate Registrar and any agent of the Company, the Trustee or the Certificate Registrar 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 Company, the Trustee, the Certificate Registrar nor any agent of the Company, the Trustee or the Certificate Registrar shall be affected by any notice to the contrary. Section 5.05. Access to List of Certificateholders' Names and Addresses. The Certificate Registrar will furnish or cause to be furnished to the Company, within 15 days after receipt by the Certificate Registrar of request therefor from the Company in writing, a list, in such form as the Company may reasonably require, of the names and addresses of the Certificateholders as of the most recent Record Date for payment of distributions to Certificateholders. If three or more Certificateholders (hereinafter referred to as "applicants") apply in writing to the Trustee, and such application states that the applicants desire to communicate with other Certificateholders of the related Certificate Group with respect to their rights under this Agreement or under the Certificates and is accompanied by a copy of the communication which such applicants propose to transmit, then the Trustee shall, within five Business Days after the receipt of such application, afford such applicants access during normal business hours to the most recent list of Certificateholders of the related Certificate Group held by the Trustee. If such list is as of a date more than 90 days prior to the date of receipt of such applicants' request, the Trustee shall promptly request from the Certificate Registrar a current list as provided above, and shall afford such applicants access to such list promptly upon receipt. Every Certificateholder, by receiving and holding a Certificate, agrees with the Certificate Registrar and the Trustee that neither the Certificate Registrar nor the Trustee shall be held accountable by reason of the disclosure of any such information as to the names and addresses of the Certificateholders hereunder, regardless of the source from which such information was derived. 115 Section 5.06. Representation of Certain Certificateholders. The fiduciary of any Plan which becomes a Holder of a Certificate, by virtue of its acceptance of such Certificate, will be deemed to have represented and warranted to the Trustee and the Company that such Plan is an "accredited investor" as defined in Rule 501(a)(1) of Regulation D promulgated by the Securities and Exchange Commission under the Securities Act of 1933. Section 5.07. Determination of COFI. (a) If the outstanding Certificates include any COFI Certificates, then on each COFI Determination Date the Trustee shall determine the value of COFI on the basis of the most recently available Information Bulletin referred to in the definition of "COFI". The establishment of COFI by the Trustee and the Trustee's subsequent calculation of the rates of interest applicable to the COFI Certificates for each Interest Accrual Period shall (in the absence of manifest error) be final and binding. During each Interest Accrual Period, the Certificate Interest Rate for the COFI Certificates for the current and immediately preceding Interest Accrual Period shall be made available by the Trustee to Certificate Owners and Certificateholders at the following telephone number: (617) 664-5500. (b) The failure by the Federal Home Loan Bank of San Francisco to publish COFI for a period of 65 calendar days will constitute an "Alternative Rate Event" for purposes hereof. Upon the occurrence of an Alternative Rate Event, the Company will calculate the Certificate Interest Rates for the COFI Certificates for the subsequent Interest Accrual Periods by using, in place of COFI, (i) the replacement index, if any, published or designated by the Federal Home Loan Bank of San Francisco or (ii) if no replacement index is so published or designated, an alternative index to be selected by the Company that has performed, or that the Company expects to perform, in a manner substantially similar to COFI. At the time an alternative index is first selected by the Company, the Company shall determine the average number of basis points, if any, by which the alternative index differed from COFI for such period as the Company, in its sole discretion, reasonably determines to reflect fairly the long-term difference between COFI and the alternative index, and shall adjust the alternative index by such average. The Company shall select a particular index as an alternative only if it receives an Opinion of Counsel to the effect that the selection of such index will not cause any REMIC established hereunder to fail to qualify as a REMIC for federal income tax purposes. In the absence of manifest error, the selection of any alternative index as provided by this Section 5.07(b) shall be final and binding for each subsequent Interest Accrual Period. Upon the occurrence of an Alternative Rate Event, the Trustee shall have no responsibility for the determination of any alternative index or the calculation of the Certificate Interest Rates for the COFI Certificates. (c) If at any time after the occurrence of an Alternative Rate Event the Federal Home Loan Bank of San Francisco resumes publication of COFI, the Certificate Interest Rates for the COFI Certificates for each Interest Accrual Period commencing thereafter will be calculated by reference to COFI. Section 5.08. Determination of LIBOR. (a) If the outstanding Certificates include any LIBOR Certificates, then on each LIBOR Determination Date the Trustee shall determine LIBOR for the related Interest Accrual Period as such rate equal 116 to the Interest Settlement Rate. If such rate does not appear on the Designated Telerate Page as of 11:00 a.m., London time, on the applicable LIBOR Determination Date: (i) The Trustee will request the principal London office of each Reference Bank (as defined in Section 5.08(e)) to provide such bank's offered quotation (expressed as a percentage per annum) to prime banks in the London interbank market for one-month U.S. Dollar deposits as of 11:00 a.m., London time, on the applicable LIBOR Determination Date. (ii) If on any LIBOR Determination Date, two or more of the Reference Banks provide such offered quotations, LIBOR for the next Interest Accrual Period will be the arithmetic mean of such offered quotations (rounding such arithmetic mean upwards, if necessary, to the nearest whole multiple of 1/16%). If on any LIBOR Determination Date only one or none of the Reference Banks provide such offered quotations, LIBOR for the next Interest Accrual Period will be the rate per annum the Trustee determines to be the arithmetic mean (rounding such arithmetic mean upwards, if necessary, to the nearest whole multiple of 1/16%) of the one-month Eurodollar lending rate that three major banks in New York City selected by the Trustee are quoting as of approximately 11:00 a.m., New York City time, on the first day of the applicable Interest Accrual Period. (iii) If on any LIBOR Determination Date (or, if applicable pursuant to clause (a)(ii) above, the first day of the applicable Interest Accrual Period) the Trustee is required but unable to determine LIBOR in the manner provided in subparagraph (ii) of this section 5.08(a), LIBOR for the next Interest Accrual Period will be LIBOR as determined on the previous LIBOR Determination Date (or, if applicable pursuant to clause (a)(ii) above, the first day of the applicable Interest Accrual Period), or, in the case of the first LIBOR Determination Date, the Initial LIBOR Rate. (b) The establishment of LIBOR by the Trustee and the Trustee's subsequent calculation of the Certificate Interest Rates applicable to the LIBOR Certificates for the relevant Interest Accrual Period, in the absence of manifest error, will be final and binding. (c) Within five Business Days of the Trustee's calculation of the Certificate Interest Rates of the LIBOR Certificates, the Trustee shall furnish to the Company by telecopy (or by such other means as the Trustee and the Company may agree from time to time) such Certificate Interest Rates. (d) The Trustee shall provide to Certificateholders who inquire of it by telephone the Certificate Interest Rates of the LIBOR Certificates for the current and immediately preceding Interest Accrual Period. (e) As used herein, "Reference Banks" shall mean no more than four leading banks engaged in transactions in Eurodollar deposits in the international Eurocurrency market (i) with an established place of business in London, England, (ii) whose quotations appear on the 117 display designated "LIBO" on the Reuters Monitor Money Rates Service (the "Reuters Screen LIBO Page") on the applicable LIBOR Determination Date and (iii) which have been designated as such by the Trustee and are able and willing to provide such quotations to the Trustee on each LIBOR Determination Date. The Reference Banks initially shall be: Barclay's plc, Bank of Tokyo, National Westminster Bank and Trust Company and Bankers Trust Company. If any of the initial Reference Banks should be removed from the Reuters Screen LIBO Page or in any other way fail to meet the qualifications of a Reference Bank, or if such page is no longer published, the Trustee, after consultation with the Company, shall use its best efforts to designate alternate Reference Banks. ARTICLE VI. THE COMPANY Section 6.01. Liability of the Company. The Company shall be liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by the Company herein. Section 6.02. Merger or Consolidation of, or Assumption of the Obligations of, the Company. Any corporation into which the Company may be merged or consolidated, or any corporation resulting from any merger, conversion or consolidation to which the Company shall be a party, or any corporation succeeding to the business of the Company, or any corporation, more than 50% of the voting stock of which is, directly or indirectly, owned by General Electric Company, or any limited partnership, the sole general partner of which is either the Company or a corporation, more than 50% of the voting stock of which is owned, directly or indirectly, by General Electric Company, which executes an agreement of assumption to perform every obligation of the Company hereunder, shall be the successor of the Company 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. Section 6.03. Assignment. The Company may assign its rights and delegate its duties and obligations as servicer under this Agreement; provided, that (i) the purchaser or transferee accepting such assignment or delegation is qualified to service mortgage loans for FNMA or FHLMC, is reasonably satisfactory to the Trustee and executes and delivers to the Trustee an agreement, in form and substance reasonably satisfactory to the Trustee, which contains an assumption by such purchaser or transferee of the due and punctual performance and observance of each covenant and condition to be performed or observed by the Company as servicer hereunder from and after the date of such agreement and (ii) each Rating Agency's rating of any Classes of Certificates in effect immediately prior to such assignment or delegation would not be qualified, downgraded or withdrawn as a result thereof. In the case of any such assignment or delegation, the Company will be released from its obligations as servicer hereunder except for liabilities and obligations as servicer incurred prior to such assignment or delegation. Section 6.04. Limitation on Liability of the Company and Others. Neither the Company nor any of the directors or officers or employees or agents of the Company shall be under any 118 liability to any Trust Fund or the Certificateholders for any action taken or for refraining from the taking of any action by the Company pursuant to this Agreement, or for errors in judgment; provided, however, that this provision shall not protect the Company 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 of the Company or by reason of reckless disregard of obligations and duties of the Company hereunder. The Company and any director or officer or employee or agent of the Company 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 Company and any director or officer or employee or agent of the Company shall be indemnified by the related Trust Fund and held harmless against any loss, liability or expense incurred in connection with any legal action relating to this Agreement or the Certificates, other than any loss, liability or expense related to any specific Mortgage Loan or Mortgage Loans (except as any such loss, liability or expense shall be otherwise reimbursable pursuant to this Agreement) and 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. The Company shall be under no obligation to appear in, prosecute or defend any legal action which is not incidental to its duties to service the Mortgage Loans in accordance with this Agreement and which in its opinion may involve it in any expense or liability; provided, however, that the Company may in its sole discretion undertake any such action which it may deem necessary or desirable in respect of this Agreement, and the rights and duties of the parties hereto and the interests of the Certificateholders hereunder. In such event, the legal expenses and costs of such action and any liability resulting therefrom shall be expenses, costs and liabilities of the related Trust Fund and the Company shall be entitled to be reimbursed therefor from amounts credited to the applicable Mortgage Loan Payment Record as provided by Section 3.04. Section 6.05. The Company Not to Resign. Subject to the provisions of Sections 6.02 and 6.03, the Company shall not resign from the obligations and duties hereby imposed on it except upon determination that the performance of its duties hereunder is no longer permissible under applicable law. Any such determination permitting the resignation of the Company shall be evidenced by an Opinion of Counsel to such effect delivered to the Trustee. No such resignation shall become effective until the Trustee or a successor servicer shall have assumed the responsibilities and obligations of the Company in accordance with Section 7.02. ARTICLE VII. DEFAULT Section 7.01. Events of Default. If any one of the following events ("Events of Default") shall occur and be continuing: (i) With respect to a Certificate Group, any failure by the Company to make any payment to the Trustee of funds pursuant to Section 3.02(d) out of which distributions to Certificateholders of any Class of such Certificate Group are required to be made under the terms of the Certificates and this Agreement 119 which failure continues unremedied for a period of three Business Days (such period, the "Cure Period") after the date upon which written notice of such failure shall have been given to the Company by the Trustee or to the Company and the Trustee by Holders of Certificates of each Class affected thereby evidencing, as to each such Class, Percentage Interests aggregating not less than 25%; provided, however, that in the event that (A) a Monthly Advance is due in respect of more than one Mortgage Pool on any Distribution Date, (B) the Company fails to make each such Monthly Advance on such Distribution Date and (C) the Company transfers to the Trustee during the Cure Period an amount in respect of any or all of such Monthly Advances which is less than the sum of such Monthly Advances, the Trustee shall allocate such amount pro rata in respect of each Monthly Advance and such failure to make such Monthly Advances shall be deemed to continue with respect to each Mortgage Pool as to which Monthly Advances were due and shall be subject to the original Cure Period with respect thereto; or (ii) With respect to a Certificate Group, failure on the part of the Company duly to observe or perform in any material respect any other covenants or agreements of the Company with respect to such Certificate Group set forth in the Certificates or in this Agreement, which covenants and agreements (A) materially affect the rights of Certificateholders and (B) continue 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 Company by the Trustee, or to the Company and the Trustee by the Holders of Certificates of each Class affected thereby evidencing, as to each such Class, Percentage Interests aggregating not less than 25%; or (iii) The entry of a decree or order by a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a conservator, receiver or liquidator in any insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings of or relating to the Company, or for the winding up or liquidation of the Company's affairs, and the continuance of any such decree or order unstayed and in effect for a period of 60 consecutive days; or (iv) The consent by the Company to the appointment of a conservator or receiver or liquidator in any insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings of or relating to the Company or of or relating to substantially all of its property; or the Company shall admit in writing its inability to pay its debts generally as they become due, file a petition to take advantage of any applicable insolvency or reorganization statute, make an assignment for the benefit of its creditors, or voluntarily suspend payment of its obligations; then, and in each and every such case, so long as an Event of Default for a Certificate Group shall not have been remedied by the Company, either the Trustee, or the Holders of Certificates 120 of each Class affected thereby evidencing, as to each such Class, Percentage Interests aggregating not less than 51%, by notice then given in writing to the Company (and to the Trustee if given by the Certificateholders) may terminate all of the rights and obligations of the Company as servicer under this Agreement with respect to the related Mortgage Pool. On or after the receipt by the Company of such written notice, all authority and power of the Company under this Agreement with respect to the related Mortgage Pool, whether with respect to the related Certificates or the related Mortgage Loans or otherwise, shall pass to and be vested in the Trustee pursuant to and under this Section 7.01; and, without limitation, the Trustee is hereby authorized and empowered to execute and deliver, on behalf of the Company, as attorney-in-fact or otherwise, any and all documents and other instruments, and to do or accomplish all other acts or things necessary or appropriate to effect the purposes of such notice of termination, whether to complete the transfer and endorsement of the Mortgage Loans and related documents, or otherwise, including, without limitation, the recordation of the assignments of the Mortgage Loans to it. The Company agrees to cooperate with the Trustee in effecting the termination of the responsibilities and rights of the Company hereunder in respect of the related Mortgage Pool, including, without limitation, the transfer to the Trustee for the administration by it of all cash amounts that shall at the time be held by the Company in respect of the related Mortgage Pool and that have been or should have been credited by it to the applicable Mortgage Loan Payment Record, or that have been deposited by the Company in the related Certificate Account or are thereafter received by the Company with respect to the related Mortgage Loans. In addition to any other amounts which are then, or, notwithstanding the termination of its activities as servicer, may become, payable to the Company under this Agreement, the Company shall be entitled to receive out of any delinquent payment on account of interest on a Mortgage Loan in respect of the related Mortgage Pool, due during the period prior to the notice pursuant to this Section 7.01 which terminates the obligation and rights of the Company hereunder and received after such notice, that portion of such payment which it would have been entitled to retain pursuant to Section 3.04(vi) if such notice had not been given. Section 7.02. Trustee to Act; Appointment of Successor. (a) On and after the time the Company receives a notice of termination pursuant to Section 7.01, the Trustee shall be the successor in all respects to the Company in its capacity as servicer under this Agreement in respect of the related Mortgage Pool and the transactions set forth or provided for herein and shall succeed to all the rights of and be subject to all the responsibilities, duties and liabilities relating thereto placed on the Company in its capacity as servicer by the terms and provisions hereof; provided, however, that the responsibilities and duties of the Company pursuant to Sections 2.02 and 2.03(a) and, if the Trustee is prohibited by law or regulation from making Monthly Advances, the responsibility to make Monthly Advances pursuant to Section 4.04, shall not be the responsibilities, duties or obligations of the Trustee; and provided further, that any failure of the Trustee to perform such duties and responsibilities that is caused by the Company's failure to cooperate with the Trustee as required by Section 7.01 shall not be considered a default by the Trustee hereunder. As compensation therefor, the Trustee shall, except as provided in Section 7.01, be entitled to such compensation as the Company would have been entitled to hereunder if no such notice of termination had been given. Notwithstanding the above, the Trustee may, if it shall be unwilling so to act, or shall, if it is legally unable so to act, appoint, or petition a court of competent jurisdiction to appoint, any 121 established housing and home finance institution approved to service mortgage loans for either FNMA or FHLMC, having a net worth of not less than $10,000,000, as the successor to the Company hereunder in the assumption of all or any part of the responsibilities, duties or liabilities of the Company hereunder with respect to the related Mortgage Pool. Pending appointment of a successor to the Company pursuant to this Article VII, unless the Trustee is prohibited by law from so acting, the Trustee shall act in such capacity as hereinabove provided. In connection with such appointment and assumption, the Trustee may make such arrangements for the compensation of such successor out of payments on the related Mortgage Loans as it and such successor shall agree; provided, however, that no such compensation shall be in excess of that permitted the Company hereunder. The Trustee and such successor shall take such action, consistent with this Agreement, as shall be necessary to effectuate any such succession. (b) Any successor, including the Trustee, to the Company as servicer pursuant to this Article VII shall during the term of its service as servicer maintain in force (i) a policy or policies of insurance covering errors and omissions in the performance of its obligations as servicer hereunder, and (ii) a fidelity bond in respect of its officers, employees and agents to the same extent as the Company is so required pursuant to Section 3.15. Section 7.03. Notification to Certificateholders. Upon any termination or appointment of a successor to the Company pursuant to this Article VII, the Trustee shall give prompt written notice thereof to the related Certificateholders at their respective addresses appearing in the Certificate Register. ARTICLE VIII. THE TRUSTEE Section 8.01. Duties of Trustee. State Street Bank and Trust Company is hereby appointed Trustee for each Trust Fund and, prior to the occurrence of an Event of Default for a Certificate Group and after the curing of all such 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 for a Certificate Group has occurred (which has not been cured), the Trustee shall, with respect to the related Trust Fund, exercise such of the rights and powers vested in it by this Agreement, and use the same degree of care and skill in their exercise, as a prudent person would exercise or use under the circumstances in the conduct of his or her own affairs. The Trustee, upon receipt of all resolutions, certificates, statements, opinions, reports, documents, orders or other instruments furnished to the Trustee which are specifically required to be furnished pursuant to any provision of this Agreement, shall examine them to determine whether they conform to the requirements of this Agreement. No provision of this Agreement shall be construed to relieve the Trustee from liability for its own negligent action, its own negligent failure to act or its own misconduct; provided, however, that: 122 (i) Prior to the occurrence of an Event of Default for a Certificate Group, and after the curing of all such Events of Default which may have occurred, the duties and obligations of the Trustee with respect to such Certificate Group shall be determined solely by the express provisions of this Agreement, the Trustee shall not be liable except for the performance of such duties and obligations as are specifically set forth in this Agreement, no implied covenants or obligations shall be read into this Agreement against the Trustee and, in the absence of bad faith on the part of the Trustee, the Trustee may conclusively rely, as to the truth of the statements and the correctness of the opinions expressed therein, upon any certificates or opinions furnished to the Trustee and conforming to the requirements of this Agreement; (ii) The Trustee shall not be personally liable for an error of judgment made in good faith by a Responsible Officer of the Trustee, unless it shall be proved that the Trustee was negligent in performing its duties in accordance with the terms of this Agreement; (iii) The Trustee shall not be personally liable with respect to any action taken, suffered or omitted to be taken by it in good faith in accordance with the direction of the Holders of Certificates of each Class affected thereby evidencing, as to each such Class, Percentage Interests aggregating not less than 25%, 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; and (iv) The Trustee shall not be charged with knowledge of (A) any failure by the Company to comply with the obligations of the Company referred to in clauses (i) and (ii) of Section 7.01, (B) the rating downgrade referred to in the definition of "Trigger Event" or (C) any failure by the Company to comply with the obligations of the Company to record the assignments of Mortgages referred to in Section 2.01 unless a Responsible Officer of the Trustee at the Corporate Trust Office obtains actual knowledge of such failures, occurrence or downgrade or the Trustee receives written notice of such failures, occurrence or downgrade from the Company or the Holders of Certificates of each Class affected thereby evidencing, as to each such Class, Percentage Interests aggregating not less than 25%. Subject to any obligation of the Trustee to make Monthly Advances as provided herein, the Trustee shall not be required to expend or risk its own funds or otherwise incur financial liability in the performance of any of its duties hereunder, or in the exercise of any of its rights or powers, if there is reasonable ground for believing that the repayment of such funds or adequate indemnity against such risk or liability is not reasonably assured to it, and none of the provisions contained in this Agreement shall in any event require the Trustee to perform, or be responsible for the manner of performance of, any of the obligations of the Company under this Agreement, except during such time, if any, as the Trustee shall be the successor to, and be 123 vested with the rights, duties, powers and privileges of, the Company in accordance with the terms of this Agreement. Section 8.02. Certain Matters Affecting the Trustee. Except as otherwise provided in Section 8.01: (i) The Trustee may conclusively rely and shall be protected in acting or refraining from acting upon any resolution, Officer's Certificate, certificate of auditors or any other certificate, statement, instrument, opinion, report, notice, request, consent, order, appraisal, bond or other paper or document believed by it to be genuine and to have been signed or presented by the proper party or parties; (ii) The Trustee may consult with counsel and any Opinion of Counsel shall be full and complete authorization and protection in respect of any action taken or suffered or omitted by it hereunder in good faith and in accordance with such Opinion of Counsel; (iii) The Trustee shall be under no obligation to exercise any of the rights or powers vested in it by this Agreement, or to institute, conduct or defend any litigation hereunder or in relation hereto, at the request, order or direction of any of the Certificateholders, pursuant to the provisions of this Agreement, unless such Certificateholders shall have offered to the Trustee reasonable security or indemnity against the costs, expenses and liabilities which may be incurred therein or thereby; nothing contained herein shall, however, relieve the Trustee of the obligations, upon the occurrence of an Event of Default (which has not been 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 person would exercise or use under the circumstances in the conduct of his or her own affairs; (iv) The Trustee shall not be personally liable for any action taken, suffered or omitted by it in good faith and believed by it to be authorized or within the discretion or rights or powers conferred upon it by this Agreement; (v) With respect to each Certificate Group and prior to the occurrence of an Event of Default for such Certificate Group and after the curing 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 documents, unless requested in writing so to do by Holders of Certificates of each Class affected thereby evidencing, as to each such Class, Percentage Interests aggregating not less than 25%; provided, however, that if the payment within a reasonable time to the Trustee of the costs, expenses or liabilities likely to be incurred by it in the making of such investigation is, in the opinion of the Trustee, not reasonably assured to the Trustee by the security afforded to it by the terms of this Agreement, the Trustee may require reasonable 124 indemnity against such cost, expense or liability as a condition to such proceeding. The reasonable expense of every such investigation shall be paid by the Company or, if paid by the Trustee, shall be reimbursed by the Company upon demand. Nothing in this clause (v) shall derogate from the obligation of the Company to observe any applicable law prohibiting disclosure of information regarding the Mortgagors; and (vi) The Trustee may execute any of the trusts or powers hereunder or perform any duties hereunder either directly or by or through agents or attorneys or a custodian. Section 8.03. Trustee Not Liable for Certificates or Mortgage Loans. The recitals contained herein and in the Certificates (other than the signature and countersignature of the Trustee on the Certificates) shall be taken as the statements of the Company, and the Trustee assumes no responsibility for the correctness of the same. The Trustee makes no representations as to the validity or sufficiency of this Agreement or of the Certificates (other than the signature and countersignature of the Trustee on the Certificates) or of any Mortgage Loan or related document. The Trustee shall not be accountable for the use or application by the Company of any of the Certificates or of the proceeds of such Certificates, or for the use or application of any funds paid to the Company in respect of the Mortgage Loans or deposited in or withdrawn from a Certificate Account by the Company. Section 8.04. Trustee May Own Certificates. The Trustee in its individual or any other capacity may become the owner or pledgee of Certificates with the same rights as it would have if it were not Trustee. Section 8.05. The Company to Pay Trustee's Fees and Expenses. The Company covenants and agrees to pay to the Trustee from time to time, and the Trustee shall be entitled to, reasonable compensation (which shall not be limited by any provision of law in regard to the compensation of a trustee of an express trust) 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 of the Trustee, and the Company will pay or reimburse the Trustee upon its request for all reasonable expenses, disbursements and advances (including any Monthly Advances of the Trustee not previously reimbursed thereto pursuant to Section 3.04) incurred or made by the Trustee in accordance with any of the provisions of this Agreement (including the reasonable compensation and the expenses and disbursements of its counsel and of all persons not regularly in its employ) except any such expense, disbursement or advance as may arise from its negligence or bad faith or which is the responsibility of Certificateholders hereunder. In addition, the Company covenants and agrees to indemnify the Trustee from, and hold it harmless against, any and all losses, liabilities, damages, claims or expenses other than those resulting from the negligence or bad faith of the Trustee. From time to time, the Trustee may request that the Company debit each Mortgage Loan Payment Record pursuant to Section 3.04 to reimburse the Trustee for any related Monthly Advances and Nonrecoverable Advances. 125 Section 8.06. Eligibility Requirements for Trustee. The Trustee hereunder shall at all times be a corporation having its principal office either in the State of New York or in the same state as that in which the initial Trustee under this Agreement has its principal office and organized and doing business under the laws of such State or the United States of America, 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. 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 8.06, 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. The Trustee shall not be an affiliate of the Company. In case at any time the Trustee shall cease to be eligible in accordance with the provisions of this Section 8.06, the Trustee shall resign immediately in the manner and with the effect specified in Section 8.07. Section 8.07. Resignation or Removal of Trustee. The Trustee may at any time resign and be discharged from the trusts hereby created with respect to one or more Certificate Groups by giving written notice thereof to the Company. Upon receiving such notice of resignation, the Company shall promptly appoint a successor Trustee by written instrument, in duplicate, one copy of which instrument shall be delivered to the resigning Trustee and one copy to the successor Trustee. If no successor Trustee shall have been so appointed and having accepted appointment within 30 days after the giving of such notice of resignation, the resigning Trustee may petition any court of competent jurisdiction for the appointment of a successor Trustee. If the conditions in any of the following clauses (i), (ii) or (iii) shall occur at any time, the Company may remove the Trustee: (i) 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 Company; (ii) the Trustee shall be legally unable to act, or shall be adjudged a 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; or (iii) the replacement of the Trustee with a successor Trustee will enable the Company to avoid (and should, based on the information included in the notice referred to below, result in the avoidance of) a downgrading of the ratings assigned to the Certificates by the Rating Agencies (whether or not other actions could avoid such downgrading) and no Event of Default, as provided by Section 7.01 hereof, shall have occurred or be continuing; provided, however, that no action shall be taken pursuant to this clause (iii) unless reasonable notice shall have been provided to the Trustee, which notice shall set forth the basis for any rating downgrade as contemplated by the Rating Agencies and shall also indicate the manner in which such proposed action is intended to avoid such downgrade. If it removes the Trustee under the authority of the immediately preceding sentence, the Company shall promptly appoint a successor trustee by written instrument, in duplicate, one copy of which instrument shall be delivered to the Trustee so removed and one copy to the successor trustee. Any resignation or removal of the Trustee and appointment of a successor Trustee pursuant to any of the provisions of this Section 8.07 shall not become effective until acceptance of appointment by the successor Trustee as provided in Section 8.08. 126 Section 8.08. Successor Trustee. Any successor Trustee appointed as provided in Section 8.07 shall execute, acknowledge and deliver to the Company and to its predecessor Trustee an instrument accepting such appointment hereunder, and thereupon the resignation or removal of the predecessor Trustee shall become effective and such successor Trustee, without any further act, deed or conveyance, shall become fully vested with all the rights, powers, duties and obligations of its predecessor hereunder, with like effect as if originally named as Trustee. The predecessor Trustee shall deliver to the successor Trustee all Mortgage Files and related documents and statements held by it hereunder; and the Company and the predecessor Trustee shall execute and deliver such instruments and do such other things as may reasonably be required for fully and certainly vesting and confirming in the successor Trustee all such rights, powers, duties and obligations. No successor Trustee shall accept appointment as provided in this Section 8.08 unless at the time of such acceptance such successor Trustee shall be eligible under the provisions of Section 8.06. Upon acceptance of appointment by a successor Trustee as provided in this Section 8.08, the Company shall mail notice of the succession of such Trustee hereunder to all holders of the related Certificates at their addresses as shown in the Certificate Register. If the Company fails to mail such notice within 10 days after acceptance of appointment by the successor Trustee, the successor Trustee shall cause such notice to be mailed at the expense of the Company. Section 8.09. Merger or Consolidation of Trustee. Any corporation into which the Trustee may be merged or converted or with which it may be consolidated, or any corporation resulting from any merger, conversion or consolidation to which the Trustee shall be a party, or any corporation succeeding to the corporate trust business of the Trustee, shall be the successor of the Trustee hereunder, provided that such corporation 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 of this Agreement, at any time, for the purpose of meeting any legal requirements of any jurisdiction in which any part of any Trust Fund or property securing any Mortgage Note may at the time be located, the Company 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, of all or any part of the related Trust Fund, or separate trustee or separate trustees of any part of such Trust Fund, and to vest in such Person or Persons, in such capacity and for the benefit of the Certificateholders, such title to such 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 Company and the Trustee may consider necessary or desirable. If the Company 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. No co-trustee or separate trustee hereunder shall be required to meet the terms of 127 eligibility as a successor trustee under Section 8.06 and no notice to Certificateholders of the appointment of any co-trustee or separate trustee shall be required under Section 8.08. Every separate trustee and co-trustee shall, to the extent permitted by law, be appointed and act subject to the following provisions and conditions: (i) All rights, powers, duties and obligations conferred or imposed upon the Trustee shall be conferred or imposed upon and exercised or performed by the Trustee and such separate trustee or co-trustee jointly (it being understood that such separate trustee or co-trustee is not authorized to act separately without the Trustee joining in such act), except to the extent that under any law of any jurisdiction in which any particular act or acts are to be performed (whether as Trustee hereunder or as successor to the Company 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 relevant Trust Fund or any portion thereof in any such jurisdiction) shall be exercised and performed singly by such separate trustee or co-trustee, but solely at the direction of the Trustee; (ii) No trustee hereunder shall be held personally liable by reason of any act or omission of any other trustee hereunder; and (iii) The Company and the Trustee acting jointly may at any time accept the resignation of or remove any separate trustee or co-trustee. Any notice, request or other writing given to the Trustee shall be deemed to have been given to each of the then separate trustees and co-trustees, as effectively as if given to each of them. Every instrument appointing any separate trustee or co-trustee shall refer to this Agreement and the conditions of this Article VIII. Each separate trustee and co-trustee, upon its acceptance of the trusts conferred, shall be vested with the estates or property specified in its instrument of appointment, either jointly with the Trustee or separately, as may be provided therein, subject to all the provisions of this Agreement, specifically including every provision of this Agreement relating to the conduct of, affecting the liability of, or affording protection to, the Trustee. Every such instrument shall be filed with the Trustee and a copy thereof given to the Company. Any separate trustee or co-trustee may, at any time, constitute the Trustee, its agent or attorney-in-fact, with full power and authority, to the extent not prohibited by law, to do any lawful act under or in respect of this Agreement on its behalf and in its name. If any separate trustee or co-trustee shall die, become incapable of acting, resign or be removed, all of its estates, properties, rights, remedies and trusts shall vest in and be exercised by the Trustee, to the extent permitted by law, without the appointment of a new or successor trustee. Section 8.11. Compliance with REMIC Provisions; Tax Returns. The Trustee shall at all times act in such a manner in the performance of its duties hereunder as shall be necessary to prevent each of the Upper Tier REMIC in respect of Pool 1 and Lower Tier REMIC in respect of 128 Pool 1, in the case of Pool 1, each of the Upper Tier REMIC in respect of Pool 2 and Lower Tier REMIC in respect of Pool 2, in the case of Pool 2, the Pool 3 Trust Fund, in the case of Pool 3, and the Pool 4 Trust Fund, in the case of Pool 4, from failing to qualify as a REMIC and to prevent the imposition of a tax on any Trust Fund or the related REMICs established hereunder. The Trustee, upon request, will furnish the Company with all such information within its possession as may be reasonably required in connection with the preparation of all tax returns of each Trust Fund, and shall, upon request, execute such returns. ARTICLE IX. TERMINATION Section 9.01. Termination upon Repurchase by the Company or Liquidation of All Mortgage Loans. Subject to Section 9.02, the respective obligations and responsibilities of the Company and the Trustee created hereby with respect to a Trust Fund (other than the obligation of the Trustee to make certain payments to the related Certificateholders after the final Distribution Date and the obligation of the Trustee to send certain notices as hereinafter set forth) shall terminate upon the last action required to be taken by the Trustee on the final Distribution Date pursuant to this Article IX following the earlier of (a) the repurchase by the Company of all Mortgage Loans and all REO Mortgage Loans remaining in such Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Mortgage Loan included therein (other than any REO Mortgage Loans described in the following clause) plus accrued and unpaid interest thereon at the applicable Remittance Rate (less any amounts constituting related previously unreimbursed Monthly Advances) to the first day of the month in which such purchase price is to be distributed to Certificateholders and (y) the appraised value of any REO Mortgage Loan included therein (less the good faith estimate of the Company 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 Company and the Trustee, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in such Trust Fund or the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Mortgage Loan; provided, however, that in no event shall a Trust Fund created hereby continue beyond the expiration of 21 years from the death of the last survivor of the descendants of Joseph P. Kennedy, the late ambassador of the United States of America to the Court of St. James's, living on the date of this Agreement. The right of the Company to repurchase all Mortgage Loans in a Trust Fund pursuant to clause (a) above shall be conditioned upon the aggregate of the Scheduled Principal Balance of the Outstanding Mortgage Loans included therein, at the time of any such repurchase, aggregating less than 10 percent of the aggregate of the Scheduled Principal Balance of such Mortgage Loans as of the Cut-off Date. 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 Certificateholders mailed not earlier than the 15th day and not later than the 25th day of the month next preceding the month of such final distribution specifying (A) the Distribution Date 129 upon which final payment of the Certificates will be made upon presentation and surrender of the Certificates at the office of the Trustee therein designated, (B) the amount of any such final payment and (C) 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. The Trustee shall give such notice to the Certificate Registrar at the time such notice is given to Certificateholders. In the event such notice is given in connection with the exercise by the Company of its right of repurchase, the Company shall deposit in the related Certificate Account not later than 11:00 a.m. on the Business Day prior to the final Distribution Date in next-day funds an amount equal to the price described above. Upon presentation and surrender of the Certificates, the Trustee shall cause to be distributed to Certificateholders an amount equal to the price calculated as above provided, any such repurchase being in lieu of the distribution otherwise required to be made on the Distribution Date upon which the repurchase is effected. Upon certification to the Trustee by a Servicing Officer following such final deposit, the Trustee shall promptly release to the Company the Mortgage Files for the repurchased Mortgage Loans. On the final Distribution Date for a Certificate Group, the Trustee shall distribute amounts on deposit in the related Certificate Account in accordance with the applicable priorities provided by Section 4.01. Distributions on each related Certificate shall be made on the final Distribution Date in the manner specified in Section 4.02 but only upon presentation and surrender of the Certificates. In the event that all of the Certificateholders of the relevant Certificate Group shall not surrender their Certificates for cancellation within six months after the date specified in the above-mentioned written notice, the Trustee shall give a second written notice to the remaining Certificateholders to surrender their Certificates for cancellation and receive the final distribution with respect thereto. If within one year after the second notice all the Certificates shall not have been surrendered for cancellation, the Trustee may take appropriate steps, or may appoint an agent to take appropriate 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. Section 9.02. Additional Termination Requirements. (a) In the event the Company exercises its purchase option as provided in Section 9.01, the relevant Trust Fund and the related REMICs established hereunder shall be terminated in accordance with the following additional requirements, unless the Trustee has been supplied with an Opinion of Counsel to the effect that the failure to comply with the requirements of this Section 9.02 will not (i) result in the imposition of taxes on "prohibited transactions" of any such REMIC as defined in section 860F of the Code, or (ii) cause the Upper Tier REMIC in respect of Pool 1 or the Lower Tier REMIC in respect of Pool 1, in the case of Pool 1, the Upper Tier REMIC in respect of Pool 2 or Lower Tier REMIC in respect of Pool 2, in the case of Pool 2, the Pool 3 Trust Fund, in the case of Pool 3, or the Pool 4 Trust Fund, in the case of Pool 4, to fail to qualify as a REMIC at any time that any Certificates are outstanding: 130 (i) Within 90 days prior to the final Distribution Date set forth in the notice given by the Trustee under Section 9.01, the Company shall prepare and the Trustee shall execute and adopt a plan of complete liquidation for such REMIC or REMICs within the meaning of section 860F(a)(4)(A)(i) of the Code, which shall be evidenced by such notice; and (ii) Within 90 days after the time of adoption of such a plan of complete liquidation, the Trustee shall sell all of the assets of the related Trust Fund to the Company for cash in accordance with Section 9.01. (b) By their acceptance of the Residual Certificates, the Holders thereof hereby authorize the Trustee to adopt such a plan of complete liquidation which authorization shall be binding on all successor Holders of the Residual Certificates. (c) On the final federal income tax return for the related REMIC established hereunder, the Trustee will attach a statement specifying the date of the adoption of the plan of liquidation. ARTICLE X. MISCELLANEOUS PROVISIONS Section 10.01. Amendment. This Agreement may be amended from time to time by the Company and the Trustee, without the consent of any of the Certificateholders, to cure any ambiguity, to correct or supplement any provisions herein or therein which may be defective or inconsistent with any other provisions herein, or to surrender any right or power herein conferred upon the Company or to add any other provisions with respect to matters or questions arising under this Agreement, which shall not be materially inconsistent with the provisions of this Agreement; provided, however, that such action shall not, as evidenced by an Opinion of Counsel, adversely affect in any material respect the interests of any Certificateholder. Notwithstanding the foregoing, without the consent of the Certificateholders, the Trustee and the Company may at any time and from time to time amend this Agreement to modify, eliminate or add to any of its provisions to such extent as shall be necessary or appropriate to maintain the qualification of the each of the Upper Tier REMIC in respect of Pool 1 or the Lower Tier REMIC in respect of Pool 1, in the case of Pool 1, each of the Upper Tier REMIC in respect of Pool 2 or Lower Tier REMIC in respect of Pool 2, in the case of Pool 2, the Pool 3 Trust Fund, in the case of Pool 3, or the Pool 4 Trust Fund, in the case of Pool 4, as a REMIC under the Code or to avoid or minimize the risk of the imposition of any tax on either Trust Fund pursuant to the Code that would be a claim against such Trust Fund at any time prior to the final redemption of the Certificates, provided that the Trustee has obtained an opinion of independent counsel (which opinion also shall be addressed to the Company) to the effect that such action is necessary or appropriate to maintain such qualification or to avoid or minimize the risk of the imposition of such a tax. This Agreement may also be amended from time to time by the Company and the Trustee with the consent of Holders of Certificates evidencing (i) not less than 66% of the Voting 131 Rights of all the Certificates of the related Certificate Group or (ii) Percentage Interests aggregating not less than 66% of each Class affected by such amendment, 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 (a) reduce in any manner the amount of, or delay the timing of, collections of payments on the Mortgage Loans or distributions which are required to be made on any Certificate without the consent of the Holder of such Certificate, (b) adversely affect in any material respects the interests of the Holders of any Class of Certificates in any manner other than as described in (a), without the consent of the Holders of Certificates evidencing Percentage Interests aggregating not less than 66% of such Class, or (c) reduce the aforesaid percentages of Certificates of any Class required to consent to any such amendment, without the consent of the Holders of all Certificates of such Class then outstanding. For purposes of this paragraph, references to "Holder" or "Holders" shall be deemed to include, in the case of any Class of Book-Entry Certificates, the related Certificate Owners. 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 to the effect that such amendment will not subject any Trust Fund to tax or cause either of the Upper Tier REMIC in respect of Pool 1 or the Lower Tier REMIC in respect of Pool 1, in the case of Pool 1, either of the Upper Tier REMIC in respect of Pool 2 or Lower Tier REMIC in respect of Pool 2, in the case of Pool 2, the Pool 3 Trust Fund, in the case of Pool 3, or the Pool 4 Trust Fund, in the case of Pool 4, to fail to qualify as a REMIC at any time that any Certificates are outstanding. Promptly after the execution of any such amendment or consent the Trustee shall furnish written notification of the substance of such amendment to each Certificateholder. It shall not be necessary for the consent of Certificateholders under this Section 10.01 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 requirements as the Trustee may prescribe. Section 10.02. Recordation of Agreement. 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 Company and at its expense on direction by the Trustee, but only upon direction of the Trustee accompanied by an Opinion of Counsel to the effect that such recordation materially and beneficially affects the interests of 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. 132 Section 10.03. Limitation on Rights of Certificateholders. The death or incapacity of any Certificateholder shall not operate to terminate this Agreement or the related Trust Fund, nor entitle such Certificateholder's legal representatives or heirs to claim an accounting or to take any action or commence any proceeding in any court for a partition or winding up of the related 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 provided in Section 10.01) or in any manner otherwise control the operation and management of the related 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 person by reason of any action taken by the parties to this Agreement pursuant to any provision hereof. No Certificateholder shall have any right by virtue or by availing itself of any provisions of this Agreement to institute any suit, action or proceeding in equity or at law upon or under or with respect to this Agreement, unless such Holder previously shall have given to the Trustee a written notice of default and of the continuance thereof, as hereinbefore provided, and unless also the Holders of Certificates of each Class affected thereby evidencing, as to each such Class, Percentage Interests aggregating not less than 25% 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 being understood and intended, and being expressly covenanted by each Certificateholder with every other Certificateholder and the Trustee, that no one or more Holders of Certificates shall have any right in any manner whatever by virtue or by availing itself or themselves of any provisions of this Agreement to affect, disturb or prejudice the rights of the Holders of any other of the 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 in respect of the related Certificate Group. It is further understood and intended, and each Certificateholder expressly covenants with every other Certificateholder and the Trustee, that no Holder of a Certificate of one Certificate Group shall have any right to institute or join in any suit, action or proceeding in equity or at law upon or under or with respect to this Agreement or otherwise to affect, disturb or prejudice the rights of the Holders of Certificates of the other Certificate Group or to assert a claim against the Trust Fund established in respect of such other Certificate Group. For the protection and enforcement of the provisions of this Section 10.03, each and every Certificateholder and the Trustee shall be entitled to such relief as can be given either at law or in equity. Section 10.04. Governing Law. THIS AGREEMENT SHALL BE CONSTRUED IN ACCORDANCE WITH THE LAWS OF THE STATE OF NEW YORK AND THE 133 OBLIGATIONS, RIGHTS AND REMEDIES OF THE PARTIES HEREUNDER SHALL BE DETERMINED IN ACCORDANCE WITH SUCH LAWS. Section 10.05. Notices. All demands, notices and communications hereunder shall be in writing and shall be deemed to have been duly given if personally delivered at or mailed by certified mail, return receipt requested, (a) in the case of the Company, to GE Capital Mortgage Services, Inc., 3 Executive Campus, Cherry Hill, New Jersey 08002, Attention: General Counsel, (b) in the case of the Trustee, to State Street Bank and Trust Company, Corporate Trust Department, 225 Franklin Street, Boston, Massachusetts 02110, (c) in the case of Fitch, to Fitch IBCA, Inc., One State Street Plaza, New York, New York 10004, Attention: Structured Finance Surveillance, and (d) in the case of S&P, to Standard & Poor's Ratings Services, 26 Broadway, 15th Floor, New York, New York 10004, Attention: Mortgage Surveillance Group, or, as to each such Person, at such other address as shall be designated by such Person in a written notice to each other named Person. 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 10.06. Notices to the Rating Agencies. The Company shall deliver written notice of the following events to each Rating Agency promptly following the occurrence thereof: material amendment to this Agreement; any Event of Default; any Trigger Event; change in or termination of the Trustee; removal of the Company or any successor servicer as servicer; repurchase or replacement of any Defective Mortgage Loan pursuant to Section 2.03; and final payment to Certificateholders. In addition, the Company shall deliver copies of the following documents to each Rating Agency at the time such documents are required to be delivered pursuant to this Agreement: monthly statements to Certificateholders pursuant to Section 4.05, annual report of independent accountants pursuant to Section 3.13 and annual servicer compliance report pursuant to Section 3.12. Notwithstanding the foregoing, the failure to deliver such notices or copies shall not constitute an Event of Default under this Agreement. Section 10.07. 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 to the extent permitted by law 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 10.08. Certificates Nonassessable and Fully Paid. It is the intention of the Trustee that Certificateholders shall not be personally liable for obligations of the related Trust Fund, that the beneficial ownership interests represented by the Certificates shall be nonassessable for any losses or expenses of the related Trust Fund or for any reason whatsoever, and that Certificates upon execution, countersignature and delivery thereof by the Trustee are and shall be deemed fully paid. 134 * * * 135 IN WITNESS WHEREOF, the Company and the Trustee have caused this Agreement to be duly executed by their respective officers and their respective seals, duly attested, to be hereunto affixed, all as of the day and year first above written. GE CAPITAL MORTGAGE SERVICES, INC. By:____________________________ Name: Title: [SEAL] Attest: By:________________________ Name: Title: STATE STREET BANK AND TRUST COMPANY, as Trustee By:____________________________ Name: Title: [SEAL] Attest: By:________________________ Name: Title: State of New Jersey ) ) ss.: County of Camden ) On the day of June, 1998 before me, a notary public in and for the State of New Jersey, personally appeared _______________________, known to me who, being by me duly sworn, did depose and say that he/she resides at _____________________; that he/she is a(n) _________________________ of GE Capital Mortgage Services, Inc., a corporation formed under the laws of the State of New Jersey, one of the parties that executed the foregoing instrument; that he/she knows the seal of said corporation; that the seal affixed to said instrument is such corporate seal; that it was so affixed by order of the Board of Directors of said corporation; and that he/she signed his/her name thereto by like order. _________________________ Notary Public [Notarial Seal] The Commonwealth of Massachusetts ) ) ss.: County of Suffolk ) On the day of June, 1998 before me, a notary public in and for the Commonwealth of Massachusetts, personally appeared ____________________, known to me who, being by me duly sworn, did depose and say that he/she resides at ___________________ __________________________; that he/she is a(n) __________ ________________________ of State Street Bank and Trust Company, one of the parties that executed the foregoing instrument; that he/she knows the seal of said Bank; that the seal affixed to said instrument is such corporate seal; that it was so affixed by order of the Board of Directors of said Bank; and that he/she signed his/her name thereto by order of the Board of Directors of said Bank. _________________________ Notary Public [Notarial Seal] EXHIBIT A FORMS OF CERTIFICATES PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A1 Certificate Principal Balance: Class 1-A1 $53,290,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLN3 August 25, 1998 2 THIS CERTIFIES THAT 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 1-A1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 3 Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 1 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 1 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 1 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 1 Certificates (the "Pool 1 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 1 resulting from defaults by Mortgagors will be borne by the Holders of the Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 and Class 1-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 1 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 1 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 1 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 1. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 1 Certificates. No transfer of any Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 4 constitute or result in the assets of the Pool 1 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 1-R or Class 1-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 1-R or Class 1-RL or Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 1-R or Class 1-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 1 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 1 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 1 Trust Fund created thereby shall terminate upon payment to the Pool 1 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 5 repurchase by the Company of all Pool 1 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 1 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 1 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 1 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 1 Mortgage Loan. The right of the Company to repurchase all the Pool 1 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 1 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 1 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 1 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 6 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:____________________________ Name: Title: Countersigned: By____________________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:________________________ 7 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 8 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 9 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A2 Certificate Principal Balance: Class 1-A2 $39,687,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.60% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLP8 August 25, 1998 10 THIS CERTIFIES THAT 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 1-A2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 11 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 12 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A3 Certificate Principal Balance: Class 1-A3 $43,496,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.70% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLQ6 August 25, 1998 13 THIS CERTIFIES THAT 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 1-A3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 14 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 15 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A4 Certificate Principal Balance: Class 1-A4 $33,220,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLR4 August 25, 1998 16 THIS CERTIFIES THAT 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 1-A4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 17 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 18 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A5 Certificate Principal Balance: Class 1-A5 $13,974,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLS2 August 25, 1998 19 THIS CERTIFIES THAT 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 1-A5 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 20 PRINCIPAL WILL NOT BE DISTRIBUTABLE IN RESPECT OF THIS CERTIFICATE. INTEREST IS CALCULATED ON THIS CERTIFICATE BASED ON THE NOTIONAL PRINCIPAL BALANCE HEREOF, WHICH IS EQUAL TO THE CLASS CERTIFICATE PRINCIPAL BALANCES OF OTHER CLASSES OF CERTIFICATES. ACCORDINGLY, THE NOTIONAL PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL NOTIONAL PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 21 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A6 Notional Principal Balance: Class 1-A6 $3,177,829 Certificate Interest Initial Notional Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLT0 August 25, 1998 22 THIS CERTIFIES THAT 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 1-A6 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 23 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 24 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A7 Certificate Principal Balance: Class 1-A7 $93,271,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLU7 August 25, 1998 25 THIS CERTIFIES THAT 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 1-A7 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 26 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 27 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A8 Certificate Principal Balance: Class 1-A8 $38,202,219 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLV5 August 25, 1998 28 THIS CERTIFIES THAT 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 1-A8 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 29 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 30 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A9 Certificate Principal Balance: Class 1-A9 $9,904,279 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLW3 August 25, 1998 31 THIS CERTIFIES THAT 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 1-A9 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 32 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 33 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A10 Certificate Principal Balance: Class 1-A10 $116,705 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLX1 August 25, 1998 34 THIS CERTIFIES THAT 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 1-A10 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 35 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 36 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A11 Certificate Principal Balance: Class 1-A11 $28,341,750 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLY9 August 25, 1998 37 THIS CERTIFIES THAT 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 1-A11 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 38 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 39 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A12 Certificate Principal Balance: Class 1-A12 $9,447,250 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RLZ6 August 25, 1998 40 THIS CERTIFIES THAT 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 1-A12 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 41 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 42 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A13 Certificate Principal Balance: Class 1-A13 $20,199,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMA0 August 25, 1998 43 THIS CERTIFIES THAT 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 1-A13 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 44 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 45 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-A14 Certificate Principal Balance: Class 1-A14 $625,797 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMB8 August 25, 1998 46 THIS CERTIFIES THAT 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 1-A14 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 47 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(2) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE "CODE"). A TRANSFEREE OF THIS CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE ACCEPTED THIS CERTIFICATE SUBJECT TO CERTAIN RESTRICTIONS ON TRANSFERABILITY AS SET FORTH IN THE AGREEMENT, AND SHALL BE REQUIRED TO FURNISH AN AFFIDAVIT TO THE TRANSFEROR AND THE TRUSTEE TO THE EFFECT THAT IT IS NOT A DISQUALIFIED ORGANIZATION, AS SUCH TERM IS DEFINED IN CODE SECTION 860E(e)(5), AN AGENT (INCLUDING A BROKER, NOMINEE OR OTHER MIDDLEMAN) FOR SUCH DISQUALIFIED ORGANIZATION, OR AN ENTITY THAT HOLDS REMIC RESIDUAL SECURITIES AS NOMINEE TO FACILITATE THE CLEARANCE AND SETTLEMENT OF SUCH SECURITIES THROUGH BOOK-ENTRY CHANGES IN ACCOUNTS OF PARTICIPATING ORGANIZATIONS (A "BOOK-ENTRY NOMINEE") AND TO HAVE AGREED TO SUCH AMENDMENTS TO THE AGREEMENT AS MAY BE REQUIRED TO FURTHER EFFECTUATE THE RESTRICTIONS ON TRANSFERS TO DISQUALIFIED ORGANIZATIONS, AGENTS THEREOF OR BOOK-ENTRY NOMINEES. THE HOLDER OF THIS CLASS 1-R CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE IRREVOCABLY APPOINTED THE COMPANY (AS DEFINED HEREIN) AS ITS UPPER-TIER AGENT AND ATTORNEY-IN-FACT TO ACT AS "TAX MATTERS PERSON" OF THE UPPER-TIER REMIC TO PERFORM THE FUNCTIONS OF A "TAX MATTERS PARTNER" FOR PURPOSES OF SUBCHAPTER C OF CHAPTER 63 OF SUBTITLE F OF THE CODE, WITH RESPECT TO THE POOL 1 TRUST FUND. 48 THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY DISQUALIFIED ORGANIZATION, BOOK-ENTRY NOMINEE OR NON-PERMITTED FOREIGN HOLDER, AS DEFINED IN THE AGREEMENT OR TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-R Certificate Principal Balance: Class 1-R $50.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMF9 August 25, 1998 49 THIS CERTIFIES THAT 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 1-R Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial 50 interest in the Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 1 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 1 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 1 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 1 Certificates (the "Pool 1 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 1 resulting from defaults by Mortgagors will be borne by the Holders of the Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 and Class 1-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 1 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 1 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 1 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 1. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 1 Certificates. No transfer of any Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 51 constitute or result in the assets of the Pool 1 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 1-R or Class 1-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 1-R or Class 1-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 1-R or Class 1-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 1 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 1 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 1 Trust Fund created thereby shall terminate upon payment to the Pool 1 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 52 repurchase by the Company of all Pool 1 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 1 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 1 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 1 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 1 Mortgage Loan. The right of the Company to repurchase all the Pool 1 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 1 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 1 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 1 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 53 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:_____________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 54 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 55 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(2) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE "CODE"). A TRANSFEREE OF THIS CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE ACCEPTED THIS CERTIFICATE SUBJECT TO CERTAIN RESTRICTIONS ON TRANSFERABILITY AS SET FORTH IN THE AGREEMENT, AND SHALL BE REQUIRED TO FURNISH AN AFFIDAVIT TO THE TRANSFEROR AND THE TRUSTEE TO THE EFFECT THAT IT IS NOT A DISQUALIFIED ORGANIZATION, AS SUCH TERM IS DEFINED IN CODE SECTION 860E(e)(5), AN AGENT (INCLUDING A BROKER, NOMINEE OR OTHER MIDDLEMAN) FOR SUCH DISQUALIFIED ORGANIZATION, OR AN ENTITY THAT HOLDS REMIC RESIDUAL SECURITIES AS NOMINEE TO FACILITATE THE CLEARANCE AND SETTLEMENT OF SUCH SECURITIES THROUGH BOOK-ENTRY CHANGES IN ACCOUNTS OF PARTICIPATING ORGANIZATIONS (A "BOOK-ENTRY NOMINEE") AND TO HAVE AGREED TO SUCH AMENDMENTS TO THE AGREEMENT AS MAY BE REQUIRED TO FURTHER EFFECTUATE THE RESTRICTIONS ON TRANSFERS TO DISQUALIFIED ORGANIZATIONS, AGENTS THEREOF OR BOOK-ENTRY NOMINEES. THE HOLDER OF THIS CLASS 1-RL CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE IRREVOCABLY APPOINTED THE COMPANY (AS DEFINED HEREIN) AS ITS LOWER-TIER AGENT AND ATTORNEY-IN-FACT TO ACT AS "TAX MATTERS PERSON" OF THE LOWER-TIER REMIC TO PERFORM THE FUNCTIONS OF A "TAX MATTERS PARTNER" FOR PURPOSES OF SUBCHAPTER C OF CHAPTER 63 OF SUBTITLE F OF THE CODE, WITH RESPECT TO THE POOL 1 TRUST FUND. 56 THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY DISQUALIFIED ORGANIZATION, BOOK-ENTRY NOMINEE OR NON-PERMITTED FOREIGN HOLDER, AS DEFINED IN THE AGREEMENT OR TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-RL Certificate Principal Balance: Class 1-RL $50.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMG7 August 25, 1998 57 THIS CERTIFIES THAT 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 1-RL Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 58 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). 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 EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH SECTION 5.02 OF THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). 59 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-PO Certificate Principal Balance: Class 1-PO $859,424.52 Certificate Interest Initial Certificate Principal Rate per annum: Balance of this Certificate: non-interest bearing Cut-off Date: July 1, 1998 First Distribution Date: August 25, 1998 60 THIS CERTIFIES THAT 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 1-PO Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 61 Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 1 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 1 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 1 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 1 Certificates (the "Pool 1 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 1 resulting from defaults by Mortgagors will be borne by the Holders of the Class 1-M, Class 1-B1, Class 1-B2, Class 1- B3, Class 1-B4 and Class 1-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 1 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 1 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 1 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 1. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 1 Certificates. No transfer of any Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 62 constitute or result in the assets of the Pool 1 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 1-M, Class 1- B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 1-R or Class 1-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 1-R or Class 1-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 1-R or Class 1-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 1 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 1 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 1 Trust Fund created thereby shall terminate upon payment to the Pool 1 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 63 repurchase by the Company of all Pool 1 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 1 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 1 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 1 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 1 Mortgage Loan. The right of the Company to repurchase all the Pool 1 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 1 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 1 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 1 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 64 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 65 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 66 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 67 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-M Certificate Principal Balance: Class 1-M $7,412,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMC6 August 25, 1998 68 THIS CERTIFIES THAT 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 1-M Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial 69 interest in the Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 1 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 1 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 1 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 1 Certificates (the "Pool 1 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 1 resulting from defaults by Mortgagors will be borne by the Holders of the Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 and Class 1-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 1 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 1 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 1 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 1. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 1 Certificates. No transfer of any Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 70 constitute or result in the assets of the Pool 1 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 1-R or Class 1-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 1-R or Class 1-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 1-R or Class 1-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 1 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 1 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 1 Trust Fund created thereby shall terminate upon payment to the Pool 1 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 71 repurchase by the Company of all Pool 1 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 1 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 1 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 1 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 1 Mortgage Loan. The right of the Company to repurchase all the Pool 1 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 1 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 1 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 1 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 72 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:____________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 73 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 74 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 75 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-B1 Certificate Principal Balance: Class 1-B1 $3,205,500 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMD4 August 25, 1998 76 THIS CERTIFIES THAT 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 1-B1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 77 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 78 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-B2 Certificate Principal Balance: Class 1-B2 $1,803,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RME2 August 25, 1998 79 THIS CERTIFIES THAT 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 1-B2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 80 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 81 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-B3 Certificate Principal Balance: Class 1-B3 $1,603,000.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNY7 August 25, 1998 82 THIS CERTIFIES THAT 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 1-B3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial 83 interest in the Pool 3 and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 1 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 1 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 1 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 1 Certificates (the "Pool 1 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 1 resulting from defaults by Mortgagors will be borne by the Holders of the Class 1-M, Class 1-B1, Class 1-B2, Class 1- B3, Class 1-B4 and Class 1-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 1 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 1 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 1 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 1. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 1 Certificates. No transfer of any Class 1-M, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 84 constitute or result in the assets of the Pool 1 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 1-M, Class 1- B1, Class 1-B2, Class 1-B3, Class 1-B4 or Class 1-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 1-R or Class 1-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 1-R or Class 1-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 1-R or Class 1-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 1 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 1 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 1 Trust Fund created thereby shall terminate upon payment to the Pool 1 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 85 repurchase by the Company of all Pool 1 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 1 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 1 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 1 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 1 Mortgage Loan. The right of the Company to repurchase all the Pool 1 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 1 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 1 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 1 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 86 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 87 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 88 In connection with any transfer of this Certificate, the undersigned registered holder hereof confirms that without utilizing any general solicitation or general advertising: (Check One) - |_| (a) This Certificate is being transferred by the undersigned to a person whom the undersigned reasonably believes is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) pursuant to the exemption from registration under the Securities Act of 1933, as amended, provided by Rule 144A thereunder. |_| (b) This Certificate is being transferred by the undersigned to an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended) and that the undersigned has been advised by the prospective purchaser that it intends to hold this Certificate for investment and not for distribution or resale. Dated - ---------------------- (Signature) If none of the foregoing boxes is checked, the Trustee shall not be obligated to register this Certificate in the name of any person other than the registered holder thereof unless and until the conditions to any such transfer of registration set forth herein, and in the Pooling and Servicing Agreement have been satisfied. TO BE COMPLETED BY PURCHASER IF (a) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) and acknowledges that it has received such information as the undersigned has requested pursuant to Rule 144A or has determined not to request such information and that it is aware that the registered holder is relying upon the undersigned's foregoing representations in order to claim the exemption from registration provided by Rule 144A, and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction 89 Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - ---------------------- (Signature) TO BE COMPLETED BY PURCHASER IF (b) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended), and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - ---------------------- (Signature) 90 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 91 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-B4 Certificate Principal Balance: Class 1-B4 $801,000.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNZ4 August 25, 1998 92 THIS CERTIFIES THAT 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 1-B4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 93 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 94 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 1-B5 Certificate Principal Balance: Class 1-B5 $1,202,871.10 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RPA7 August 25, 1998 95 THIS CERTIFIES THAT 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 1-B5 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 1 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 1 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such trustee, in its capacity as trustee of the Pool 1 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-three classes of which represent the entire beneficial interest in the Pool 1 Trust Fund (herein called the "Pool 1 Certificates"), eighteen of which represent the entire beneficial interest in the Pool 2 Trust Fund, twelve of which represent the entire beneficial interest in the 96 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 97 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A1 Certificate Principal Balance: Class 2-A1 $42,800,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.60% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMH5 August 25, 1998 98 THIS CERTIFIES THAT 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 2-A1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial 99 interest in the Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 2 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 2 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 2 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 2 Certificates (the "Pool 2 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 2 resulting from defaults by Mortgagors will be borne by the Holders of the Class 2-M, Class 2-B1, Class 2-B2, Class 2- B3, Class 2-B4 and Class 2-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 2 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 2 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 2 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 2. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 2 Certificates. No transfer of any Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 100 constitute or result in the assets of the Pool 2 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 2-R or Class 2-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 2-R or Class 2-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 2-R or Class 2-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 2 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 2 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 2 Trust Fund created thereby shall terminate upon payment to the Pool 2 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 101 repurchase by the Company of all Pool 2 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 2 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 2 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 2 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 2 Mortgage Loan. The right of the Company to repurchase all the Pool 2 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 2 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 2 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 2 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 102 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 103 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 104 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 105 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A2 Certificate Principal Balance: Class 2-A2 $23,450,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.55% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMJ1 August 25, 1998 106 THIS CERTIFIES THAT 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 2-A2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 107 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 108 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A3 Notional Principal Balance: Class 2-A3 $1,645,926 Certificate Interest Initial Notional Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMK8 August 25, 1998 109 THIS CERTIFIES THAT 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 2-A3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 110 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 111 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A4 Certificate Principal Balance: Class 2-A4 $69,660,000 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RML6 August 25, 1998 112 THIS CERTIFIES THAT 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 2-A4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 113 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 114 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A5 Certificate Principal Balance: Class 2-A5 $13,416,000 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMM4 August 25, 1998 115 THIS CERTIFIES THAT 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 2-A5 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 116 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 117 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A6 Certificate Principal Balance: Class 2-A6 $4,644,000 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMN2 August 25, 1998 118 THIS CERTIFIES THAT 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 2-A6 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 119 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 120 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A7 Certificate Principal Balance: Class 2-A7 $5,361,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMP7 August 25, 1998 121 THIS CERTIFIES THAT 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 2-A7 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 122 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 123 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A8 Certificate Principal Balance: Class 2-A8 $968,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMQ5 August 25, 1998 124 THIS CERTIFIES THAT 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 2-A8 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 125 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 126 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-A9 Certificate Principal Balance: Class 2-A9 $31,800,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMR3 August 25, 1998 127 THIS CERTIFIES THAT 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 2-A9 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 128 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(2) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE "CODE"). A TRANSFEREE OF THIS CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE ACCEPTED THIS CERTIFICATE SUBJECT TO CERTAIN RESTRICTIONS ON TRANSFERABILITY AS SET FORTH IN THE AGREEMENT, AND SHALL BE REQUIRED TO FURNISH AN AFFIDAVIT TO THE TRANSFEROR AND THE TRUSTEE TO THE EFFECT THAT IT IS NOT A DISQUALIFIED ORGANIZATION, AS SUCH TERM IS DEFINED IN CODE SECTION 860E(e)(5), AN AGENT (INCLUDING A BROKER, NOMINEE OR OTHER MIDDLEMAN) FOR SUCH DISQUALIFIED ORGANIZATION, OR AN ENTITY THAT HOLDS REMIC RESIDUAL SECURITIES AS NOMINEE TO FACILITATE THE CLEARANCE AND SETTLEMENT OF SUCH SECURITIES THROUGH BOOK-ENTRY CHANGES IN ACCOUNTS OF PARTICIPATING ORGANIZATIONS (A "BOOK-ENTRY NOMINEE") AND TO HAVE AGREED TO SUCH AMENDMENTS TO THE AGREEMENT AS MAY BE REQUIRED TO FURTHER EFFECTUATE THE RESTRICTIONS ON TRANSFERS TO DISQUALIFIED ORGANIZATIONS, AGENTS THEREOF OR BOOK-ENTRY NOMINEES. THE HOLDER OF THIS CLASS 2-R CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE IRREVOCABLY APPOINTED THE COMPANY (AS DEFINED HEREIN) AS ITS UPPER-TIER AGENT AND ATTORNEY-IN-FACT TO ACT AS "TAX MATTERS PERSON" OF THE UPPER-TIER REMIC TO PERFORM THE FUNCTIONS OF A "TAX MATTERS PARTNER" FOR PURPOSES OF SUBCHAPTER C OF CHAPTER 63 OF SUBTITLE F OF THE CODE, WITH RESPECT TO THE POOL 2 TRUST FUND. 129 THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY DISQUALIFIED ORGANIZATION, BOOK-ENTRY NOMINEE OR NON-PERMITTED FOREIGN HOLDER, AS DEFINED IN THE AGREEMENT OR TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-R Certificate Principal Balance: Class 2-R $100.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMV4 August 25, 1998 130 THIS CERTIFIES THAT 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 2-R Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial 131 interest in the Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 2 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 2 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 2 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 2 Certificates (the "Pool 2 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 2 resulting from defaults by Mortgagors will be borne by the Holders of the Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 and Class 2-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 2 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 2 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 2 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 2. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 2 Certificates. No transfer of any Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 132 constitute or result in the assets of the Pool 2 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 2-M, Class 2- B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 2-R or Class 2-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 2-R or Class 2-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 2-R or Class 2-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 2 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 2 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 2 Trust Fund created thereby shall terminate upon payment to the Pool 2 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 133 repurchase by the Company of all Pool 2 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 2 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 2 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 2 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 2 Mortgage Loan. The right of the Company to repurchase all the Pool 2 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 2 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 2 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 2 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 134 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:__________________________ Name: Title: Countersigned: By________________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 135 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 136 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(2) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE "CODE"). A TRANSFEREE OF THIS CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE ACCEPTED THIS CERTIFICATE SUBJECT TO CERTAIN RESTRICTIONS ON TRANSFERABILITY AS SET FORTH IN THE AGREEMENT, AND SHALL BE REQUIRED TO FURNISH AN AFFIDAVIT TO THE TRANSFEROR AND THE TRUSTEE TO THE EFFECT THAT IT IS NOT A DISQUALIFIED ORGANIZATION, AS SUCH TERM IS DEFINED IN CODE SECTION 860E(e)(5), AN AGENT (INCLUDING A BROKER, NOMINEE OR OTHER MIDDLEMAN) FOR SUCH DISQUALIFIED ORGANIZATION, OR AN ENTITY THAT HOLDS REMIC RESIDUAL SECURITIES AS NOMINEE TO FACILITATE THE CLEARANCE AND SETTLEMENT OF SUCH SECURITIES THROUGH BOOK-ENTRY CHANGES IN ACCOUNTS OF PARTICIPATING ORGANIZATIONS (A "BOOK-ENTRY NOMINEE") AND TO HAVE AGREED TO SUCH AMENDMENTS TO THE AGREEMENT AS MAY BE REQUIRED TO FURTHER EFFECTUATE THE RESTRICTIONS ON TRANSFERS TO DISQUALIFIED ORGANIZATIONS, AGENTS THEREOF OR BOOK-ENTRY NOMINEES. THE HOLDER OF THIS CLASS 2-RL CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE IRREVOCABLY APPOINTED THE COMPANY (AS DEFINED HEREIN) AS ITS LOWER-TIER AGENT AND ATTORNEY-IN-FACT TO ACT AS "TAX MATTERS PERSON" OF THE LOWER-TIER REMIC TO PERFORM THE FUNCTIONS OF A "TAX MATTERS PARTNER" FOR PURPOSES OF SUBCHAPTER C OF CHAPTER 63 OF SUBTITLE F OF THE CODE, WITH RESPECT TO THE POOL 2 TRUST FUND. 137 THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY DISQUALIFIED ORGANIZATION, BOOK-ENTRY NOMINEE OR NON-PERMITTED FOREIGN HOLDER, AS DEFINED IN THE AGREEMENT OR TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-RL Certificate Principal Balance: Class 2-RL $100.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMW2 August 25, 1998 138 THIS CERTIFIES THAT 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 2-RL Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 139 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). 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 EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH SECTION 5.02 OF THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). 140 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-PO Certificate Principal Balance: Class 2-PO $114,033.61 Certificate Interest Initial Certificate Principal Rate per annum: Balance of this Certificate: non-interest bearing Cut-off Date: July 1, 1998 First Distribution Date: August 25, 1998 141 THIS CERTIFIES THAT 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 2-PO Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial 142 interest in the Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 2 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 2 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 2 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 2 Certificates (the "Pool 2 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 2 resulting from defaults by Mortgagors will be borne by the Holders of the Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 and Class 2-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 2 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 2 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 2 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 2. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 2 Certificates. No transfer of any Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 143 constitute or result in the assets of the Pool 2 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 2-R or Class 2-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 2-R or Class 2-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 2-R or Class 2-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 2 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 2 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 2 Trust Fund created thereby shall terminate upon payment to the Pool 2 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 144 repurchase by the Company of all Pool 2 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 2 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 2 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 2 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 2 Mortgage Loan. The right of the Company to repurchase all the Pool 2 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 2 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 2 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 2 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 145 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 146 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 147 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 148 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-M Certificate Principal Balance: Class 2-M $3,703,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMS1 August 25, 1998 149 THIS CERTIFIES THAT 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 2-M Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial 150 interest in the Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 2 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 2 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 2 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 2 Certificates (the "Pool 2 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 2 resulting from defaults by Mortgagors will be borne by the Holders of the Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 and Class 2-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 2 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 2 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 2 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 2. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 2 Certificates. No transfer of any Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 151 constitute or result in the assets of the Pool 2 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 2-R or Class 2-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 2-R or Class 2-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 2-R or Class 2-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 2 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 2 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 2 Trust Fund created thereby shall terminate upon payment to the Pool 2 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 152 repurchase by the Company of all Pool 2 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 2 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 2 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 2 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 2 Mortgage Loan. The right of the Company to repurchase all the Pool 2 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 2 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 2 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 2 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 153 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 154 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 155 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 156 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-B1 Certificate Principal Balance: Class 2-B1 $1,502,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMT9 August 25, 1998 157 THIS CERTIFIES THAT 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 2-B1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 158 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 159 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-B2 Certificate Principal Balance: Class 2-B2 $801,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMU6 August 25, 1998 160 THIS CERTIFIES THAT 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 2-B2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 161 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 162 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-B3 Certificate Principal Balance: Class 2-B3 $801,000.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RPB5 August 25, 1998 163 THIS CERTIFIES THAT 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 2-B3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"),twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial 164 interest in the Pool 3 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 2 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 2 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 2 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 2 Certificates (the "Pool 2 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 2 resulting from defaults by Mortgagors will be borne by the Holders of the Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 and Class 2-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 2 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 2 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 2 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 2. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 2 Certificates. No transfer of any Class 2-M, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 165 constitute or result in the assets of the Pool 2 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 2-M, Class 2- B1, Class 2-B2, Class 2-B3, Class 2-B4 or Class 2-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 2-R or Class 2-RL Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 2-R or Class 2-RL Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 2-R or Class 2-RL Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 2 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 2 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 2 Trust Fund created thereby shall terminate upon payment to the Pool 2 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the 166 repurchase by the Company of all Pool 2 Mortgage Loans and all property acquired in respect of any Mortgage Loan remaining in the Pool 2 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 2 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 2 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 2 Mortgage Loan. The right of the Company to repurchase all the Pool 2 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 2 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 2 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 2 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 167 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 168 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 169 In connection with any transfer of this Certificate, the undersigned registered holder hereof confirms that without utilizing any general solicitation or general advertising: (Check One) - |_| (a) This Certificate is being transferred by the undersigned to a person whom the undersigned reasonably believes is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) pursuant to the exemption from registration under the Securities Act of 1933, as amended, provided by Rule 144A thereunder. |_| (b) This Certificate is being transferred by the undersigned to an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended) and that the undersigned has been advised by the prospective purchaser that it intends to hold this Certificate for investment and not for distribution or resale. Dated - --------------------------- (Signature) If none of the foregoing boxes is checked, the Trustee shall not be obligated to register this Certificate in the name of any person other than the registered holder thereof unless and until the conditions to any such transfer of registration set forth herein, and in the Pooling and Servicing Agreement have been satisfied. TO BE COMPLETED BY PURCHASER IF (a) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) and acknowledges that it has received such information as the undersigned has requested pursuant to Rule 144A or has determined not to request such information and that it is aware that the registered holder is relying upon the undersigned's foregoing representations in order to claim the exemption from registration provided by Rule 144A, and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction 170 Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - ---------------------- (Signature) TO BE COMPLETED BY PURCHASER IF (b) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended), and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - ---------------------- (Signature) 171 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 172 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-B4 Certificate Principal Balance: Class 2-B4 $401,000.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RPC3 August 25, 1998 173 THIS CERTIFIES THAT 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 2-B4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"),twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 174 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 175 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 2-B5 Certificate Principal Balance: Class 2-B5 $801,081.75 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RPD1 August 25, 1998 176 THIS CERTIFIES THAT 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 2-B5 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 2 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 2 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 2 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, eighteen classes of which represent the entire beneficial interest in the Pool 2 Trust Fund (herein called the "Pool 2 Certificates"),twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, twelve of which represent the entire beneficial interest in the 177 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 178 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-A1 Certificate Principal Balance: Class 3-A1 $37,700,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMX0 August 25, 1998 179 THIS CERTIFIES THAT 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 3-A1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 180 2 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 3 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 3 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 3 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 3 Certificates (the "Pool 3 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 3 resulting from defaults by Mortgagors will be borne by the Holders of the Class 3-M, Class 3-B1, Class 3-B2, Class 3- B3, Class 3-B4 and Class 3-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 3 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 3 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 3 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 3. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 3 Certificates. No transfer of any Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 181 constitute or result in the assets of the Pool 3 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 3-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 3-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 3-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 3 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 3 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 3 Trust Fund created thereby shall terminate upon payment to the Pool 3 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 3 Mortgage Loans and all property acquired in respect 182 of any Mortgage Loan remaining in the Pool 3 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 3 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 3 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 3 Mortgage Loan. The right of the Company to repurchase all the Pool 3 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 3 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 3 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 3 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 183 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 184 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 185 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 186 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-A2 Certificate Principal Balance: Class 3-A2 $2,300,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMY8 August 25, 1998 187 THIS CERTIFIES THAT 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 3-A2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 2 188 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 189 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-A3 Certificate Principal Balance: Class 3-A3 $10,000,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RMZ5 August 25, 1998 190 THIS CERTIFIES THAT 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 3-A3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 2 191 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 192 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-A4 Certificate Principal Balance: Class 3-A4 $121,818,119 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNA9 August 25, 1998 193 THIS CERTIFIES THAT 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 3-A4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 2 194 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(2) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE "CODE"). A TRANSFEREE OF THIS CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE ACCEPTED THIS CERTIFICATE SUBJECT TO CERTAIN RESTRICTIONS ON TRANSFERABILITY AS SET FORTH IN THE AGREEMENT, AND SHALL BE REQUIRED TO FURNISH AN AFFIDAVIT TO THE TRANSFEROR AND THE TRUSTEE TO THE EFFECT THAT IT IS NOT A DISQUALIFIED ORGANIZATION, AS SUCH TERM IS DEFINED IN CODE SECTION 860E(e)(5), AN AGENT (INCLUDING A BROKER, NOMINEE OR OTHER MIDDLEMAN) FOR SUCH DISQUALIFIED ORGANIZATION, OR AN ENTITY THAT HOLDS REMIC RESIDUAL SECURITIES AS NOMINEE TO FACILITATE THE CLEARANCE AND SETTLEMENT OF SUCH SECURITIES THROUGH BOOK-ENTRY CHANGES IN ACCOUNTS OF PARTICIPATING ORGANIZATIONS (A "BOOK-ENTRY NOMINEE") AND TO HAVE AGREED TO SUCH AMENDMENTS TO THE AGREEMENT AS MAY BE REQUIRED TO FURTHER EFFECTUATE THE RESTRICTIONS ON TRANSFERS TO DISQUALIFIED ORGANIZATIONS, AGENTS THEREOF OR BOOK-ENTRY NOMINEES. THE HOLDER OF THIS CLASS 3-R CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE IRREVOCABLY APPOINTED THE COMPANY (AS DEFINED HEREIN) AS ITS AGENT AND ATTORNEY-IN-FACT TO ACT AS "TAX MATTERS PERSON" OF THE REMIC TO PERFORM THE FUNCTIONS OF A "TAX MATTERS PARTNER" FOR PURPOSES OF SUBCHAPTER C OF CHAPTER 63 OF SUBTITLE F OF THE CODE, WITH RESPECT TO THE POOL 3 TRUST FUND. 195 THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY DISQUALIFIED ORGANIZATION, BOOK-ENTRY NOMINEE OR NON-PERMITTED FOREIGN HOLDER, AS DEFINED IN THE AGREEMENT OR TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-R Certificate Principal Balance: Class 3-R $100.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNE1 Agust 25, 1998 196 THIS CERTIFIES THAT 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 3-R Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial 197 interest in the Pool 2 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 3 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 3 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 3 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 3 Certificates (the "Pool 3 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 3 resulting from defaults by Mortgagors will be borne by the Holders of the Class 3-M, Class 3-B1, Class 3-B2, Class 3- B3, Class 3-B4 and Class 3-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 3 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 3 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 3 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 3. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 3 Certificates. No transfer of any Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 198 constitute or result in the assets of the Pool 3 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 3-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 3-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 3-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 3 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 3 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 3 Trust Fund created thereby shall terminate upon payment to the Pool 3 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 3 Mortgage Loans and all property acquired in respect 199 of any Mortgage Loan remaining in the Pool 3 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 3 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 3 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 3 Mortgage Loan. The right of the Company to repurchase all the Pool 3 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 3 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 3 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 3 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 200 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 201 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 202 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). 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 EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH SECTION 5.02 OF THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). 203 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-PO Certificate Principal Balance: Class 3-PO $664,090.01 Certificate Interest Initial Certificate Principal Rate per annum: Balance of this Certificate: non-interest bearing Cut-off Date: July 1, 1998 First Distribution Date: August 25, 1998 204 THIS CERTIFIES THAT 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 3-PO Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund and eighteen of which represent the entire 205 beneficial interest in the Pool 2 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 3 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 3 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 3 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 3 Certificates (the "Pool 3 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 3 resulting from defaults by Mortgagors will be borne by the Holders of the Class 3-M, Class 3-B1, Class 3-B2, Class 3- B3, Class 3-B4 and Class 3-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 3 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 3 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 3 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 3. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 3 Certificates. No transfer of any Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 206 constitute or result in the assets of the Pool 3 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 3-M, Class 3- B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 3-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 3-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 3-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 3 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 3 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 3 Trust Fund created thereby shall terminate upon payment to the Pool 3 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 3 Mortgage Loans and all property acquired in respect 207 of any Mortgage Loan remaining in the Pool 3 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 3 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 3 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 3 Mortgage Loan. The right of the Company to repurchase all the Pool 3 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 3 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 3 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 3 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 208 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:__________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 209 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 210 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 211 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-M Certificate Principal Balance: Class 3-M $1,320,017 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RNB7 August 25, 1998 212 THIS CERTIFIES THAT 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 3-M Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with anY successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial 213 interest in the Pool 2 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 3 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 3 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 3 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 3 Certificates (the "Pool 3 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 3 resulting from defaults by Mortgagors will be borne by the Holders of the Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 and Class 3-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 3 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 3 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 3 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 3. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 3 Certificates. No transfer of any Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 214 constitute or result in the assets of the Pool 3 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 3-M, Class 3- B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 3-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 3-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 3-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 3 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 3 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 3 Trust Fund created thereby shall terminate upon payment to the Pool 3 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 3 Mortgage Loans and all property acquired in respect 215 of any Mortgage Loan remaining in the Pool 3 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 3 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 3 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 3 Mortgage Loan. The right of the Company to repurchase all the Pool 3 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 3 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 3 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 3 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 216 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 217 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 218 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 219 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-B1 Certificate Principal Balance: Class 3-B1 $440,005 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RNC5 August 25, 1998 220 THIS CERTIFIES THAT 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 3-B1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with anY successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 2 221 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 222 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-B2 Certificate Principal Balance: Class 3-B2 $440,005 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RND3 August 25, 1998 223 THIS CERTIFIES THAT 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 3-B2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with anY successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 2 224 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 225 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-B3 Certificate Principal Balance: Class 3-B3 $792,010.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RPE9 August 25, 1998 226 THIS CERTIFIES THAT 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 3-B3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial 227 interest in the Pool 2 Trust Fund and twenty-one of which represent the entire beneficial interest in the Pool 4 Trust Fund. The Pool 3 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 3 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 3 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 3 Certificates (the "Pool 3 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 3 resulting from defaults by Mortgagors will be borne by the Holders of the Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 and Class 3-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 3 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 3 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 3 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 3. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 3 Certificates. No transfer of any Class 3-M, Class 3-B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 228 constitute or result in the assets of the Pool 3 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 3-M, Class 3- B1, Class 3-B2, Class 3-B3, Class 3-B4 or Class 3-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 3-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 3-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 3-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 3 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 3 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 3 Trust Fund created thereby shall terminate upon payment to the Pool 3 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 3 Mortgage Loans and all property acquired in respect 229 of any Mortgage Loan remaining in the Pool 3 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 3 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 3 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 3 Mortgage Loan. The right of the Company to repurchase all the Pool 3 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 3 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 3 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 3 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 230 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 231 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 232 In connection with any transfer of this Certificate, the undersigned registered holder hereof confirms that without utilizing any general solicitation or general advertising: (Check One) - |_| (a) This Certificate is being transferred by the undersigned to a person whom the undersigned reasonably believes is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) pursuant to the exemption from registration under the Securities Act of 1933, as amended, provided by Rule 144A thereunder. |_| (b) This Certificate is being transferred by the undersigned to an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended) and that the undersigned has been advised by the prospective purchaser that it intends to hold this Certificate for investment and not for distribution or resale. Dated - -------------------- (Signature) If none of the foregoing boxes is checked, the Trustee shall not be obligated to register this Certificate in the name of any person other than the registered holder thereof unless and until the conditions to any such transfer of registration set forth herein, and in the Pooling and Servicing Agreement have been satisfied. TO BE COMPLETED BY PURCHASER IF (a) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) and acknowledges that it has received such information as the undersigned has requested pursuant to Rule 144A or has determined not to request such information and that it is aware that the registered holder is relying upon the undersigned's foregoing representations in order to claim the exemption from registration provided by Rule 144A, and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction 233 Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - -------------------- (Signature) TO BE COMPLETED BY PURCHASER IF (b) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended), and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - -------------------- (Signature) 234 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 235 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-B4 Certificate Principal Balance: Class 3-B4 $264,003.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RPF6 August 25, 1998 236 THIS CERTIFIES THAT 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 3-B4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 2 237 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 238 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 3-B5 Certificate Principal Balance: Class 3-B5 $264,007.25 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RPG4 August 25, 1998 239 THIS CERTIFIES THAT 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 3-B5 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 3 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 3 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 3 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twelve classes of which represent the entire beneficial interest in the Pool 3 Trust Fund (herein called the "Pool 3 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the Pool 2 240 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 241 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A1 Certificate Principal Balance: Class 4-A1 $71,750,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNF8 August 25, 1998 242 THIS CERTIFIES THAT 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 4-A1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial 243 interest in the Pool 2 Trust Fund and twelve of which represent the entire beneficial interest in the Pool 3 Trust Fund. The Pool 4 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 4 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 4 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 4 Certificates (the "Pool 4 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 4 resulting from defaults by Mortgagors will be borne by the Holders of the Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 and Class 4-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 4 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 4 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 4 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 4. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 4 Certificates. No transfer of any Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3 Class 4-B4 or Class 4-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 244 constitute or result in the assets of the Pool 4 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 4-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 4-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 4-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 4 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 4 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 4 Trust Fund created thereby shall terminate upon payment to the Pool 4 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 4 Mortgage Loans and all property acquired in respect 245 of any Mortgage Loan remaining in the Pool 4 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 4 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 4 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 4 Mortgage Loan. The right of the Company to repurchase all the Pool 4 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 4 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 4 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 4 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 246 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 247 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 248 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 249 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A2 Certificate Principal Balance: Class 4-A2 $11,149,185 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNG6 August 25, 1998 250 THIS CERTIFIES THAT 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 4-A2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, 251 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 252 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A3 Certificate Principal Balance: Class 4-A3 $3,716,395 Certificate Interest Initial Certificate Principal Rate per annum: variable Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNH4 August 25, 1998 253 THIS CERTIFIES THAT 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 4-A3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, 254 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 255 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A4 Certificate Principal Balance: Class 4-A4 $20,140,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNJ0 August 25, 1998 256 THIS CERTIFIES THAT 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 4-A4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, 257 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 258 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A5 Certificate Principal Balance: Class 4-A5 $45,100,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNK7 August 25, 1998 259 THIS CERTIFIES THAT 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 4-A5 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 260 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 261 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A6 Certificate Principal Balance: Class 4-A6 $19,500,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNL5 August 25, 1998 262 THIS CERTIFIES THAT 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 4-A6 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four classes, 263 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 264 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A7 Certificate Principal Balance: Class 4-A7 $3,125,000 Certificate Interest Initial Certificate Principal Rate per annum: 7.00% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNM3 August 25, 1998 265 THIS CERTIFIES THAT 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 4-A7 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 266 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 267 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A8 Certificate Principal Balance: Class 4-A8 $3,125,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNN1 August 25, 1998 268 THIS CERTIFIES THAT 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 4-A8 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 269 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 270 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A9 Certificate Principal Balance: Class 4-A9 $3,300,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNP6 August 25, 1998 271 THIS CERTIFIES THAT 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 4-A9 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 272 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 273 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A10 Certificate Principal Balance: Class 4-A10 $3,100,000 Certificate Interest Initial Certificate Principal Rate per annum: 7.00% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNQ4 August 25, 1998 274 THIS CERTIFIES THAT 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 4-A10 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 275 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 276 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A11 Certificate Principal Balance: Class 4-A11 $3,100,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.50% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNR2 August 25, 1998 277 THIS CERTIFIES THAT 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 4-A11 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 278 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 279 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A12 Certificate Principal Balance: Class 4-A12 $3,750,000 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNS0 August 25, 1998 280 THIS CERTIFIES THAT 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 4-A12 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 281 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 282 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-A13 Certificate Principal Balance: Class 4-A13 $2,124,900 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP: 36157RNT8 August 25, 1998 283 THIS CERTIFIES THAT 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 4-A13 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four 284 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(2) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE "CODE"). A TRANSFEREE OF THIS CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE ACCEPTED THIS CERTIFICATE SUBJECT TO CERTAIN RESTRICTIONS ON TRANSFERABILITY AS SET FORTH IN THE AGREEMENT, AND SHALL BE REQUIRED TO FURNISH AN AFFIDAVIT TO THE TRANSFEROR AND THE TRUSTEE TO THE EFFECT THAT IT IS NOT A DISQUALIFIED ORGANIZATION, AS SUCH TERM IS DEFINED IN CODE SECTION 860E(e)(5), AN AGENT (INCLUDING A BROKER, NOMINEE OR OTHER MIDDLEMAN) FOR SUCH DISQUALIFIED ORGANIZATION, OR AN ENTITY THAT HOLDS REMIC RESIDUAL SECURITIES AS NOMINEE TO FACILITATE THE CLEARANCE AND SETTLEMENT OF SUCH SECURITIES THROUGH BOOK-ENTRY CHANGES IN ACCOUNTS OF PARTICIPATING ORGANIZATIONS (A "BOOK-ENTRY NOMINEE") AND TO HAVE AGREED TO SUCH AMENDMENTS TO THE AGREEMENT AS MAY BE REQUIRED TO FURTHER EFFECTUATE THE RESTRICTIONS ON TRANSFERS TO DISQUALIFIED ORGANIZATIONS, AGENTS THEREOF OR BOOK-ENTRY NOMINEES. THE HOLDER OF THIS CLASS 4-R CERTIFICATE, BY ACCEPTANCE HEREOF, IS DEEMED TO HAVE IRREVOCABLY APPOINTED THE COMPANY (AS DEFINED HEREIN) AS ITS AGENT AND ATTORNEY-IN-FACT TO ACT AS "TAX MATTERS PERSON" OF THE REMIC TO PERFORM THE FUNCTIONS OF A "TAX MATTERS PARTNER" FOR PURPOSES OF SUBCHAPTER C OF CHAPTER 63 OF SUBTITLE F OF THE CODE, WITH RESPECT TO THE POOL 4 TRUST FUND. 285 THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY DISQUALIFIED ORGANIZATION, BOOK-ENTRY NOMINEE OR NON-PERMITTED FOREIGN HOLDER, AS DEFINED IN THE AGREEMENT OR TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-R Certificate Principal Balance: Class 4-R $100.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RNX9 August 25, 1998 286 THIS CERTIFIES THAT 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 4-R Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial 287 interest in the Pool 2 Trust Fund and twelve of which represent the entire beneficial interest in the Pool 3 Trust Fund. The Pool 4 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 4 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 4 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 4 Certificates (the "Pool 4 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 4 resulting from defaults by Mortgagors will be borne by the Holders of the Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 and Class 4-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 4 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 4 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 4 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 4. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 4 Certificates. No transfer of any Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 288 constitute or result in the assets of the Pool 4 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 4-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 4-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 4-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 4 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 4 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 4 Trust Fund created thereby shall terminate upon payment to the Pool 4 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 4 Mortgage Loans and all property acquired in respect 289 of any Mortgage Loan remaining in the Pool 4 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 4 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 4 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 4 Mortgage Loan. The right of the Company to repurchase all the Pool 4 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 4 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 4 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 4 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 290 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:__________________ 291 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 292 PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). 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 EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH SECTION 5.02 OF THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). 293 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-PO Certificate Principal Balance: Class 4-PO $329,191.69 Certificate Interest Initial Certificate Principal Rate per annum: Balance of this Certificate: non-interest bearing Cut-off Date: July 1, 1998 First Distribution Date: August 25, 1998 294 THIS CERTIFIES THAT 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 4-PO Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund and eighteen of which represent the entire 295 beneficial interest in the Pool 2 Trust Fund and twelve of which represent the entire beneficial interest in the Pool 3 Trust Fund. The Pool 4 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 4 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 4 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 4 Certificates (the "Pool 4 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 4 resulting from defaults by Mortgagors will be borne by the Holders of the Class 4-M, Class 4-B1, Class 4-B2, Class 4- B3, Class 4-B4 and Class 4-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 4 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 4 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 4 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 4. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 4 Certificates. No transfer of any Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 296 constitute or result in the assets of the Pool 4 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 4-M, Class 4- B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 4-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 4-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 4-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 4 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 4 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 4 Trust Fund created thereby shall terminate upon payment to the Pool 4 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 4 Mortgage Loans and all property acquired in respect 297 of any Mortgage Loan remaining in the Pool 4 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 4 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 4 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 4 Mortgage Loan. The right of the Company to repurchase all the Pool 4 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 4 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 4 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 4 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 298 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 299 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 330 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 301 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-M Certificate Principal Balance: Class 4-M $3,725,240 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RNU5 August 25, 1998 302 THIS CERTIFIES THAT 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 4-M Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial 303 interest in the Pool 2 Trust Fund and twelve of which represent the entire benefical interest in the Pool 3 Trust Fund. The Pool 4 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 4 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 4 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 4 Certificates (the "Pool 4 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 4 resulting from defaults by Mortgagors will be borne by the Holders of the Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 and Class 4-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 4 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 4 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 4 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 4. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 4 Certificates. No transfer of any Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 304 constitute or result in the assets of the Pool 4 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 4-M, Class 4- B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 4-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 4-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 4-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 4 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 4 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 4 Trust Fund created thereby shall terminate upon payment to the Pool 4 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 4 Mortgage Loans and all property acquired in respect 305 of any Mortgage Loan remaining in the Pool 4 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 4 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 4 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 4 Mortgage Loan. The right of the Company to repurchase all the Pool 4 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 4 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 4 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 4 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 306 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 307 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 308 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 309 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-B1 Certificate Principal Balance: Class 4-B1 $1,610,914 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RNV3 August 25, 1998 310 THIS CERTIFIES THAT 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 4-B1 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the 311 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED). UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 312 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-B2 Certificate Principal Balance: Class 4-B2 $906,139 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RNW1 August 25, 1998 313 THIS CERTIFIES THAT 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 4-B2 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the 314 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 315 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-B3 Certificate Principal Balance: Class 4-B3 $805,457.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RPH2 August 25, 1998 316 THIS CERTIFIES THAT 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 4-B3 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial 317 interest in the Pool 2 Trust Fund and twelve of which represent the entire beneficial interest in the Pool 3 Trust Fund. The Pool 4 Certificates are limited in right of payment to certain payments on and collections in respect of the Pool 4 Mortgage Loans, all as more specifically set forth in the Agreement. The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Pool 4 Certificate Account for payment hereunder and that the Trustee in its individual capacity is not personally liable to the holders of the Pool 4 Certificates (the "Pool 4 Certificateholders") for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement. As provided in the Agreement and with certain exceptions therein provided, certain losses on the Mortgage Loans in respect of Pool 4 resulting from defaults by Mortgagors will be borne by the Holders of the Class 4-M, Class 4-B1, Class 4-B2, Class 4-B4, Class 4-B4 and Class 4-B5 Certificates before such losses will be borne by the Holders of the other Classes of the Pool 4 Certificates. This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced hereby, and the rights, duties and immunities of the Trustee. The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Company and the rights of the Pool 4 Certificateholders under the Agreement at any time by the Company and the Trustee with the consent of the Pool 4 Certificateholders evidencing not less than 66% of all the Voting Rights related to Pool 4. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Pool 4 Certificates. No transfer of any Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate which is in the form of a Definitive Certificate shall be made to any Person unless the Trustee has received (i) a certificate from such transferee to the effect that such transferee (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended ("Section 4975") (a "Plan") or a Person that is using the assets of a Plan to acquire such Certificate or (y) is an insurance company investing assets of its general account and the exemption provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemption") applies to such transferee's acquisition and holding of such Certificate, or (ii) an opinion of counsel satisfactory to the Trustee, which opinion shall not be an expense of the Trustee or the Company, to the effect that the purchase and holding of such Certificate will not 318 constitute or result in the assets of the Pool 4 Trust Fund being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement; provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of a change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the effect that the purchase and holding of a Class 4-M, Class 4-B1, Class 4-B2, Class 4-B3, Class 4-B4 or Class 4-B5 Certificate by a Plan or a Person that is purchasing or holding such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975. No transfer of any Class 4-R Certificate shall be made to any Person unless the Trustee has received a certificate from such transferee to the effect that, among other things, such transferee (x) is not an employee benefit plan subject to ERISA or a Plan or a Person that is using the assets of a Plan to acquire any such Class 4-R Certificate or (y) is an insurance company investing assets of its general account and the Exemption applies to such transferee's acquisition and holding of any such Class 4-R Certificate. As provided in the Agreement, and subject to certain limitations therein set forth, the transfer of this Certificate is registerable in the Certificate Register of the Trustee upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Trustee in the city in which the Corporate Trust Office of the Trustee is located or in the City of New York, accompanied by a written instrument of transfer in form satisfactory to the Company, the Trustee, and the Certificate Registrar duly executed by the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees. The Pool 4 Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Pool 4 Certificates are exchangeable for new Certificates of the same Class of authorized denominations evidencing the same aggregate Percentage Interest as requested by the Holder surrendering the same. No service charge will be made for any such registration of transfer or exchange, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith. The Trustee and the Certificate Registrar and any agent of the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Trustee, the Certificate Registrar nor any such agent shall be affected by any notice to the contrary. The obligations and responsibilities created by the Agreement, and the Pool 4 Trust Fund created thereby shall terminate upon payment to the Pool 4 Certificateholders, or provision therefor, in accordance with the Agreement following the earlier of (a) the repurchase by the Company of all Pool 4 Mortgage Loans and all property acquired in respect 319 of any Mortgage Loan remaining in the Pool 4 Trust Fund at a price equal to the sum of (x) 100% of the unpaid principal balance of each Pool 4 Mortgage Loan (other than a Mortgage Loan described in clause (y)) plus accrued and unpaid interest thereon at the rate provided for in the Agreement (less any amounts representing previously unreimbursed Monthly Advances) and (y) the appraised value of any property acquired in respect of such Mortgage Loan determined as provided in the Agreement, and (b) the later of the final payment or other liquidation (or any Monthly Advance with respect thereto) of the last Mortgage Loan remaining in the Pool 4 Trust Fund and the disposition of all property acquired upon foreclosure or by deed in lieu of foreclosure of any Pool 4 Mortgage Loan. The right of the Company to repurchase all the Pool 4 Mortgage Loans and property in respect of such Mortgage Loans is subject to the Scheduled Principal Balance of all the Pool 4 Certificates at the time of repurchase being less than 10 percent of the Scheduled Principal Balance of all the Pool 4 Certificates as of the Cut-off Date. The Company's exercise of such right will result in early retirement of the Pool 4 Certificates. Unless this Certificate has been countersigned by the Trustee, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose. 320 IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed under its official seal. STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee (SEAL) By:___________________________ Name: Title: Countersigned: By_______________________ Authorized Signatory of STATE STREET BANK AND TRUST COMPANY, not in its individual capacity but solely as Trustee Dated:___________________ 321 ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sell(s), assign(s) and transfer(s) unto Please insert social security or other identifying number of assignee - ----------------------------------------------------------------- - ----------------------------------------------------------------- (Please print or typewrite name and address including postal zip code of assignee) - ----------------------------------------------------------------- this Certificate evidencing a Percentage Interest in certain distributions with respect to the Pool 1 Trust Fund and hereby authorizes the transfer of registration of such interest to assignee on the Certificate Register of said Pool 1 Trust Fund. I (we) further direct the Certificate Registrar to issue a new Certificate of like Class and Percentage Interest, to the above named assignee and deliver such Certificate to the following address: - ----------------------------------------------------------------- - ----------------------------------------------------------------- - ----------------------------------------------------------------- Dated: --------------------- - ------------------------------------------- Signature by or on behalf of assignor - --------------------------- *Signature Guaranteed* *The signature hereon must be guaranteed by a bank, trust company or broker of the signatory who is a member of a signature guarantee medallion program. 322 In connection with any transfer of this Certificate, the undersigned registered holder hereof confirms that without utilizing any general solicitation or general advertising: (Check One) - |_| (a) This Certificate is being transferred by the undersigned to a person whom the undersigned reasonably believes is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) pursuant to the exemption from registration under the Securities Act of 1933, as amended, provided by Rule 144A thereunder. |_| (b) This Certificate is being transferred by the undersigned to an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended) and that the undersigned has been advised by the prospective purchaser that it intends to hold this Certificate for investment and not for distribution or resale. Dated - -------------------- (Signature) If none of the foregoing boxes is checked, the Trustee shall not be obligated to register this Certificate in the name of any person other than the registered holder thereof unless and until the conditions to any such transfer of registration set forth herein, and in the Pooling and Servicing Agreement have been satisfied. TO BE COMPLETED BY PURCHASER IF (a) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is a "qualified institutional buyer" (as defined in Rule 144A under the Securities Act of 1933, as amended) and acknowledges that it has received such information as the undersigned has requested pursuant to Rule 144A or has determined not to request such information and that it is aware that the registered holder is relying upon the undersigned's foregoing representations in order to claim the exemption from registration provided by Rule 144A, and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction 323 Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - -------------------- (Signature) TO BE COMPLETED BY PURCHASER IF (b) ABOVE IS CHECKED: The undersigned represents and warrants that (i) it is an institutional "accredited investor" (as defined in Rule 501(a)(1), (2), (3) or (7) of Regulation D under the Securities Act of 1933, as amended), and (ii) the undersigned (x) is not an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended, or a plan subject to Section 4975 of the Internal Revenue Code of 1986, as amended, and is not using the assets of any such employee benefit or other plan to acquire this Certificate or (y) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995), apply to the acquisition and holding by the undersigned of this Certificate. Dated - -------------------- (Signature) 324 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 325 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-B4 Certificate Principal Balance: Class 4-B4 $402,728.00 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RPJ8 August 25, 1998 326 THIS CERTIFIES THAT 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 4-B4 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the 327 THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF DISTRIBUTION TO CERTAIN CLASSES OF THE CERTIFICATES AS SET FORTH HEREIN AND IN THE AGREEMENT REFERRED TO HEREIN. THIS CERTIFICATE HAS NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR THE SECURITIES LAWS OF ANY STATE OF THE UNITED STATES ("BLUE SKY LAWS"), AND SUCH CERTIFICATE MAY NOT BE OFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED EXCEPT (A) TO A PERSON WHOM THE SELLER REASONABLY BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A UNDER THE SECURITIES ACT IN A TRANSACTION MEETING THE REQUIREMENTS OF RULE 144A, (B) PURSUANT TO AN EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (C) TO AN INSTITUTIONAL ACCREDITED INVESTOR AS DEFINED IN RULE 501(a)(1), (2), (3) OR (7) OF REGULATION D UNDER THE SECURITIES ACT, IN EACH CASE IN A TRANSACTION EXEMPT FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT AND IN ACCORDANCE WITH ANY APPLICABLE BLUE SKY LAWS. NO REPRESENTATION IS MADE AS TO THE AVAILABILITY OF THE EXEMPTION PROVIDED BY RULE 144 FOR RESALES OF THIS CERTIFICATE. PRINCIPAL IN RESPECT OF THIS CERTIFICATE IS DISTRIBUTABLE AS SET FORTH IN THE AGREEMENT (AS DEFINED HEREIN). ACCORDINGLY, THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AT ANY TIME MAY BE LESS THAN THE INITIAL CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE AS SET FORTH HEREON. THIS CERTIFICATE DOES NOT REPRESENT AN INTEREST IN OR OBLIGATION OF GE CAPITAL MORTGAGE SERVICES, INC. OR THE TRUSTEE (AS DEFINED HEREIN). TRANSFER OF THIS CERTIFICATE IS RESTRICTED AS PROVIDED IN SECTION 5.02 OF THE AGREEMENT. THIS CERTIFICATE IS A "REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT" ("REMIC") (AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G(a)(1) AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED. THIS CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE BENEFIT PLAN SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA") OR A PLAN SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED ("SECTION 4975") (A "PLAN") OR A PERSON THAT IS USING THE ASSETS OF A PLAN TO ACQUIRE THIS CERTIFICATE, EXCEPT AS DESCRIBED HEREIN. THE TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN OTHER RESTRICTIONS AS SET FORTH HEREIN. 328 REMIC MULTI-CLASS PASS-THROUGH CERTIFICATE, SERIES 1998-12 evidencing a beneficial ownership interest in a trust fund which consists primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans sold and serviced by GE CAPITAL MORTGAGE SERVICES, INC. No. R- Initial Class 4-B5 Certificate Principal Balance: Class 4-B5 $604,096.57 Certificate Interest Initial Certificate Principal Rate per annum: 6.75% Balance of this Certificate: Cut-off Date: July 1, 1998 First Distribution Date: CUSIP:36157RPK5 August 25, 1998 329 THIS CERTIFIES THAT 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 4-B5 Certificates, both as specified above) in certain distributions with respect to a distinct trust fund (the "Pool 4 Trust Fund"), consisting primarily of a pool of conventional, fixed rate, one- to four-family mortgage loans (the "Mortgage Loans"), sold and serviced by GE Capital Mortgage Services, Inc., a corporation organized and existing under the laws of the State of New Jersey (the "Company"). The Pool 4 Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between the Company and State Street Bank and Trust Company, as trustee of the Pool 1 Trust Fund, the Pool 2 Trust Fund, the Pool 3 Trust Fund and the Pool 4 Trust Fund, a summary of certain of the pertinent provisions of which is set forth herein below. (Such Trustee, in its capacity as trustee of the Pool 4 Trust Fund, together with any successor trustee, is herein referred to as the "Trustee".) To the extent not defined herein, the 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. The Agreement requires the distribution 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 in August 1998, 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 (the "Record Date"), of an amount equal to the product of the Percentage Interest evidenced by this Certificate and the aggregate amount required to be distributed to Holders of Certificates of the same Class as this Certificate pursuant to the Agreement. Distributions on this Certificate will be made by the Trustee by check or money order mailed to the Person entitled thereto at the address appearing in the Certificate Register or, upon written request by the Certificateholder, by such other means of payment as such Person and the Trustee shall agree. Except as otherwise provided in the Agreement, the final distribution on this Certificate will be made in the applicable manner described above, after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency maintained for that purpose by the Trustee in New York, New York. This Certificate is one of a duly authorized issue of Certificates designated as REMIC Multi-Class Pass-Through Certificates, Series 1998-12, issued in seventy-four Classes, twenty-one classes of which represent the entire beneficial interest in the Pool 4 Trust Fund (herein called the "Pool 4 Certificates"), twenty-three of which represent the entire beneficial interest in the Pool 1 Trust Fund, eighteen of which represent the entire beneficial interest in the 330 EXHIBIT B PRINCIPAL BALANCE SCHEDULES APPENDIX A POOL 1 SCHEDULED BALANCES TABLE The Aggregate Pool 1 PAC Balances for the Pool 1 PAC Certificates, the Aggregate Pool 1 Scheduled Balances for the Pool 1 Scheduled Certificates and the Class 1-A13 Scheduled Balances for the Class 1-A13 Certificates set forth in the table below were calculated on the basis of the Class Certificate Principal Balances of each such Certificates set forth on the cover hereof and the other assumptions described in 'Pool 1 Annex--The Pool 1 Mortgage Loans and the Pool 1 Certificates--Distributions on the Pool 1 Certificates--Weighted Average Lives of the Pool 1 Certificates--Pool 1 Scheduled Certificates' and '--Pool 1 PAC Certificates' herein. If such Class Certificate Principal Balances are increased or decreased in accordance with the variance permitted hereby, the applicable balances set forth in the table below will be increased or decreased substantially correspondingly. In such event, the final Pool 1 Scheduled Balances Table will be calculated on or about the Closing Date on the basis of such revised aggregate Class Certificate Principal Balances and on the basis of (1) the Pool 1 PAC Structuring Range of the Pool 1 PAC Certificates, the structuring range for Class 1-A13 Certificates and the Pool 1 Scheduled Certificates and (2) the assumptions set forth in clauses (i), (iv) through (viii), (x) and (xi) of the Pool 1 Modeling Assumptions. The final Pool 1 Scheduled Balances Table will be set forth in the Agreement, which will be filed as an exhibit to the Detailed Description. Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- Initial Balance..... $183,667,000.00 $114,095,797.00 $20,199,000.00 August 1998......... 183,667,000.00 113,658,233.75 20,121,535.80 September 1998...... 183,667,000.00 113,117,802.69 20,025,860.34 October 1998........ 183,667,000.00 112,474,717.64 19,912,011.50 November 1998....... 183,667,000.00 111,729,221.07 19,780,032.18 December 1998....... 183,667,000.00 110,881,660.30 19,629,983.88 January 1999........ 183,667,000.00 109,932,487.59 19,461,946.67 February 1999....... 183,667,000.00 108,882,260.14 19,276,019.19 March 1999.......... 183,667,000.00 107,731,639.85 19,072,318.62 April 1999.......... 183,667,000.00 106,481,392.89 18,850,980.59 May 1999............ 183,667,000.00 105,132,389.17 18,612,159.12 June 1999........... 183,667,000.00 103,685,601.53 18,356,026.43 July 1999........... 183,667,000.00 102,142,104.82 18,082,772.81 August 1999......... 183,667,000.00 100,503,074.75 17,792,606.39 September 1999...... 183,667,000.00 98,769,786.67 17,485,752.97 October 1999........ 183,667,000.00 96,943,614.00 17,162,455.68 November 1999....... 183,667,000.00 95,026,026.63 16,822,974.75 December 1999....... 183,667,000.00 93,018,589.10 16,467,587.16 January 2000........ 183,667,000.00 90,922,958.59 16,096,586.28 February 2000....... 183,667,000.00 88,740,882.78 15,710,281.52 March 2000.......... 183,667,000.00 86,474,197.50 15,308,997.89 April 2000.......... 183,667,000.00 84,124,824.27 14,893,075.56 May 2000............ 183,667,000.00 81,694,767.66 14,462,869.41 June 2000........... 183,667,000.00 79,186,112.52 14,018,748.53 July 2000........... 183,667,000.00 76,601,020.99 13,561,095.71 August 2000......... 183,667,000.00 73,941,729.50 13,090,306.86 September 2000...... 183,667,000.00 71,210,545.52 12,606,790.49 October 2000........ 183,667,000.00 68,409,844.24 12,110,967.10 November 2000....... 183,667,000.00 65,542,065.12 11,603,268.55 December 2000....... 183,667,000.00 62,618,897.76 11,085,764.32 January 2001........ 181,490,313.85 61,380,094.49 10,866,452.24 February 2001....... 179,324,660.70 60,164,800.42 10,651,302.11 March 2001.......... 177,169,984.50 58,972,716.60 10,440,261.03 A1-31 Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- April 2001.......... $175,026,229.50 $ 57,803,547.49 $10,233,276.65 May 2001............ 172,893,340.26 56,657,000.95 10,030,297.28 June 2001........... 170,771,261.59 55,532,788.18 9,831,271.77 July 2001........... 168,659,938.63 54,430,623.70 9,636,149.60 August 2001......... 166,559,316.79 53,350,225.29 9,444,880.78 September 2001...... 164,469,341.76 52,291,313.99 9,257,415.95 October 2001........ 162,389,959.54 51,253,614.04 9,073,706.28 November 2001....... 160,321,116.39 50,236,852.85 8,893,703.51 December 2001....... 158,262,758.86 49,240,760.94 8,717,359.94 January 2002........ 156,214,833.78 48,265,071.97 8,544,628.41 February 2002....... 154,177,288.27 47,309,522.64 8,375,462.31 March 2002.......... 152,150,069.72 46,373,852.69 8,209,815.57 April 2002.......... 150,133,125.80 45,457,804.86 8,047,642.63 May 2002............ 148,126,404.45 44,561,124.85 7,888,898.49 June 2002........... 146,129,853.88 43,683,561.29 7,733,538.64 July 2002........... 144,143,422.59 42,824,865.73 7,581,519.09 August 2002......... 142,167,059.34 41,984,792.58 7,432,796.37 September 2002...... 140,200,713.17 41,163,099.07 7,287,327.49 October 2002........ 138,244,333.37 40,359,545.26 7,145,069.99 November 2002....... 136,297,869.51 39,573,893.97 7,005,981.86 December 2002....... 134,361,271.43 38,805,910.77 6,870,021.62 January 2003........ 132,434,489.23 38,055,363.95 6,737,148.23 February 2003....... 130,517,473.26 37,322,024.47 6,607,321.15 March 2003.......... 128,610,174.17 36,605,665.97 6,480,500.30 April 2003.......... 126,712,542.83 35,906,064.68 6,356,646.08 May 2003............ 124,824,530.38 35,222,999.46 6,235,719.32 June 2003........... 122,946,088.24 34,556,251.71 6,117,681.34 July 2003........... 121,077,168.07 33,905,605.40 6,002,493.88 August 2003......... 119,241,043.28 33,289,616.13 5,893,441.95 September 2003...... 117,414,253.14 32,689,170.55 5,787,141.80 October 2003........ 115,596,749.75 32,104,060.31 5,683,556.55 November 2003....... 113,788,485.45 31,534,079.46 5,582,649.74 December 2003....... 111,989,412.85 30,979,024.47 5,484,385.33 January 2004........ 110,199,484.78 30,438,694.18 5,388,727.72 February 2004....... 108,418,654.32 29,912,889.78 5,295,641.70 March 2004.......... 106,646,874.82 29,401,414.76 5,205,092.50 April 2004.......... 104,884,099.83 28,904,074.94 5,117,045.72 May 2004............ 103,130,283.19 28,420,678.39 5,031,467.40 June 2004........... 101,385,378.93 27,951,035.41 4,948,323.94 July 2004........... 99,649,341.36 27,494,958.56 4,867,582.18 August 2004......... 97,929,643.48 27,058,084.34 4,790,239.96 September 2004...... 96,218,675.02 26,634,327.86 4,715,220.04 October 2004........ 94,516,390.99 26,223,508.74 4,642,490.49 November 2004....... 92,822,746.62 25,825,448.66 4,572,019.75 December 2004....... 91,137,697.37 25,439,971.45 4,503,776.62 January 2005........ 89,461,198.96 25,066,902.98 4,437,730.28 February 2005....... 87,793,207.31 24,706,071.18 4,373,850.26 March 2005.......... 86,133,678.58 24,357,306.02 4,312,106.47 April 2005.......... 84,482,569.15 24,020,439.46 4,252,469.15 May 2005............ 82,839,835.64 23,695,305.45 4,194,908.90 June 2005........... 81,205,434.89 23,381,739.89 4,139,396.69 A1-32 Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- July 2005........... $ 79,579,323.96 $ 23,079,580.65 $ 4,085,903.79 August 2005......... 77,975,893.48 22,799,270.10 4,036,278.89 September 2005...... 76,380,552.47 22,531,518.96 3,988,877.45 October 2005........ 74,793,258.88 22,279,121.45 3,944,194.14 November 2005....... 73,213,970.89 22,041,808.36 3,902,181.31 December 2005....... 71,642,646.88 21,819,314.48 3,862,792.01 January 2006........ 70,079,245.48 21,611,378.48 3,825,979.97 February 2006....... 68,525,252.49 21,416,583.91 3,791,494.43 March 2006.......... 67,004,154.00 21,216,819.79 3,756,129.10 April 2006.......... 65,515,274.96 21,012,317.70 3,719,924.98 May 2006............ 64,057,953.88 20,803,302.78 3,682,921.93 June 2006........... 62,631,542.61 20,589,993.88 3,645,158.69 July 2006........... 61,235,406.03 20,372,603.71 3,606,672.93 August 2006......... 59,910,205.09 20,143,817.25 3,566,169.62 September 2006...... 58,612,795.72 19,911,784.72 3,525,091.63 October 2006........ 57,342,607.57 19,676,688.42 3,483,471.26 November 2006....... 56,099,081.85 19,438,705.39 3,441,339.83 December 2006....... 54,881,671.02 19,198,007.48 3,398,727.76 January 2007........ 53,689,838.65 18,954,761.51 3,355,664.61 February 2007....... 52,523,059.14 18,709,129.40 3,312,179.02 March 2007.......... 51,380,817.53 18,461,268.26 3,268,298.81 April 2007.......... 50,262,609.30 18,211,330.52 3,224,050.97 May 2007............ 49,167,940.12 17,959,464.04 3,179,461.68 June 2007........... 48,096,325.67 17,705,812.25 3,134,556.32 July 2007........... 47,047,291.45 17,450,514.21 3,089,359.52 August 2007......... 46,053,912.49 17,188,756.65 3,043,019.15 September 2007...... 45,080,906.44 16,926,029.35 2,996,507.11 October 2007........ 44,127,862.92 16,662,442.70 2,949,842.93 November 2007....... 43,194,379.71 16,398,103.63 2,903,045.55 December 2007....... 42,280,062.61 16,133,115.72 2,856,133.29 January 2008........ 41,384,525.28 15,867,579.25 2,809,123.93 February 2008....... 40,507,389.05 15,601,591.30 2,762,034.63 March 2008.......... 39,648,282.81 15,335,245.83 2,714,882.04 April 2008.......... 38,806,842.85 15,068,633.78 2,667,682.26 May 2008............ 37,982,712.71 14,801,843.07 2,620,450.85 June 2008........... 37,175,543.03 14,534,958.77 2,573,202.87 July 2008........... 36,384,991.42 14,268,063.11 2,525,952.88 August 2008......... 35,610,722.30 14,001,235.58 2,478,714.95 September 2008...... 34,852,406.81 13,734,552.97 2,431,502.67 October 2008........ 34,109,722.64 13,468,089.47 2,384,329.19 November 2008....... 33,382,353.90 13,201,916.74 2,337,207.18 December 2008....... 32,669,991.02 12,936,103.92 2,290,148.89 January 2009........ 31,972,330.59 12,670,717.77 2,243,166.14 February 2009....... 31,289,075.27 12,405,822.66 2,196,270.31 March 2009.......... 30,619,933.66 12,141,480.70 2,149,472.42 April 2009.......... 29,964,620.16 11,877,751.74 2,102,783.04 May 2009............ 29,322,854.89 11,614,693.44 2,056,212.40 June 2009........... 28,694,363.56 11,352,361.37 2,009,770.33 July 2009........... 28,078,877.35 11,090,809.02 1,963,466.29 August 2009......... 27,476,132.82 10,830,087.85 1,917,309.40 September 2009...... 26,885,871.79 10,570,247.38 1,871,308.43 A1-33 Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- October 2009........ $ 26,307,841.24 $ 10,311,335.22 $ 1,825,471.80 November 2009....... 25,741,793.22 10,053,397.11 1,779,807.61 December 2009....... 25,187,484.72 9,796,476.99 1,734,323.65 January 2010........ 24,644,677.61 9,540,617.03 1,689,027.36 February 2010....... 24,113,138.51 9,285,857.69 1,643,925.93 March 2010.......... 23,592,638.70 9,032,237.78 1,599,026.22 April 2010.......... 23,082,954.07 8,779,794.45 1,554,334.80 May 2010............ 22,583,864.95 8,528,563.29 1,509,857.98 June 2010........... 22,095,156.11 8,278,578.36 1,465,601.79 July 2010........... 21,616,616.61 8,029,872.21 1,421,571.99 August 2010......... 21,148,039.74 7,782,475.94 1,377,774.08 September 2010...... 20,689,222.91 7,536,419.23 1,334,213.32 October 2010........ 20,239,967.62 7,291,730.40 1,290,894.72 November 2010....... 19,800,079.32 7,048,436.42 1,247,823.07 December 2010....... 19,369,367.39 6,806,562.94 1,205,002.89 January 2011........ 18,947,644.99 6,566,134.39 1,162,438.51 February 2011....... 18,534,729.07 6,327,173.92 1,120,134.04 March 2011.......... 18,130,440.22 6,089,703.52 1,078,093.36 April 2011.......... 17,734,602.63 5,853,744.01 1,036,320.17 May 2011............ 17,347,044.04 5,619,315.07 994,817.94 June 2011........... 16,967,595.63 5,386,435.30 953,589.96 July 2011........... 16,596,091.96 5,155,122.21 912,639.35 August 2011......... 16,232,370.93 4,925,392.31 871,969.01 September 2011...... 15,876,273.69 4,697,261.07 831,581.70 October 2011........ 15,527,644.57 4,470,743.01 791,479.97 November 2011....... 15,186,331.03 4,245,851.69 751,666.24 December 2011....... 14,852,183.60 4,022,599.74 712,142.73 January 2012........ 14,525,055.82 3,800,998.93 672,911.53 February 2012....... 14,204,804.15 3,581,060.14 633,974.57 March 2012.......... 13,891,287.97 3,362,793.41 595,333.62 April 2012.......... 13,584,369.46 3,146,207.96 556,990.32 May 2012............ 13,283,913.58 2,931,312.24 518,946.16 June 2012........... 12,989,788.02 2,718,113.92 481,202.50 July 2012........... 12,701,863.10 2,506,619.93 443,760.57 August 2012......... 12,420,011.79 2,296,836.47 406,621.46 September 2012...... 12,144,109.58 2,088,769.05 369,786.15 October 2012........ 11,874,034.50 1,882,422.51 333,255.50 November 2012....... 11,609,667.02 1,677,801.03 297,030.25 December 2012....... 11,350,890.02 1,474,908.14 261,111.02 January 2013........ 11,097,588.73 1,273,746.78 225,498.33 February 2013....... 10,849,650.71 1,074,319.28 190,192.59 March 2013.......... 10,606,965.79 876,627.40 155,194.12 April 2013.......... 10,369,425.99 680,672.34 120,503.13 May 2013............ 10,136,925.55 486,454.76 86,119.73 June 2013........... 9,909,360.81 293,974.81 52,043.96 July 2013........... 9,686,630.23 103,232.11 18,275.74 August 2013......... 9,468,634.29 0.00 0.00 September 2013...... 9,255,275.50 0.00 0.00 October 2013........ 9,046,458.33 0.00 0.00 November 2013....... 8,842,089.19 0.00 0.00 December 2013....... 8,642,076.37 0.00 0.00 A1-34 Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- January 2014........ $ 8,446,330.01 0.00 0.00 February 2014....... 8,254,762.09 0.00 0.00 March 2014.......... 8,067,286.34 0.00 0.00 April 2014.......... 7,883,818.25 0.00 0.00 May 2014............ 7,704,275.02 0.00 0.00 June 2014........... 7,528,575.53 0.00 0.00 July 2014........... 7,356,640.30 0.00 0.00 August 2014......... 7,188,391.44 0.00 0.00 September 2014...... 7,023,752.66 0.00 0.00 October 2014........ 6,862,649.22 0.00 0.00 November 2014....... 6,705,007.86 0.00 0.00 December 2014....... 6,550,756.85 0.00 0.00 January 2015........ 6,399,825.89 0.00 0.00 February 2015....... 6,252,146.10 0.00 0.00 March 2015.......... 6,107,650.01 0.00 0.00 April 2015.......... 5,966,271.52 0.00 0.00 May 2015............ 5,827,945.86 0.00 0.00 June 2015........... 5,692,609.58 0.00 0.00 July 2015........... 5,560,200.53 0.00 0.00 August 2015......... 5,430,657.82 0.00 0.00 September 2015...... 5,303,921.78 0.00 0.00 October 2015........ 5,179,933.96 0.00 0.00 November 2015....... 5,058,637.12 0.00 0.00 December 2015....... 4,939,975.15 0.00 0.00 January 2016........ 4,823,893.11 0.00 0.00 February 2016....... 4,710,337.17 0.00 0.00 March 2016.......... 4,599,254.59 0.00 0.00 April 2016.......... 4,490,593.71 0.00 0.00 May 2016............ 4,384,303.92 0.00 0.00 June 2016........... 4,280,335.64 0.00 0.00 July 2016........... 4,178,640.30 0.00 0.00 August 2016......... 4,079,170.33 0.00 0.00 September 2016...... 3,981,879.12 0.00 0.00 October 2016........ 3,886,721.02 0.00 0.00 November 2016....... 3,793,651.30 0.00 0.00 December 2016....... 3,702,626.16 0.00 0.00 January 2017........ 3,613,602.68 0.00 0.00 February 2017....... 3,526,538.82 0.00 0.00 March 2017.......... 3,441,393.40 0.00 0.00 April 2017.......... 3,358,126.10 0.00 0.00 May 2017............ 3,276,697.39 0.00 0.00 June 2017........... 3,197,068.57 0.00 0.00 July 2017........... 3,119,201.74 0.00 0.00 August 2017......... 3,043,059.76 0.00 0.00 September 2017...... 2,968,606.26 0.00 0.00 October 2017........ 2,895,805.61 0.00 0.00 November 2017....... 2,824,622.91 0.00 0.00 December 2017....... 2,755,023.98 0.00 0.00 January 2018........ 2,686,975.34 0.00 0.00 February 2018....... 2,620,444.20 0.00 0.00 March 2018.......... 2,555,398.44 0.00 0.00 A1-35 Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- April 2018.......... $ 2,491,806.60 0.00 0.00 May 2018............ 2,429,637.85 0.00 0.00 June 2018........... 2,368,862.04 0.00 0.00 July 2018........... 2,309,449.58 0.00 0.00 August 2018......... 2,251,371.54 0.00 0.00 September 2018...... 2,194,599.55 0.00 0.00 October 2018........ 2,139,105.85 0.00 0.00 November 2018....... 2,084,863.23 0.00 0.00 December 2018....... 2,031,845.05 0.00 0.00 January 2019........ 1,980,025.23 0.00 0.00 February 2019....... 1,929,378.20 0.00 0.00 March 2019.......... 1,879,878.96 0.00 0.00 April 2019.......... 1,831,502.98 0.00 0.00 May 2019............ 1,784,226.26 0.00 0.00 June 2019........... 1,738,025.30 0.00 0.00 July 2019........... 1,692,877.07 0.00 0.00 August 2019......... 1,648,759.04 0.00 0.00 September 2019...... 1,605,649.11 0.00 0.00 October 2019........ 1,563,525.68 0.00 0.00 November 2019....... 1,522,367.55 0.00 0.00 December 2019....... 1,482,154.01 0.00 0.00 January 2020........ 1,442,864.74 0.00 0.00 February 2020....... 1,404,479.85 0.00 0.00 March 2020.......... 1,366,979.88 0.00 0.00 April 2020.......... 1,330,345.75 0.00 0.00 May 2020............ 1,294,558.79 0.00 0.00 June 2020........... 1,259,600.72 0.00 0.00 July 2020........... 1,225,453.63 0.00 0.00 August 2020......... 1,192,099.99 0.00 0.00 September 2020...... 1,159,522.62 0.00 0.00 October 2020........ 1,127,704.72 0.00 0.00 November 2020....... 1,096,629.83 0.00 0.00 December 2020....... 1,066,281.82 0.00 0.00 January 2021........ 1,036,644.92 0.00 0.00 February 2021....... 1,007,703.68 0.00 0.00 March 2021.......... 979,442.95 0.00 0.00 April 2021.......... 951,847.93 0.00 0.00 May 2021............ 924,904.10 0.00 0.00 June 2021........... 898,597.27 0.00 0.00 July 2021........... 872,913.54 0.00 0.00 August 2021......... 847,839.28 0.00 0.00 September 2021...... 823,361.16 0.00 0.00 October 2021........ 799,466.13 0.00 0.00 November 2021....... 776,141.42 0.00 0.00 December 2021....... 753,374.52 0.00 0.00 January 2022........ 731,153.18 0.00 0.00 February 2022....... 709,465.40 0.00 0.00 March 2022.......... 688,299.45 0.00 0.00 April 2022.......... 667,643.84 0.00 0.00 May 2022............ 647,487.32 0.00 0.00 June 2022........... 627,818.86 0.00 0.00 A1-36 Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- July 2022........... $ 608,627.70 0.00 0.00 August 2022......... 589,903.27 0.00 0.00 September 2022...... 571,635.24 0.00 0.00 October 2022........ 553,813.50 0.00 0.00 November 2022....... 536,428.14 0.00 0.00 December 2022....... 519,469.48 0.00 0.00 January 2023........ 502,928.01 0.00 0.00 February 2023....... 486,794.47 0.00 0.00 March 2023.......... 471,059.75 0.00 0.00 April 2023.......... 455,714.95 0.00 0.00 May 2023............ 440,751.38 0.00 0.00 June 2023........... 426,160.49 0.00 0.00 July 2023........... 411,933.95 0.00 0.00 August 2023......... 398,063.58 0.00 0.00 September 2023...... 384,541.40 0.00 0.00 October 2023........ 371,359.58 0.00 0.00 November 2023....... 358,510.45 0.00 0.00 December 2023....... 345,986.53 0.00 0.00 January 2024........ 333,780.48 0.00 0.00 February 2024....... 321,885.11 0.00 0.00 March 2024.......... 310,293.41 0.00 0.00 April 2024.......... 298,998.49 0.00 0.00 May 2024............ 287,993.63 0.00 0.00 June 2024........... 277,272.23 0.00 0.00 July 2024........... 266,827.86 0.00 0.00 August 2024......... 256,654.20 0.00 0.00 September 2024...... 246,745.08 0.00 0.00 October 2024........ 237,094.47 0.00 0.00 November 2024....... 227,696.45 0.00 0.00 December 2024....... 218,545.23 0.00 0.00 January 2025........ 209,635.17 0.00 0.00 February 2025....... 200,960.71 0.00 0.00 March 2025.......... 192,516.44 0.00 0.00 April 2025.......... 184,297.06 0.00 0.00 May 2025............ 176,297.38 0.00 0.00 June 2025........... 168,512.32 0.00 0.00 July 2025........... 160,936.92 0.00 0.00 August 2025......... 153,566.32 0.00 0.00 September 2025...... 146,395.75 0.00 0.00 October 2025........ 139,420.58 0.00 0.00 November 2025....... 132,636.25 0.00 0.00 December 2025....... 126,038.30 0.00 0.00 January 2026........ 119,622.39 0.00 0.00 February 2026....... 113,384.24 0.00 0.00 March 2026.......... 107,319.69 0.00 0.00 April 2026.......... 101,424.67 0.00 0.00 May 2026............ 95,695.18 0.00 0.00 June 2026........... 90,127.31 0.00 0.00 July 2026........... 84,717.27 0.00 0.00 August 2026......... 79,461.29 0.00 0.00 September 2026...... 74,355.75 0.00 0.00 A1-37 Aggregate Pool Class 1-A13 Aggregate Pool 1 Scheduled Scheduled Distribution Date 1 PAC Balance Balance Balance - -------------------- --------------- --------------- -------------- October 2026........ $ 69,397.06 0.00 0.00 November 2026....... 64,581.73 0.00 0.00 December 2026....... 59,906.33 0.00 0.00 January 2027........ 55,367.54 0.00 0.00 February 2027....... 50,962.07 0.00 0.00 March 2027.......... 46,686.73 0.00 0.00 April 2027.......... 42,538.39 0.00 0.00 May 2027............ 38,514.00 0.00 0.00 June 2027........... 34,610.55 0.00 0.00 July 2027........... 30,825.14 0.00 0.00 August 2027......... 27,154.89 0.00 0.00 September 2027...... 23,597.00 0.00 0.00 October 2027........ 20,148.75 0.00 0.00 November 2027....... 16,807.46 0.00 0.00 December 2027....... 13,570.51 0.00 0.00 January 2028........ 10,435.34 0.00 0.00 February 2028....... 7,399.45 0.00 0.00 March 2028.......... 4,460.40 0.00 0.00 April 2028.......... 1,615.80 0.00 0.00 May 2028............ 0.00 0.00 0.00 A1-38 APPENDIX B POOL 1 TAC BALANCES TABLE The Aggregate Pool 1 TAC Balances set forth in the table below were calculated on the basis of the aggregate Class Certificate Principal Balances of the Pool 1 TAC Certificates set forth on the cover hereof, the assumptions described in 'Pool 1 Annex--The Pool 1 Mortgage Loans and the Pool 1 Certificates-- Distributions on the Pool 1 Certificates--Weighted Average Lives of the Pool 1 Certificates--Pool 1 TAC Certificates' in this Pool 1 Annex, and a constant prepayment rate of 250% of the Prepayment Assumption (the 'Pool 1 TAC Prepayment Assumption'). If such aggregate Class Certificate Principal Balances are increased or decreased in accordance with the variance permitted hereby the applicable balances set forth in the table below will be increased or decreased substantially correspondingly. In such event, the final Aggregate Pool 1 TAC Balances Table will be calculated on or about the Closing Date on the basis of (1) such revised aggregate Class Certificate Principal Balances, (2) the actual characteristics of the Pool 1 Mortgage Loans, (3) the Pool 1 TAC Prepayment Assumption and (4) the assumptions set forth in clauses (i), (iv) through (viii), (x) and (xi) of the Pool 1 Modeling Assumptions. The final Aggregate Pool 1 TAC Balances Table will be set forth in the Agreement, which will be filed as an exhibit to the Detailed Description. Aggregate Pool 1 Distribution Date TAC Balances - -------------------- ---------------- Initial Balance..... $ 48,106,498.00 August 1998......... 47,949,939.79 September 1998...... 47,752,593.02 October 1998........ 47,514,527.33 November 1998....... 47,235,839.89 December 1998....... 46,916,679.75 January 1999........ 46,557,247.93 February 1999....... 46,157,797.48 March 1999.......... 45,718,633.37 April 1999.......... 45,240,112.28 May 1999............ 44,722,642.30 June 1999........... 44,166,682.50 July 1999........... 43,572,742.40 August 1999......... 42,941,381.31 September 1999...... 42,273,207.59 October 1999........ 41,568,877.78 November 1999....... 40,829,095.63 December 1999....... 40,054,610.98 January 2000........ 39,246,218.64 February 2000....... 38,404,757.05 March 2000.......... 37,531,106.91 April 2000.......... 36,626,189.70 May 2000............ 35,690,966.07 June 2000........... 34,726,434.23 July 2000........... 33,733,628.12 August 2000......... 32,713,615.62 September 2000...... 31,667,496.64 October 2000........ 30,596,401.09 November 2000....... 29,501,486.84 December 2000....... 28,387,548.21 January 2001........ 27,813,730.76 February 2001....... 27,252,612.00 March 2001.......... 26,703,995.32 April 2001.......... 26,167,686.85 May 2001............ 25,643,495.50 A1-39 Aggregate Pool 1 Distribution Date TAC Balances - -------------------- ---------------- June 2001........... $ 25,131,232.89 July 2001........... 24,630,713.30 August 2001......... 24,141,753.64 September 2001...... 23,664,173.45 October 2001........ 23,197,794.81 November 2001....... 22,742,442.34 December 2001....... 22,297,943.15 January 2002........ 21,864,126.81 February 2002....... 21,440,825.32 March 2002.......... 21,027,873.08 April 2002.......... 20,625,106.84 May 2002............ 20,232,365.67 June 2002........... 19,849,490.95 July 2002........... 19,476,326.32 August 2002......... 19,112,717.66 September 2002...... 18,758,513.04 October 2002........ 18,413,562.71 November 2002....... 18,077,719.05 December 2002....... 17,750,836.57 January 2003........ 17,432,771.85 February 2003....... 17,123,383.53 March 2003.......... 16,822,532.27 April 2003.......... 16,530,080.74 May 2003............ 16,245,893.57 June 2003........... 15,969,837.34 July 2003........... 15,701,780.53 August 2003......... 15,450,673.38 September 2003...... 15,207,236.11 October 2003........ 14,971,343.02 November 2003....... 14,742,870.20 December 2003....... 14,521,695.55 January 2004........ 14,307,698.72 February 2004....... 14,100,761.10 March 2004.......... 13,900,765.80 April 2004.......... 13,707,597.61 May 2004............ 13,521,142.99 June 2004........... 13,341,290.05 July 2004........... 13,167,928.49 August 2004......... 13,003,736.81 September 2004...... 12,845,776.77 October 2004........ 12,693,943.17 November 2004....... 12,548,132.38 December 2004....... 12,408,242.24 January 2005........ 12,274,172.11 February 2005....... 12,145,822.78 March 2005.......... 12,023,096.52 April 2005.......... 11,905,897.02 May 2005............ 11,794,129.36 June 2005........... 11,687,700.02 July 2005........... 11,586,516.85 August 2005......... 11,495,493.17 September 2005...... 11,409,425.07 A1-40 Aggregate Pool 1 Distribution Date TAC Balances - -------------------- ---------------- October 2005........ $ 11,328,225.79 November 2005....... 11,251,809.81 December 2005....... 11,180,092.88 January 2006........ 11,112,992.01 February 2006....... 11,050,057.45 March 2006.......... 10,985,538.94 April 2006.......... 10,919,509.99 May 2006............ 10,852,042.03 June 2006........... 10,783,204.51 July 2006........... 10,713,064.94 August 2006......... 10,639,300.77 September 2006...... 10,564,499.66 October 2006........ 10,488,719.44 November 2006....... 10,412,016.28 December 2006....... 10,334,444.73 January 2007........ 10,256,057.70 February 2007....... 10,176,906.56 March 2007.......... 10,097,041.17 April 2007.......... 10,016,509.87 May 2007............ 9,935,359.60 June 2007........... 9,853,635.83 July 2007........... 9,771,382.69 August 2007......... 9,687,071.93 September 2007...... 9,602,446.51 October 2007........ 9,517,541.44 November 2007....... 9,432,390.64 December 2007....... 9,347,026.95 January 2008........ 9,261,482.17 February 2008....... 9,175,787.08 March 2008.......... 9,089,971.49 April 2008.......... 9,004,064.22 May 2008............ 8,918,093.14 June 2008........... 8,832,085.24 July 2008........... 8,746,066.57 August 2008......... 8,660,062.33 September 2008...... 8,574,096.86 October 2008........ 8,488,193.68 November 2008....... 8,402,375.50 December 2008....... 8,316,664.24 January 2009........ 8,231,081.03 February 2009....... 8,145,646.28 March 2009.......... 8,060,379.68 April 2009.......... 7,975,300.16 May 2009............ 7,890,426.02 June 2009........... 7,805,774.84 July 2009........... 7,721,363.55 August 2009......... 7,637,208.47 September 2009...... 7,553,325.27 October 2009........ 7,469,729.02 November 2009....... 7,386,434.20 December 2009....... 7,303,454.71 January 2010........ 7,220,803.90 A1-41 Aggregate Pool 1 Distribution Date TAC Balances - -------------------- ---------------- February 2010....... $ 7,138,494.58 March 2010.......... 7,056,539.02 April 2010.......... 6,974,948.96 May 2010............ 6,893,735.67 June 2010........... 6,812,909.91 July 2010........... 6,732,481.98 August 2010......... 6,652,461.69 September 2010...... 6,572,858.43 October 2010........ 6,493,681.14 November 2010....... 6,414,938.34 December 2010....... 6,336,638.13 January 2011........ 6,258,788.20 February 2011....... 6,181,395.87 March 2011.......... 6,104,468.08 April 2011.......... 6,028,011.37 May 2011............ 5,952,031.96 June 2011........... 5,876,535.69 July 2011........... 5,801,528.09 August 2011......... 5,727,014.33 September 2011...... 5,652,999.29 October 2011........ 5,579,487.52 November 2011....... 5,506,483.28 December 2011....... 5,433,990.53 January 2012........ 5,362,012.96 February 2012....... 5,290,553.96 March 2012.......... 5,219,616.68 April 2012.......... 5,149,203.99 May 2012............ 5,079,318.52 June 2012........... 5,009,962.66 July 2012........... 4,941,138.55 August 2012......... 4,872,848.11 September 2012...... 4,805,093.03 October 2012........ 4,737,874.80 November 2012....... 4,671,194.69 December 2012....... 4,605,053.78 January 2013........ 4,539,452.93 February 2013....... 4,474,392.83 March 2013.......... 4,409,873.99 April 2013.......... 4,345,896.73 May 2013............ 4,282,461.21 June 2013........... 4,219,567.42 July 2013........... 4,157,215.18 August 2013......... 4,095,404.17 September 2013...... 4,034,133.92 October 2013........ 3,973,403.79 November 2013....... 3,913,213.04 December 2013....... 3,853,560.77 January 2014........ 3,794,445.95 February 2014....... 3,735,867.43 March 2014.......... 3,677,823.94 April 2014.......... 3,620,314.09 May 2014............ 3,563,336.39 A1-42 Aggregate Pool 1 Distribution Date TAC Balances - -------------------- ---------------- June 2014........... $ 3,506,889.21 July 2014........... 3,450,970.85 August 2014......... 3,395,579.50 September 2014...... 3,340,713.24 October 2014........ 3,286,370.07 November 2014....... 3,232,547.90 December 2014....... 3,179,244.54 January 2015........ 3,126,457.75 February 2015....... 3,074,185.17 March 2015.......... 3,022,424.40 April 2015.......... 2,971,172.95 May 2015............ 2,920,428.25 June 2015........... 2,870,187.69 July 2015........... 2,820,448.58 August 2015......... 2,771,208.17 September 2015...... 2,722,463.66 October 2015........ 2,674,212.18 November 2015....... 2,626,450.82 December 2015....... 2,579,176.61 January 2016........ 2,532,386.56 February 2016....... 2,486,077.59 March 2016.......... 2,440,246.60 April 2016.......... 2,394,890.47 May 2016............ 2,350,006.00 June 2016........... 2,305,589.99 July 2016........... 2,261,639.19 August 2016......... 2,218,150.30 September 2016...... 2,175,120.03 October 2016........ 2,132,545.03 November 2016....... 2,090,421.93 December 2016....... 2,048,747.35 January 2017........ 2,007,517.86 February 2017....... 1,966,730.03 March 2017.......... 1,926,380.41 April 2017.......... 1,886,465.52 May 2017............ 1,846,981.87 June 2017........... 1,807,925.96 July 2017........... 1,769,294.27 August 2017......... 1,731,083.26 September 2017...... 1,693,289.40 October 2017........ 1,655,909.12 November 2017....... 1,618,938.88 December 2017....... 1,582,375.11 January 2018........ 1,546,214.22 February 2018....... 1,510,452.66 March 2018.......... 1,475,086.82 April 2018.......... 1,440,113.14 May 2018............ 1,405,528.03 June 2018........... 1,371,327.89 July 2018........... 1,337,509.15 August 2018......... 1,304,068.23 September 2018...... 1,271,001.53 A1-43 Aggregate Pool 1 Distribution Date TAC Balances - -------------------- ---------------- October 2018........ $ 1,238,305.49 November 2018....... 1,205,976.54 December 2018....... 1,174,011.10 January 2019........ 1,142,405.60 February 2019....... 1,111,156.51 March 2019.......... 1,080,260.26 April 2019.......... 1,049,713.32 May 2019............ 1,019,512.16 June 2019........... 989,653.25 July 2019........... 960,133.08 August 2019......... 930,948.15 September 2019...... 902,094.96 October 2019........ 873,570.05 November 2019....... 845,369.95 December 2019....... 817,491.19 January 2020........ 789,930.35 February 2020....... 762,683.99 March 2020.......... 735,748.70 April 2020.......... 709,121.09 May 2020............ 682,797.77 June 2020........... 656,775.38 July 2020........... 631,050.56 August 2020......... 605,619.99 September 2020...... 580,480.35 October 2020........ 555,628.32 November 2020....... 531,060.64 December 2020....... 506,774.04 January 2021........ 482,765.27 February 2021....... 459,031.09 March 2021.......... 435,568.30 April 2021.......... 412,373.71 May 2021............ 389,444.15 June 2021........... 366,776.45 July 2021........... 344,367.48 August 2021......... 322,214.14 September 2021...... 300,313.32 October 2021........ 278,661.95 November 2021....... 257,256.97 December 2021....... 236,095.35 January 2022........ 215,174.07 February 2022....... 194,490.14 March 2022.......... 174,040.58 April 2022.......... 153,822.45 May 2022............ 133,832.80 June 2022........... 114,068.74 July 2022........... 94,527.36 August 2022......... 75,205.80 September 2022...... 56,101.21 October 2022........ 37,210.76 November 2022....... 18,531.65 December 2022....... 61.76 January 2023........ 0.00 A1-44 POOL 2 PAC BALANCES TABLE The PAC Balances set forth in the table below were calculated on the basis of the Class Certificate Principal Balances of the Pool 2 PAC Certificates set forth on the cover hereof, and the other assumptions described in 'Pool 2 Yield and Weighted Average Life Considerations--Weighted Average Lives of the Pool 2 Certificates--Pool 2 PAC Certificates' in this Pool 2 Annex. If such Class Certificate Principal Balances are increased or decreased in accordance with the variance permitted hereby, the applicable balances set forth in the table below will be increased or decreased substantially correspondingly. In such event, the final Pool 2 PAC Balances Table will be calculated on or about the Closing Date on the basis of such revised Class Certificate Principal Balances and on the basis of (1) the applicable Structuring Range of the Pool 2 PAC Certificates (2) the actual characteristics of the Pool 2 Mortgage Loans and (3) the assumptions set forth in clauses (i), (iv) through (viii), (x) and (xi) of the Pool 2 Modeling Assumptions. The final Pool 2 PAC Balances Table will be set forth in the Agreement, which will be filed as an exhibit to the Detailed Description. Pool 2 PAC Balances -------------------------------- Distribution Date Class 2-A1 Class 2-A2 - -------------------- -------------- -------------- Initial Balance..... $42,800,000.00 $23,450,000.00 August 1998......... 42,800,000.00 23,450,000.00 September 1998...... 42,800,000.00 23,450,000.00 October 1998........ 42,800,000.00 23,450,000.00 November 1998....... 42,800,000.00 23,450,000.00 December 1998....... 42,800,000.00 23,450,000.00 January 1999........ 42,800,000.00 23,450,000.00 February 1999....... 42,800,000.00 23,450,000.00 March 1999.......... 42,800,000.00 23,450,000.00 April 1999.......... 42,800,000.00 23,450,000.00 May 1999............ 42,800,000.00 23,450,000.00 June 1999........... 42,800,000.00 23,450,000.00 July 1999........... 42,191,938.98 23,450,000.00 August 1999......... 41,551,399.24 23,450,000.00 September 1999...... 40,878,640.76 23,450,000.00 Ocotober 1999....... 40,173,940.21 23,450,000.00 November 1999....... 39,437,590.81 23,450,000.00 December 1999....... 38,669,902.13 23,450,000.00 January 2000........ 37,871,199.87 23,450,000.00 February 2000....... 37,041,862.43 23,450,000.00 March 2000.......... 36,182,284.62 23,450,000.00 April 2000.......... 35,292,837.96 23,450,000.00 May 2000............ 34,374,002.59 23,450,000.00 June 2000........... 33,426,249.77 23,450,000.00 July 2000........... 32,450,054.15 23,450,000.00 August 2000......... 31,445,915.34 23,450,000.00 September 2000...... 30,415,127.96 23,450,000.00 October 2000........ 29,358,452.97 23,450,000.00 November 2000....... 28,279,350.44 23,450,000.00 December 2000....... 27,189,472.22 23,450,000.00 January 2001........ 26,105,109.59 23,450,000.00 February 2001....... 25,026,234.49 23,450,000.00 March 2001.......... 23,952,819.04 23,450,000.00 April 2001.......... 22,884,835.49 23,450,000.00 May 2001............ 21,822,256.24 23,450,000.00 June 2001........... 20,765,053.83 23,450,000.00 July 2001........... 19,713,200.95 23,450,000.00 August 2001......... 18,666,670.43 23,450,000.00 A2-28 Pool 2 PAC Balances -------------------------------- Distribution Date Class 2-A1 Class 2-A2 - -------------------- -------------- -------------- September 2001...... $17,625,435.25 $23,450,000.00 October 2001........ 16,589,468.52 23,450,000.00 November 2001....... 15,558,743.51 23,450,000.00 December 2001....... 14,533,233.60 23,450,000.00 January 2002........ 13,512,912.33 23,450,000.00 February 2002....... 12,497,753.40 23,450,000.00 March 2002.......... 11,487,730.61 23,450,000.00 April 2002.......... 10,482,817.91 23,450,000.00 May 2002............ 9,482,989.40 23,450,000.00 June 2002........... 8,488,219.31 23,450,000.00 July 2002........... 7,498,482.00 23,450,000.00 August 2002......... 6,513,751.97 23,450,000.00 September 2002...... 5,534,003.85 23,450,000.00 October 2002........ 4,559,212.41 23,450,000.00 November 2002....... 3,589,352.55 23,450,000.00 December 2002....... 2,624,399.30 23,450,000.00 January 2003........ 1,664,327.84 23,450,000.00 February 2003....... 709,113.45 23,450,000.00 March 2003.......... 0.00 23,208,731.56 April 2003.......... 0.00 22,263,157.73 May 2003............ 0.00 21,322,367.64 June 2003........... 0.00 20,386,337.12 July 2003........... 0.00 19,455,042.09 August 2003......... 0.00 18,661,444.28 September 2003...... 0.00 17,872,544.66 October 2003........ 0.00 17,088,320.43 November 2003....... 0.00 16,308,748.93 December 2003....... 0.00 15,533,807.61 January 2004........ 0.00 14,763,474.06 February 2004....... 0.00 13,997,726.00 March 2004.......... 0.00 13,236,541.26 April 2004.......... 0.00 12,479,897.81 May 2004............ 0.00 11,727,773.73 June 2004........... 0.00 10,980,147.22 July 2004........... 0.00 10,236,996.64 August 2004......... 0.00 9,560,115.46 September 2004...... 0.00 8,906,024.44 October 2004........ 0.00 8,274,129.60 November 2004....... 0.00 7,657,634.58 December 2004....... 0.00 7,055,870.38 January 2005........ 0.00 6,468,490.83 February 2005....... 0.00 5,895,157.81 March 2005.......... 0.00 5,335,541.07 April 2005.......... 0.00 4,789,318.02 May 2005............ 0.00 4,256,173.56 June 2005........... 0.00 3,735,799.94 July 2005........... 0.00 3,227,896.57 August 2005......... 0.00 2,897,412.07 September 2005...... 0.00 2,574,854.15 October 2005........ 0.00 2,260,036.05 November 2005....... 0.00 1,952,775.41 December 2005....... 0.00 1,652,894.06 A2-29 Pool 2 PAC Balances -------------------------------- Distribution Date Class 2-A1 Class 2-A2 - -------------------- -------------- -------------- January 2006........ 0.00 $ 1,360,218.03 February 2006....... 0.00 1,074,577.35 March 2006.......... 0.00 795,806.06 April 2006.......... 0.00 523,742.03 May 2006............ 0.00 258,226.93 June 2006........... 0.00 0.00 A2-30 POOL 2 TAC BALANCES TABLE The TAC Balances set forth in the table below were calculated on the basis of the Class Certificate Principal Balances of the Pool 2 TAC Certificates set forth on the cover hereof set forth in 'Description of the Certificates--Distribution on the Pool 1 Certificates--Interest' in this Pool 2 Annex, and a constant prepayment rate of 125% of the Prepayment Assumption (the 'TAC Prepayment Assumption'). If such Class Certificate Principal Balance is increased or decreased in accordance with the variance permitted hereby the applicable balances set forth in the table below will be increased or decreased substantially correspondingly. In such event, the final Pool 2 TAC Balances Table will be calculated on or about the Closing Date on the basis of such revised Class Certificate Principal Balance and the actual characteristics of the Pool 2 Mortgage Loans and on the basis of (1) the Pool 2 TAC Prepayment Assumption and (2) the assumptions set forth in clauses (i), (iv) through (viii), (x) and (xi) of the Pool 2 Modeling Assumptions. The final Pool 2 TAC Balances Table will be set forth in the Agreement, which will be filed as an exhibit to the Detailed Description. TAC Balances TAC Balances TAC Balances -------------- -------------- ------------- Class 2-A4 TAC Class 2-A5 TAC Class 2-A6 Distribution Date Balance Balance TAC Balance - -------------------- -------------- -------------- ------------- Initial Balance..... $69,660,000.00 $13,416,000.00 $4,644,000.00 August 1998......... 69,423,880.37 13,370,525.11 4,628,258.69 September 1998...... 69,153,799.31 13,318,509.50 4,610,253.29 October 1998........ 68,849,824.33 13,259,966.17 4,589,988.29 November 1998....... 68,512,044.61 13,194,912.30 4,567,469.64 December 1998....... 68,140,571.07 13,123,369.24 4,542,704.74 January 1999........ 67,735,536.28 13,045,362.54 4,515,702.42 February 1999....... 67,297,094.43 12,960,921.89 4,486,472.96 March 1999.......... 66,825,421.26 12,870,081.13 4,455,028.08 April 1999.......... 66,320,714.00 12,772,878.25 4,421,380.93 May 1999............ 65,783,191.19 12,669,355.34 4,385,546.08 June 1999........... 65,213,092.61 12,559,558.58 4,347,539.51 July 1999........... 65,093,551.04 12,536,535.76 4,339,570.07 August 1999......... 64,967,768.11 12,512,310.89 4,331,184.54 September 1999...... 64,835,839.66 12,486,902.45 4,322,389.31 October 1999........ 64,697,868.71 12,460,330.27 4,313,191.25 November 1999....... 64,553,965.34 12,432,615.55 4,303,597.69 December 1999....... 64,404,246.49 12,403,780.81 4,293,616.43 January 2000........ 64,248,835.91 12,373,849.88 4,283,255.73 February 2000....... 64,087,871.16 12,342,849.26 4,272,524.74 March 2000.......... 63,921,496.32 12,310,806.70 4,261,433.09 April 2000.......... 63,749,854.00 12,277,749.66 4,249,990.27 May 2000............ 63,573,111.19 12,243,710.30 4,238,207.41 June 2000........... 63,391,435.81 12,208,720.97 4,226,095.72 July 2000........... 63,204,999.05 12,172,814.63 4,213,666.60 August 2000......... 63,013,979.50 12,136,025.68 4,200,931.97 September 2000...... 62,818,712.19 12,098,418.64 4,187,914.15 October 2000........ 62,619,428.06 12,060,038.00 4,174,628.54 November 2000....... 62,416,881.45 12,021,029.02 4,161,125.43 December 2000....... 62,213,402.12 11,981,840.41 4,147,560.14 January 2001........ 62,012,177.96 11,943,086.13 4,134,145.20 February 2001....... 61,813,186.44 11,904,761.83 4,120,879.10 March 2001.......... 61,616,405.22 11,866,863.23 4,107,760.35 April 2001.......... 61,421,812.12 11,829,386.04 4,094,787.47 May 2001............ 61,229,385.08 11,792,326.02 4,081,959.01 June 2001........... 61,039,102.25 11,755,678.95 4,069,273.48 July 2001........... 60,850,941.91 11,719,440.66 4,056,729.46 August 2001......... 60,664,882.50 11,683,607.00 4,044,325.50 September 2001...... 60,480,902.63 11,648,173.84 4,032,060.18 A2-31 TAC Balances TAC Balances TAC Balances -------------- -------------- ------------- Class 2-A4 TAC Class 2-A5 TAC Class 2-A6 Distribution Date Balance Balance TAC Balance - -------------------- -------------- -------------- ------------- October 2001........ $60,298,981.04 $11,613,137.09 $4,019,932.07 November 2001....... 60,119,096.65 11,578,492.69 4,007,939.78 December 2001....... 59,941,228.52 11,544,236.60 3,996,081.90 January 2002........ 59,765,355.85 11,510,364.83 3,984,357.06 February 2002....... 59,591,458.02 11,476,873.40 3,972,763.87 March 2002.......... 59,419,514.50 11,443,758.35 3,961,300.97 April 2002.......... 59,249,504.99 11,411,015.78 3,949,967.00 May 2002............ 59,081,409.26 11,378,641.78 3,938,760.62 June 2002........... 58,915,207.27 11,346,632.51 3,927,680.48 July 2002........... 58,750,879.12 11,314,984.13 3,916,725.27 August 2002......... 58,588,405.02 11,283,692.82 3,905,893.67 September 2002...... 58,427,765.36 11,252,754.81 3,895,184.36 October 2002........ 58,268,940.66 11,222,166.35 3,884,596.04 November 2002....... 58,111,911.56 11,191,923.71 3,874,127.44 December 2002....... 57,956,658.86 11,162,023.19 3,863,777.26 January 2003........ 57,803,163.48 11,132,461.12 3,853,544.23 February 2003....... 57,651,406.50 11,103,233.85 3,843,427.10 March 2003.......... 57,501,369.12 11,074,337.76 3,833,424.61 April 2003.......... 57,353,032.66 11,045,769.25 3,823,535.51 May 2003............ 57,206,378.59 11,017,524.77 3,813,758.57 June 2003........... 57,061,388.52 10,989,600.75 3,804,092.57 July 2003........... 56,918,044.17 10,961,993.69 3,794,536.28 August 2003......... 56,792,934.36 10,937,898.47 3,786,195.62 September 2003...... 56,669,337.24 10,914,094.58 3,777,955.82 October 2003........ 56,547,234.93 10,890,578.58 3,769,815.66 November 2003....... 56,426,609.65 10,867,347.04 3,761,773.98 December 2003....... 56,307,443.76 10,844,396.58 3,753,829.58 January 2004........ 56,189,719.74 10,821,723.80 3,745,981.32 February 2004....... 56,073,420.18 10,799,325.37 3,738,228.01 March 2004.......... 55,958,527.81 10,777,197.95 3,730,568.52 April 2004.......... 55,845,025.47 10,755,338.24 3,723,001.70 May 2004............ 55,732,896.12 10,733,742.96 3,715,526.41 June 2004........... 55,622,122.82 10,712,408.84 3,708,141.52 July 2004........... 55,512,688.78 10,691,332.65 3,700,845.92 August 2004......... 55,381,383.52 10,666,044.23 3,692,092.23 September 2004...... 55,236,622.68 10,638,164.37 3,682,441.51 October 2004........ 55,078,844.81 10,607,777.52 3,671,922.99 November 2004....... 54,913,414.08 10,575,916.79 3,660,894.27 December 2004....... 54,740,829.02 10,542,678.18 3,649,388.60 January 2005........ 54,561,331.99 10,508,108.38 3,637,422.13 February 2005....... 54,375,159.17 10,472,252.88 3,625,010.61 March 2005.......... 54,182,540.69 10,435,155.99 3,612,169.38 April 2005.......... 53,983,700.81 10,396,860.90 3,598,913.39 May 2005............ 53,778,857.99 10,357,409.69 3,585,257.20 June 2005........... 53,568,225.11 10,316,843.35 3,571,215.01 July 2005........... 53,352,009.51 10,275,201.83 3,556,800.63 August 2005......... 53,048,592.57 10,216,765.98 3,536,572.84 September 2005...... 52,742,680.58 10,157,849.59 3,516,178.71 October 2005........ 52,434,392.73 10,098,475.64 3,495,626.18 November 2005....... 52,123,844.89 10,038,666.42 3,474,922.99 December 2005....... 51,811,149.75 9,978,443.66 3,454,076.65 A2-32 TAC Balances TAC Balances TAC Balances -------------- -------------- ------------- Class 2-A4 TAC Class 2-A5 TAC Class 2-A6 Distribution Date Balance Balance TAC Balance - -------------------- -------------- -------------- ------------- January 2006........ $51,496,416.89 $ 9,917,828.44 $3,433,094.46 February 2006....... 51,179,752.83 9,856,841.29 3,411,983.52 March 2006.......... 50,861,261.14 9,795,502.15 3,390,750.74 April 2006.......... 50,541,042.48 9,733,830.40 3,369,402.83 May 2006............ 50,219,194.67 9,671,844.90 3,347,946.31 June 2006........... 49,895,102.95 9,609,427.23 3,326,340.20 July 2006........... 49,369,464.84 9,508,193.23 3,291,297.66 August 2006......... 48,893,638.40 9,416,552.58 3,259,575.89 September 2006...... 48,420,711.34 9,325,470.33 3,228,047.42 October 2006........ 47,950,660.11 9,234,941.95 3,196,710.67 November 2006....... 47,483,461.25 9,144,962.91 3,165,564.08 December 2006....... 47,019,091.47 9,055,528.73 3,134,606.10 January 2007........ 46,557,527.64 8,966,634.95 3,103,835.18 February 2007....... 46,098,746.74 8,878,277.15 3,073,249.78 March 2007.......... 45,642,725.89 8,790,450.91 3,042,848.39 April 2007.......... 45,189,442.35 8,703,151.86 3,012,629.49 May 2007............ 44,738,873.52 8,616,375.64 2,982,591.57 June 2007........... 44,290,996.95 8,530,117.93 2,952,733.13 July 2007........... 43,845,790.30 8,444,374.43 2,923,052.69 August 2007......... 43,445,921.76 8,367,362.71 2,896,394.78 September 2007...... 43,048,037.54 8,290,733.16 2,869,869.17 October 2007........ 42,652,121.23 8,214,482.61 2,843,474.75 November 2007....... 42,258,156.56 8,138,607.93 2,817,210.44 December 2007....... 41,866,127.31 8,063,106.00 2,791,075.15 January 2008........ 41,476,017.33 7,987,973.71 2,765,067.82 February 2008....... 41,087,810.59 7,913,207.97 2,739,187.37 March 2008.......... 40,701,491.13 7,838,805.70 2,713,432.74 April 2008.......... 40,317,043.07 7,764,763.85 2,687,802.87 May 2008............ 39,934,450.61 7,691,079.38 2,662,296.71 June 2008........... 39,553,698.03 7,617,749.25 2,636,913.20 July 2008........... 39,174,769.71 7,544,770.46 2,611,651.31 August 2008......... 38,797,650.09 7,472,140.02 2,586,510.01 September 2008...... 38,422,323.69 7,399,854.93 2,561,488.25 October 2008........ 38,048,775.13 7,327,912.25 2,536,585.01 November 2008....... 37,676,989.08 7,256,309.01 2,511,799.27 December 2008....... 37,306,950.31 7,185,042.28 2,487,130.02 January 2009........ 36,938,643.65 7,114,109.15 2,462,576.24 February 2009....... 36,572,054.03 7,043,506.70 2,438,136.94 March 2009.......... 36,207,166.43 6,973,232.05 2,413,811.10 April 2009.......... 35,843,965.93 6,903,282.33 2,389,597.73 May 2009............ 35,482,437.66 6,833,654.66 2,365,495.84 June 2009........... 35,122,566.84 6,764,346.21 2,341,504.46 July 2009........... 34,764,338.75 6,695,354.13 2,317,622.58 August 2009......... 34,407,738.77 6,626,675.61 2,293,849.25 September 2009...... 34,052,752.33 6,558,307.86 2,270,183.49 October 2009........ 33,699,364.92 6,490,248.06 2,246,624.33 November 2009....... 33,347,562.14 6,422,493.45 2,223,170.81 December 2009....... 32,997,329.62 6,355,041.26 2,199,821.97 January 2010........ 32,648,653.10 6,287,888.75 2,176,576.87 February 2010....... 32,301,518.35 6,221,033.16 2,153,434.56 March 2010.......... 31,955,911.23 6,154,471.79 2,130,394.08 A2-33 TAC Balances TAC Balances TAC Balances -------------- -------------- ------------- Class 2-A4 TAC Class 2-A5 TAC Class 2-A6 Distribution Date Balance Balance TAC Balance - -------------------- -------------- -------------- ------------- April 2010.......... $31,611,817.67 $ 6,088,201.92 $2,107,454.51 May 2010............ 31,269,223.65 6,022,220.85 2,084,614.91 June 2010........... 30,928,115.25 5,956,525.90 2,061,874.35 July 2010........... 30,588,478.58 5,891,114.39 2,039,231.91 August 2010......... 30,250,299.83 5,825,983.67 2,016,686.66 September 2010...... 29,913,565.28 5,761,131.09 1,994,237.69 October 2010........ 29,578,261.22 5,696,554.01 1,971,884.08 November 2010....... 29,244,374.06 5,632,249.82 1,949,624.94 December 2010....... 28,911,890.25 5,568,215.90 1,927,459.35 January 2011........ 28,580,796.29 5,504,449.66 1,905,386.42 February 2011....... 28,251,078.77 5,440,948.50 1,883,405.25 March 2011.......... 27,922,724.33 5,377,709.87 1,861,514.96 April 2011.......... 27,595,719.65 5,314,731.19 1,839,714.64 May 2011............ 27,270,051.50 5,252,009.92 1,818,003.43 June 2011........... 26,945,706.71 5,189,543.51 1,796,380.45 July 2011........... 26,622,672.16 5,127,329.45 1,774,844.81 August 2011......... 26,300,934.78 5,065,365.22 1,753,395.65 September 2011...... 25,980,481.58 5,003,648.30 1,732,032.11 October 2011........ 25,661,299.62 4,942,176.22 1,710,753.31 November 2011....... 25,343,376.00 4,880,946.49 1,689,558.40 December 2011....... 25,026,697.92 4,819,956.64 1,668,446.53 January 2012........ 24,711,252.58 4,759,204.20 1,647,416.84 February 2012....... 24,397,027.29 4,698,686.74 1,626,468.49 March 2012.......... 24,084,009.38 4,638,401.81 1,605,600.63 April 2012.......... 23,772,186.24 4,578,346.98 1,584,812.42 May 2012............ 23,461,545.34 4,518,519.84 1,564,103.02 June 2012........... 23,152,074.19 4,458,917.99 1,543,471.61 July 2012........... 22,843,760.33 4,399,539.03 1,522,917.36 August 2012......... 22,536,591.38 4,340,380.56 1,502,439.43 September 2012...... 22,230,555.01 4,281,440.22 1,482,037.00 October 2012........ 21,925,638.94 4,222,715.65 1,461,709.26 November 2012....... 21,621,830.94 4,164,204.48 1,441,455.40 December 2012....... 21,319,118.82 4,105,904.36 1,421,274.59 January 2013........ 21,017,490.47 4,047,812.98 1,401,166.03 February 2013....... 20,716,933.80 3,989,927.99 1,381,128.92 March 2013.......... 20,417,436.78 3,932,247.08 1,361,162.45 April 2013.......... 20,118,987.45 3,874,767.95 1,341,265.83 May 2013............ 19,821,573.86 3,817,488.30 1,321,438.26 June 2013........... 19,525,184.14 3,760,405.83 1,301,678.94 July 2013........... 19,229,806.45 3,703,518.28 1,281,987.10 August 2013......... 18,935,429.02 3,646,823.37 1,262,361.93 September 2013...... 18,642,040.09 3,590,318.83 1,242,802.67 October 2013........ 18,349,627.98 3,534,002.43 1,223,308.53 November 2013....... 18,058,181.04 3,477,871.90 1,203,878.74 December 2013....... 17,767,687.67 3,421,925.03 1,184,512.51 January 2014........ 17,478,136.32 3,366,159.59 1,165,209.09 February 2014....... 17,189,515.46 3,310,573.35 1,145,967.70 March 2014.......... 16,901,813.65 3,255,164.11 1,126,787.58 April 2014.......... 16,615,019.45 3,199,929.67 1,107,667.96 May 2014............ 16,329,121.48 3,144,867.84 1,088,608.10 June 2014........... 16,044,108.41 3,089,976.43 1,069,607.23 A2-34 TAC Balances TAC Balances TAC Balances -------------- -------------- ------------- Class 2-A4 TAC Class 2-A5 TAC Class 2-A6 Distribution Date Balance Balance TAC Balance - -------------------- -------------- -------------- ------------- July 2014........... $15,759,968.94 $ 3,035,253.28 $1,050,664.60 August 2014......... 15,476,691.81 2,980,696.20 1,031,779.45 September 2014...... 15,194,265.83 2,926,303.05 1,012,951.06 October 2014........ 14,912,679.81 2,872,071.67 994,178.65 November 2014....... 14,631,922.63 2,817,999.91 975,461.51 December 2014....... 14,351,983.19 2,764,085.65 956,798.88 January 2015........ 14,072,850.45 2,710,326.75 938,190.03 February 2015....... 13,794,513.40 2,656,721.10 919,634.23 March 2015.......... 13,516,961.06 2,603,266.57 901,130.74 April 2015.......... 13,240,182.50 2,549,961.07 882,678.83 May 2015............ 12,964,166.82 2,496,802.50 864,277.79 June 2015........... 12,688,903.18 2,443,788.76 845,926.88 July 2015........... 12,414,380.74 2,390,917.77 827,625.38 August 2015......... 12,140,588.71 2,338,187.46 809,372.58 September 2015...... 11,867,516.37 2,285,595.74 791,167.76 October 2015........ 11,595,152.98 2,233,140.57 773,010.20 November 2015....... 11,323,487.87 2,180,819.89 754,899.19 December 2015....... 11,052,510.40 2,128,631.63 736,834.03 January 2016........ 10,782,209.97 2,076,573.77 718,814.00 February 2016....... 10,512,576.00 2,024,644.27 700,838.40 March 2016.......... 10,243,597.95 1,972,841.09 682,906.53 April 2016.......... 9,975,265.31 1,921,162.21 665,017.69 May 2016............ 9,707,567.62 1,869,605.62 647,171.17 June 2016........... 9,440,494.42 1,818,169.30 629,366.29 July 2016........... 9,174,035.32 1,766,851.25 611,602.35 August 2016......... 8,870,226.36 1,708,339.89 591,348.42 September 2016...... 8,492,750.56 1,635,640.85 566,183.37 October 2016........ 8,116,598.23 1,563,196.70 541,106.55 November 2016....... 7,741,754.30 1,491,004.53 516,116.95 December 2016....... 7,368,203.73 1,419,061.46 491,213.58 January 2017........ 6,995,931.56 1,347,364.60 466,395.44 February 2017....... 6,624,922.88 1,275,911.07 441,661.53 March 2017.......... 6,255,162.85 1,204,698.03 417,010.86 April 2017.......... 5,886,636.69 1,133,722.62 392,442.45 May 2017............ 5,519,329.68 1,062,982.01 367,955.31 June 2017........... 5,153,227.12 992,473.37 343,548.47 July 2017........... 4,788,314.42 922,193.89 319,220.96 August 2017......... 4,424,577.02 852,140.76 294,971.80 September 2017...... 4,062,000.42 782,311.19 270,800.03 October 2017........ 3,700,570.16 712,702.40 246,704.68 November 2017....... 3,340,271.87 643,311.62 222,684.79 December 2017....... 2,981,091.20 574,136.08 198,739.41 January 2018........ 2,623,013.87 505,173.04 174,867.59 February 2018....... 2,266,025.65 436,419.75 151,068.38 March 2018.......... 1,910,112.36 367,873.49 127,340.82 April 2018.......... 1,555,259.88 299,531.53 103,683.99 May 2018............ 1,201,454.12 231,391.16 80,096.94 June 2018........... 848,681.07 163,449.69 56,578.74 July 2018........... 497,247.87 95,766.26 33,149.86 August 2018......... 146,817.30 28,275.93 9,787.82 September 2018...... 0.00 0.00 0.00 A2-35 EXHIBIT C MORTGAGE LOANS Each Mortgage Loan shall be identified by loan number, address of the Mortgaged Property, name of the Mortgagor and Mortgage Pool. The following details shall be set forth as to each Mortgage Loan: (i) the principal balance at the time of its origination, (ii) the Scheduled Principal Balance as of the Cut-off Date, (iii) the interest rate borne by the Mortgage Note, (iv) the scheduled monthly level payment of principal and interest, (v) the Loan-To-Value Ratio, (vi) the maturity date of the Mortgage Note and (vii) the Base Servicing Fee Rate for such Mortgage Loan. Any Cooperative Loans and any Mortgage Loans originated or acquired under the Company's Enhanced Streamlined Refinance Program shall be designated as such. 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 1 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007676075 MORTGAGORS: WINDERS MONICA WINDERS SCOTT REGION CODE ADDRESS : 12236 MCCONNELL DRIVE 01 CITY : SAN MARTIN STATE/ZIP : CA 95046 MORTGAGE AMOUNT : 391,200.00 OPTION TO CONVERT : UNPAID BALANCE : 390,556.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,602.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007676786 MORTGAGORS: STRIPE DENNIS STRIPE DIANE REGION CODE ADDRESS : 56 ACKERMAN DRIVE 01 CITY : MAHWAH STATE/ZIP : NJ 07430 MORTGAGE AMOUNT : 374,000.00 OPTION TO CONVERT : UNPAID BALANCE : 372,178.65 ANNUAL RATE ADJUST: MONTHLY P&I : 2,519.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007676794 MORTGAGORS: GUNVILLE DAVID GUNVILLE LISA REGION CODE ADDRESS : 335 CROSS STREET 01 CITY : NORWELL STATE/ZIP : MA 02061 MORTGAGE AMOUNT : 437,350.00 OPTION TO CONVERT : UNPAID BALANCE : 434,977.08 ANNUAL RATE ADJUST: MONTHLY P&I : 3,020.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99202 ---------------------------------------------------------------- 0 0007676802 MORTGAGORS: FLECK DAVID FLECK EILEEN REGION CODE ADDRESS : 1 ALPINE PLACE 01 CITY : RARITAN TOWNSHIP STATE/ZIP : NJ 08822 MORTGAGE AMOUNT : 318,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,620.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,196.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.95756 ---------------------------------------------------------------- 0 0007676810 MORTGAGORS: BARRAZA ROBERT REGION CODE ADDRESS : 880 WOODED LAKE DRIVE 01 CITY : APEX STATE/ZIP : NC 27502 MORTGAGE AMOUNT : 225,000.00 OPTION TO CONVERT : UNPAID BALANCE : 223,904.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,515.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 52.74014 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,745,550.00 P & I AMT: 11,855.26 UPB AMT: 1,737,237.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 2 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007676828 MORTGAGORS: SOCIA ROBERT SOCIA BETH REGION CODE ADDRESS : 47111 SUNNYBROOK LANE 01 CITY : NOVI STATE/ZIP : MI 48374 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,248.46 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 54.46166 ---------------------------------------------------------------- 0 0007676844 MORTGAGORS: PANDE GIRISH PANDE POONAM REGION CODE ADDRESS : 303 PERRY CREEK DRIVE 01 CITY : CHAPEL HILL STATE/ZIP : NC 27514 MORTGAGE AMOUNT : 227,250.00 OPTION TO CONVERT : UNPAID BALANCE : 226,170.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,550.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98662 ---------------------------------------------------------------- 0 0007676851 MORTGAGORS: SUTHERLAND SUSAN SUTHERLAND RAY REGION CODE ADDRESS : 5663 KIRKRIDGE TRAIL 01 CITY : ROCHESTER HILLS STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,958.06 ANNUAL RATE ADJUST: MONTHLY P&I : 1,945.80 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 47.24409 ---------------------------------------------------------------- 0 0007676869 MORTGAGORS: JACKSON JAMES JACKSON PATRICIA REGION CODE ADDRESS : 7358 HUNTING LAKE DRIVE 01 CITY : CONCORD STATE/ZIP : OH 44077 MORTGAGE AMOUNT : 313,300.00 OPTION TO CONVERT : UNPAID BALANCE : 311,774.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,110.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.98876 ---------------------------------------------------------------- 0 0007676877 MORTGAGORS: WHITE CHARLES WHITE SHEILA REGION CODE ADDRESS : 1760 CHASE DRIVE 01 CITY : ROCHESTER STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 240,600.00 OPTION TO CONVERT : UNPAID BALANCE : 237,880.39 ANNUAL RATE ADJUST: MONTHLY P&I : 1,620.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.98696 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,341,150.00 P & I AMT: 9,001.45 UPB AMT: 1,323,031.23 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 3 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007676885 MORTGAGORS: BAUMANN CHARLES BAUMANN CARLA REGION CODE ADDRESS : 47 CAMEO DRIVE 01 CITY : CHERRY HILL STATE/ZIP : NJ 08003 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,661.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,920.94 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 77.51938 ---------------------------------------------------------------- 0 0007676893 MORTGAGORS: REEVES KURT REEVES SHARON REGION CODE ADDRESS : 4138 OAK TREE CIRCLE 01 CITY : OAKLAND TWP STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 331,600.00 OPTION TO CONVERT : UNPAID BALANCE : 325,599.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,206.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007676901 MORTGAGORS: CRUPI ARMAND CRUPI TAMI REGION CODE ADDRESS : 79 SUMMIT DRIVE 01 CITY : FREEHOLD STATE/ZIP : NJ 07728 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,351.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,830.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.90701 ---------------------------------------------------------------- 0 0007676919 MORTGAGORS: ELLIS MARK ELLIS MARGARET REGION CODE ADDRESS : 111 N MAIN ST 01 CITY : PETERSHAM STATE/ZIP : MA 01366 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 317,858.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,128.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.19047 ---------------------------------------------------------------- 0 0007676927 MORTGAGORS: BAYYA KRANTHI PALAPARTHI VENU REGION CODE ADDRESS : 25 HUNTERS RUN 01 CITY : OAKLAND STATE/ZIP : NJ 07436 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,624.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.21053 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,456,600.00 P & I AMT: 9,723.58 UPB AMT: 1,445,095.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 4 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007676935 MORTGAGORS: WALSH THOMAS WALSH PATRICIA REGION CODE ADDRESS : 5 ALLYSON PLACE 01 CITY : EAST SETAUKET STATE/ZIP : NY 11733 MORTGAGE AMOUNT : 237,600.00 OPTION TO CONVERT : UNPAID BALANCE : 235,045.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,620.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007676943 MORTGAGORS: BELL RONALD BELL KATHLEEN REGION CODE ADDRESS : 11467 LAKE STONEBRIGE 01 CITY : FISHERS STATE/ZIP : IN 46038 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,470.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,875.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.67879 ---------------------------------------------------------------- 0 0007676950 MORTGAGORS: KELLER JAMES KELLER MOLLY REGION CODE ADDRESS : 25 FLAGSTONE PATH 01 CITY : THE WOODLAN STATE/ZIP : TX 77381 MORTGAGE AMOUNT : 253,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,472.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,980.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 12/01/17 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 77.13414 ---------------------------------------------------------------- 0 0007676968 MORTGAGORS: HEALY EILEEN REGION CODE ADDRESS : 352 NEFF 01 CITY : GROSSE POINTE STATE/ZIP : MI 48230 MORTGAGE AMOUNT : 391,500.00 OPTION TO CONVERT : UNPAID BALANCE : 388,919.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,637.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007676976 MORTGAGORS: VANCE FLORA VANCE SAMUEL REGION CODE ADDRESS : 3901 N RIVER HEIGHTS PLACE 01 CITY : TUCSON STATE/ZIP : AZ 85750 MORTGAGE AMOUNT : 347,200.00 OPTION TO CONVERT : UNPAID BALANCE : 345,424.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,280.86 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,504,300.00 P & I AMT: 10,395.86 UPB AMT: 1,492,332.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 5 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007676984 MORTGAGORS: CARDIERO JOHN CARDIERO JOAN REGION CODE ADDRESS : 5059 HILLTOP COURT 01 CITY : CLARKSTON STATE/ZIP : MI 48346 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,336.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,401.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 72.81553 ---------------------------------------------------------------- 0 0007676992 MORTGAGORS: FICK RANDOLPH FICK KIM REGION CODE ADDRESS : 226 BUENA VISTA AVENUE 01 CITY : SANTA CRUZ STATE/ZIP : CA 95062 MORTGAGE AMOUNT : 261,250.00 OPTION TO CONVERT : UNPAID BALANCE : 259,409.75 ANNUAL RATE ADJUST: MONTHLY P&I : 1,782.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0007677008 MORTGAGORS: COLNER GREGORY COLNER LAURIN REGION CODE ADDRESS : 2519 MEADOWLARK DRIVE 01 CITY : PROSPECT STATE/ZIP : KY 40059 MORTGAGE AMOUNT : 245,500.00 OPTION TO CONVERT : UNPAID BALANCE : 244,031.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,612.77 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 76.24223 ---------------------------------------------------------------- 0 0007677016 MORTGAGORS: HOURIGAN JOHN HOURIGAN MAUREEN REGION CODE ADDRESS : 60 BEAVER DAM ROAD 01 CITY : COLTS NECK STATE/ZIP : NJ 07722 MORTGAGE AMOUNT : 319,900.00 OPTION TO CONVERT : UNPAID BALANCE : 318,416.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,209.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99499 ---------------------------------------------------------------- 0 0007677024 MORTGAGORS: BOLAR HENRY BOLAR MARGIE REGION CODE ADDRESS : 45667 ADDINGTON LANE 01 CITY : NOVI STATE/ZIP : MI 48374 MORTGAGE AMOUNT : 235,000.00 OPTION TO CONVERT : UNPAID BALANCE : 234,027.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,563.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.07309 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,436,650.00 P & I AMT: 9,569.07 UPB AMT: 1,430,221.99 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 6 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677032 MORTGAGORS: OGLETREE CLARENCE REGION CODE ADDRESS : 13762 TIMBERWYCK 01 CITY : UTICA STATE/ZIP : MI 48315 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,042.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,401.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677040 MORTGAGORS: BOYD DAVID BOYD SUSAN REGION CODE ADDRESS : 815 LOGGERS CIRCLE 01 CITY : ROCHESTER STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,603.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,650.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.91069 ---------------------------------------------------------------- 0 0007677057 MORTGAGORS: NICHOLS MATTHEW NICHOLS SHARON REGION CODE ADDRESS : 1027 POINTE PLACE 01 CITY : ROCHESTER STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,642.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,812.40 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0007677065 MORTGAGORS: WARSOP THOMAS WARSOP CHRISTINE REGION CODE ADDRESS : 43368 DEEPSPRING COURT 01 CITY : ASHBURN STATE/ZIP : VA 20147 MORTGAGE AMOUNT : 256,750.00 OPTION TO CONVERT : UNPAID BALANCE : 255,659.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,686.67 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 89.99929 ---------------------------------------------------------------- 0 0007677073 MORTGAGORS: FEYEN MICHAEL REGION CODE ADDRESS : 3613 WOLCOTT DRIVE 01 CITY : FLOWER MOUND STATE/ZIP : TX 75028 MORTGAGE AMOUNT : 276,625.00 OPTION TO CONVERT : UNPAID BALANCE : 275,957.40 ANNUAL RATE ADJUST: MONTHLY P&I : 1,863.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.26217 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,377,375.00 P & I AMT: 9,414.64 UPB AMT: 1,370,905.60 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 7 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677081 MORTGAGORS: EDWARDS TODD EDWARDS ELIZABETH REGION CODE ADDRESS : 916 BRAZOS DRIVE 01 CITY : SOUTHLAKE STATE/ZIP : TX 76092 MORTGAGE AMOUNT : 231,000.00 OPTION TO CONVERT : UNPAID BALANCE : 229,617.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,517.51 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 65.07042 ---------------------------------------------------------------- 0 0007677099 MORTGAGORS: KLUSMEYER THOMAS KLUSMEYER FLORENCE REGION CODE ADDRESS : 10 PERTH COURT 01 CITY : SPRINGBORO STATE/ZIP : OH 45066 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,746.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,940.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677107 MORTGAGORS: LOMBARDO CHARLOTTE LOMBARDO PAUL REGION CODE ADDRESS : 1922 BLUE GRASS DRIVE 01 CITY : ROCHESTER HILLS STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 317,700.00 OPTION TO CONVERT : UNPAID BALANCE : 315,975.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,167.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99234 ---------------------------------------------------------------- 0 0007677115 MORTGAGORS: KANAHELE ALSON KANAHELE DONNA REGION CODE ADDRESS : 9 VIA LIEBRE 01 CITY : RANCHO SANTA MARGARITA STATE/ZIP : CA 92688 MORTGAGE AMOUNT : 232,792.00 OPTION TO CONVERT : UNPAID BALANCE : 231,739.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,627.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.88223 ---------------------------------------------------------------- 0 0007677123 MORTGAGORS: COLE MYLIEN COLE TIMOTHY REGION CODE ADDRESS : 330 EAST OAK ARBOR COURT 01 CITY : ALPHARETTA STATE/ZIP : GA 30202 MORTGAGE AMOUNT : 266,400.00 OPTION TO CONVERT : UNPAID BALANCE : 263,791.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,750.06 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,335,892.00 P & I AMT: 9,002.88 UPB AMT: 1,326,870.95 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 8 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677131 MORTGAGORS: HELLER DAVID HELLER KARY REGION CODE ADDRESS : 7403 FORSUM ROAD 01 CITY : SAN JOSE STATE/ZIP : CA 95138 MORTGAGE AMOUNT : 320,150.00 OPTION TO CONVERT : UNPAID BALANCE : 318,412.95 ANNUAL RATE ADJUST: MONTHLY P&I : 2,211.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0007677149 MORTGAGORS: TULLOCH JEFFREY TULLOCH KAREN REGION CODE ADDRESS : 25 LANTERN DRIVE 01 CITY : RIDGEFIELD STATE/ZIP : CT 06877 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,550.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,080.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.09557 ---------------------------------------------------------------- 0 0007677156 MORTGAGORS: JOHNSON CHRIS JOHNSON MICHELE REGION CODE ADDRESS : 45474 MUIRFIELD DRIVE 01 CITY : CANTON STATE/ZIP : MI 48188 MORTGAGE AMOUNT : 263,900.00 OPTION TO CONVERT : UNPAID BALANCE : 262,358.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,755.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99393 ---------------------------------------------------------------- 0 0007677164 MORTGAGORS: HENKEL HENRY HENKEL KATHERINE REGION CODE ADDRESS : 20 PROVIDENCE DRIVE 01 CITY : PRINCETON JUNCTION STATE/ZIP : NJ 08550 MORTGAGE AMOUNT : 394,000.00 OPTION TO CONVERT : UNPAID BALANCE : 391,809.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,687.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 84.73118 ---------------------------------------------------------------- 0 0007677172 MORTGAGORS: BURKHARDT BRYAN BURKHARDT KIMBERLY REGION CODE ADDRESS : 600 AKIN COURT 01 CITY : FRANKLIN STATE/ZIP : TN 37064 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 297,914.22 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,583,050.00 P & I AMT: 10,731.27 UPB AMT: 1,574,045.87 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 9 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677180 MORTGAGORS: LEWELLYN DONALD REGION CODE ADDRESS : 1344 KINSDALE DRIVE 01 CITY : RALEIGH STATE/ZIP : NC 27615 MORTGAGE AMOUNT : 326,200.00 OPTION TO CONVERT : UNPAID BALANCE : 324,384.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,225.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99019 ---------------------------------------------------------------- 0 0007677198 MORTGAGORS: FARLESS REBECCA FARLESS MICHAEL REGION CODE ADDRESS : 23625 BROADMOOR PARK LANE 01 CITY : NOVI STATE/ZIP : MI 48374 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,502.85 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 68.80734 ---------------------------------------------------------------- 0 0007677206 MORTGAGORS: HANDT LEON HANDT CINDY REGION CODE ADDRESS : 5503 WOODFIELD PARKWAY 01 CITY : GRAND BLANC STATE/ZIP : MI 48439 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,458.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,088.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 77.69423 ---------------------------------------------------------------- 0 0007677214 MORTGAGORS: ORECHOFF MICHAEL ORECHOFF BARBARA REGION CODE ADDRESS : 4371 CLEARWOOD RD 01 CITY : MOORPARK STATE/ZIP : CA 93021 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,442.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,088.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.15151 ---------------------------------------------------------------- 0 0007677222 MORTGAGORS: SULLIVAN STEPHEN SULLIVAN SANDRA REGION CODE ADDRESS : 4805 MILAN COURT 01 CITY : NORTH RALEIGH STATE/ZIP : NC 27613 MORTGAGE AMOUNT : 279,900.00 OPTION TO CONVERT : UNPAID BALANCE : 278,536.91 ANNUAL RATE ADJUST: MONTHLY P&I : 1,885.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.99428 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,526,100.00 P & I AMT: 10,283.97 UPB AMT: 1,518,324.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 10 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677230 MORTGAGORS: BROOKS MARTIN BROOKS DENISE REGION CODE ADDRESS : 6285 WHISPERING BROOK COURT 01 CITY : LAS VEGAS STATE/ZIP : NV 89129 MORTGAGE AMOUNT : 244,800.00 OPTION TO CONVERT : UNPAID BALANCE : 238,545.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,669.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677248 MORTGAGORS: GIANSANTE DIANE GIANSANTE THOMAS REGION CODE ADDRESS : 10 VIA LIEBRE 01 CITY : RANCHO SANTA MARGARIT STATE/ZIP : CA 92688 MORTGAGE AMOUNT : 276,800.00 OPTION TO CONVERT : UNPAID BALANCE : 275,451.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,864.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677255 MORTGAGORS: RAFFERTY KEVIN CERUL-RAFFERTY DIANE REGION CODE ADDRESS : 405-16 CAMILLE CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95134 MORTGAGE AMOUNT : 255,960.00 OPTION TO CONVERT : UNPAID BALANCE : 254,651.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,681.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677263 MORTGAGORS: CAMPBELL JOSEPH CAMPBELL PATRICIA REGION CODE ADDRESS : 50 CARNOUSTIE LANE 01 CITY : SPRINGBORO STATE/ZIP : OH 45066 MORTGAGE AMOUNT : 313,600.00 OPTION TO CONVERT : UNPAID BALANCE : 312,034.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,086.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677271 MORTGAGORS: KERR DIANN REGION CODE ADDRESS : 1788 RING NECK DRIVE 01 CITY : ROCHESTER STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 226,450.00 OPTION TO CONVERT : UNPAID BALANCE : 225,319.91 ANNUAL RATE ADJUST: MONTHLY P&I : 1,506.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.98968 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,317,610.00 P & I AMT: 8,809.28 UPB AMT: 1,306,003.39 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 11 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677289 MORTGAGORS: FERGER DAVID FERGER GERALYN REGION CODE ADDRESS : 3704 MANACOR CT 01 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 234,822.22 ANNUAL RATE ADJUST: MONTHLY P&I : 1,570.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677297 MORTGAGORS: DOHERTY TERENCE DOHERTY KATHRYN REGION CODE ADDRESS : 11545 KINGS KNIGHT CIRCLE 01 CITY : GRAND BLANC STATE/ZIP : MI 48439 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,722.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,703.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677305 MORTGAGORS: METZROTH RIKO METZROTH GRETCHEN REGION CODE ADDRESS : 14201 ROBCASTE ROAD 01 CITY : PHOENIX STATE/ZIP : MD 21131 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,619.35 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.71 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 72.97297 ---------------------------------------------------------------- 0 0007677313 MORTGAGORS: FLOYD SUE FLOYD RANDALL REGION CODE ADDRESS : 43746 VINTAGE OAKS DR, 01 CITY : STERLING HEIGHTS STATE/ZIP : MI 48315 MORTGAGE AMOUNT : 241,050.00 OPTION TO CONVERT : UNPAID BALANCE : 240,025.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,583.53 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 89.27777 ---------------------------------------------------------------- 0 0007677321 MORTGAGORS: MONICH ALLAN MONICH JEANNE REGION CODE ADDRESS : 631 DORNOCH 01 CITY : ANN ARBOR STATE/ZIP : MI 48103 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 373,809.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,528.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,383,050.00 P & I AMT: 9,158.69 UPB AMT: 1,371,999.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 12 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677339 MORTGAGORS: WANG DAZONG WANG MARY REGION CODE ADDRESS : 1760 PICADILLY 01 CITY : TROY STATE/ZIP : MI 48084 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,548.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,328.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.52941 ---------------------------------------------------------------- 0 0007677347 MORTGAGORS: PARISI ROBERTA REGION CODE ADDRESS : 9527 N.W. ENGLEMAN 01 CITY : PORTLAND STATE/ZIP : OR 97229 MORTGAGE AMOUNT : 290,250.00 OPTION TO CONVERT : UNPAID BALANCE : 288,904.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,004.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677354 MORTGAGORS: JOHNSON BILLY REGION CODE ADDRESS : 3685 SCHOONER RIDGE DRIVE 01 CITY : ALPHARETTA STATE/ZIP : GA 30005 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,921.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,729.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677362 MORTGAGORS: EMORY GARY REGION CODE ADDRESS : 2077 AUTUMN LEAVES CIRCLE 01 CITY : GREEN BAY STATE/ZIP : WI 54313 MORTGAGE AMOUNT : 270,750.00 OPTION TO CONVERT : UNPAID BALANCE : 269,681.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,847.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0007677370 MORTGAGORS: JOELS DOUGLAS JOELS MICHALA REGION CODE ADDRESS : 43136 PONDVIEW DRIVE 01 CITY : STERLING HEIGHTS STATE/ZIP : MI 48314 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,947.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,751.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.65517 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,431,000.00 P & I AMT: 9,661.71 UPB AMT: 1,425,003.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 13 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677388 MORTGAGORS: GRAHAM JOHN GRAHAM MARGARET REGION CODE ADDRESS : 3505 PURDUE 01 CITY : UNIVERSITY PARK STATE/ZIP : TX 75225 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 378,462.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,560.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.16666 ---------------------------------------------------------------- 0 0007677396 MORTGAGORS: GATES GERALD GATES CYNTHIA REGION CODE ADDRESS : 248 NORTH WIND COURT 01 CITY : PONTE VEDRA STATE/ZIP : FL 32082 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 646,127.04 ANNUAL RATE ADJUST: MONTHLY P&I : 4,324.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 69.96770 ---------------------------------------------------------------- 0 0007677404 MORTGAGORS: BANKS DEBRA BANKS JOHN REGION CODE ADDRESS : 7 HUCKLEBERRY LANE 01 CITY : FRANKLIN STATE/ZIP : MA 02038 MORTGAGE AMOUNT : 327,000.00 OPTION TO CONVERT : UNPAID BALANCE : 326,462.36 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 94.97905 ---------------------------------------------------------------- 0 0007677412 MORTGAGORS: SHAVER ROBERT PASTOR-SHAVER LYNN REGION CODE ADDRESS : 15710 CARBERRY COURT 01 CITY : FT. MYERS STATE/ZIP : FL 33912 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,750.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,861.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 57.40000 ---------------------------------------------------------------- 0 0007677420 MORTGAGORS: KASSIR ABDUL REGION CODE ADDRESS : 206 GURREGO 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 405,000.00 OPTION TO CONVERT : UNPAID BALANCE : 403,401.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,049,000.00 P & I AMT: 13,684.44 UPB AMT: 2,040,203.44 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 14 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677438 MORTGAGORS: IVEY LOUIS IVEY PATRICIA REGION CODE ADDRESS : 210 WYNDEN CRESCENT 01 CITY : HOUSTON STATE/ZIP : TX 77056 MORTGAGE AMOUNT : 381,200.00 OPTION TO CONVERT : UNPAID BALANCE : 379,939.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,536.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99664 ---------------------------------------------------------------- 0 0007677446 MORTGAGORS: DALY WILLIAM REGION CODE ADDRESS : 3388 LYTHAM LANE 01 CITY : BEAVERCREEK STATE/ZIP : OH 45440 MORTGAGE AMOUNT : 310,500.00 OPTION TO CONVERT : UNPAID BALANCE : 309,179.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,144.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677453 MORTGAGORS: SCHULTZ JAMES REGION CODE ADDRESS : 4011 TURNBERRY COURT 01 CITY : JACKSONVILLE STATE/ZIP : FL 32225 MORTGAGE AMOUNT : 280,250.00 OPTION TO CONVERT : UNPAID BALANCE : 279,087.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,864.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0007677461 MORTGAGORS: FRIEND RICHARD FRIEND ELIZABETH REGION CODE ADDRESS : 2120 CLARK LANE,A 01 CITY : REDONDO BEACH STATE/ZIP : CA 90278 MORTGAGE AMOUNT : 306,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,036.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,087.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677479 MORTGAGORS: WALLACE DOUGLAS REGION CODE ADDRESS : 5314 LANCELOT DRIVE 01 CITY : ST.CHARLES STATE/ZIP : MO 63304 MORTGAGE AMOUNT : 262,250.00 OPTION TO CONVERT : UNPAID BALANCE : 261,214.66 ANNUAL RATE ADJUST: MONTHLY P&I : 1,789.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 84.98964 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,540,200.00 P & I AMT: 10,421.67 UPB AMT: 1,534,457.57 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 15 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677487 MORTGAGORS: TRINKWON JEFFREY REGION CODE ADDRESS : 1273 KINGSWAY LANE 01 CITY : TARPON SPRINGS STATE/ZIP : FL 34689 MORTGAGE AMOUNT : 256,550.00 OPTION TO CONVERT : UNPAID BALANCE : 255,511.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,728.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.99613 ---------------------------------------------------------------- 0 0007677495 MORTGAGORS: ALFORD DARWIN ALFORD LAURIE REGION CODE ADDRESS : 48684 CASTLESIDE 01 CITY : CANTON STATE/ZIP : MI 48187 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,376.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,556.64 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 72.74931 ---------------------------------------------------------------- 0 0007677503 MORTGAGORS: BECK JAMES REGION CODE ADDRESS : 1640 MASTERS CT 01 CITY : SUPERIOR STATE/ZIP : CO 80027 MORTGAGE AMOUNT : 285,300.00 OPTION TO CONVERT : UNPAID BALANCE : 284,444.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,994.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677511 MORTGAGORS: MCNEIL KURT REGION CODE ADDRESS : 17175 TALL PINES COURT 01 CITY : NORTHVILLE STATE/ZIP : MI 48167 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,879.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,016.98 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 74.11764 ---------------------------------------------------------------- 0 0007677529 MORTGAGORS: MEEKS SEAN LONGNECKER-MEEK SHERI REGION CODE ADDRESS : 795 SUNSET GLEN DR 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 375,250.00 OPTION TO CONVERT : UNPAID BALANCE : 373,616.28 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.87 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,472,100.00 P & I AMT: 9,730.78 UPB AMT: 1,466,828.06 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 16 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677537 MORTGAGORS: MONKABA RICHARD REGION CODE ADDRESS : 7907 BRIDGE VALLEY 01 CITY : CLARKSTON STATE/ZIP : MI 48346 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,494.48 ANNUAL RATE ADJUST: MONTHLY P&I : 1,970.79 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 40.26845 ---------------------------------------------------------------- 0 0007677545 MORTGAGORS: KASTNER MICHAEL KASTNER LINDA REGION CODE ADDRESS : 4101 SW 30TH CT 01 CITY : GRESHAM STATE/ZIP : OR 97080 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,602.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,596.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.91075 ---------------------------------------------------------------- 0 0007677552 MORTGAGORS: DAVIS JOANNE DAVIS RICHARD REGION CODE ADDRESS : 4812 SNAPJACK CIRCLE 01 CITY : NAPERVILLE STATE/ZIP : IL 60540 MORTGAGE AMOUNT : 245,700.00 OPTION TO CONVERT : UNPAID BALANCE : 245,092.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,634.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677560 MORTGAGORS: YOUNGKRANTZ DALE YOUNGKRANTZ CAROL REGION CODE ADDRESS : 2424 107TH DRIVE 01 CITY : WESTMINSTER STATE/ZIP : CO 80030 MORTGAGE AMOUNT : 233,400.00 OPTION TO CONVERT : UNPAID BALANCE : 233,016.24 ANNUAL RATE ADJUST: MONTHLY P&I : 1,552.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 94.98191 ---------------------------------------------------------------- 0 0007677578 MORTGAGORS: DUFFIE TIMOTHY DUFFIE SUSAN REGION CODE ADDRESS : 419 PINE HOLLOW 01 CITY : BALLWIN STATE/ZIP : MO 63021 MORTGAGE AMOUNT : 237,400.00 OPTION TO CONVERT : UNPAID BALANCE : 236,633.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,599.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 94.96000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,256,500.00 P & I AMT: 8,354.40 UPB AMT: 1,253,838.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 17 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677586 MORTGAGORS: PONCE JOE PONCE ROBERTA REGION CODE ADDRESS : 48089 HILLTOP DRIVE 01 CITY : PLYMOUTH STATE/ZIP : MI 48170 MORTGAGE AMOUNT : 382,500.00 OPTION TO CONVERT : UNPAID BALANCE : 381,530.41 ANNUAL RATE ADJUST: MONTHLY P&I : 2,512.76 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677594 MORTGAGORS: LURIE BRIAN LURIE DEBORAH REGION CODE ADDRESS : 11 DUNMORE ROAD 01 CITY : NEW CITY STATE/ZIP : NY 10956 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,747.47 ANNUAL RATE ADJUST: MONTHLY P&I : 1,816.08 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677602 MORTGAGORS: CULVER CHARLES MCHENRY-CULVER ANTOINETTE REGION CODE ADDRESS : 5502 RIDGEVIEW DRIVE 01 CITY : LA VERNE STATE/ZIP : CA 91750 MORTGAGE AMOUNT : 332,000.00 OPTION TO CONVERT : UNPAID BALANCE : 330,980.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,293.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677610 MORTGAGORS: COMBS KEVIN COMBS TRACY REGION CODE ADDRESS : 3176 WALLINGFORD LANE 01 CITY : KESWICK STATE/ZIP : VA 22947 MORTGAGE AMOUNT : 316,200.00 OPTION TO CONVERT : UNPAID BALANCE : 315,128.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,077.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0007677628 MORTGAGORS: GEORGE ELISA SAINT-ANDRE J REGION CODE ADDRESS : 6113 UPPER YORK ROAD 01 CITY : NEW HOPE STATE/ZIP : PA 18938 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,357.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,073.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.18919 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,603,700.00 P & I AMT: 10,772.94 UPB AMT: 1,596,743.92 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 18 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677636 MORTGAGORS: STOKES LEON REGION CODE ADDRESS : 2002 MAPLERIDGE RD. 01 CITY : ROCHESTER HILLS STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,139.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,315.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677644 MORTGAGORS: DREW MICHAEL DREW LISA REGION CODE ADDRESS : 312 WASHINGTON AVE. 01 CITY : SPRING LAKE STATE/ZIP : NJ 07762 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,300.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,953.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 77.33333 ---------------------------------------------------------------- 0 0007677651 MORTGAGORS: TAYLOR MICHELE TAYLOR DOUGLAS REGION CODE ADDRESS : 8228 VICTORY TRAIL 01 CITY : BRENTWOOD STATE/ZIP : TN 37027 MORTGAGE AMOUNT : 354,450.00 OPTION TO CONVERT : UNPAID BALANCE : 353,248.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,328.49 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 89.99345 ---------------------------------------------------------------- 0 0007677669 MORTGAGORS: SCAFF SCOTT SCAFF MARILYN REGION CODE ADDRESS : 7701 SAN ISABEL 01 CITY : PLANO STATE/ZIP : TX 75025 MORTGAGE AMOUNT : 252,250.00 OPTION TO CONVERT : UNPAID BALANCE : 251,641.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,699.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.99286 ---------------------------------------------------------------- 0 0007677677 MORTGAGORS: HAMAMEH IMAD HAMAMEH PATRICIA REGION CODE ADDRESS : 1130 INDIAN PIPE 01 CITY : LAKE ORION STATE/ZIP : MI 48360 MORTGAGE AMOUNT : 332,000.00 OPTION TO CONVERT : UNPAID BALANCE : 331,198.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,236.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.70805 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,576,700.00 P & I AMT: 10,533.74 UPB AMT: 1,572,527.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 19 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677685 MORTGAGORS: WILLIAMSON JOHN EVANS PATRICIA REGION CODE ADDRESS : 1052 DEL CAMBRE DR 01 CITY : SAN JOSE STATE/ZIP : CA 95129 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,007.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 65.93406 ---------------------------------------------------------------- 0 0007677693 MORTGAGORS: HONNEUS LINDA REGION CODE ADDRESS : 188 WEST CANTON STREET, 3 , 01 CITY : BOSTON STATE/ZIP : MA 02116 MORTGAGE AMOUNT : 347,400.00 OPTION TO CONVERT : UNPAID BALANCE : 346,561.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,340.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677701 MORTGAGORS: MOLLITOR RONALD MOLLITOR CAROL REGION CODE ADDRESS : 110 E GUNN RD, 01 CITY : ROCHESTER STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 306,400.00 OPTION TO CONVERT : UNPAID BALANCE : 305,642.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,038.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677719 MORTGAGORS: ELLIOTT GREGORY ELLIOTT SHERRY REGION CODE ADDRESS : 45169 ROUNDVIEW DRIVE 01 CITY : NOVI STATE/ZIP : MI 48375 MORTGAGE AMOUNT : 253,800.00 OPTION TO CONVERT : UNPAID BALANCE : 253,372.32 ANNUAL RATE ADJUST: MONTHLY P&I : 1,667.29 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677727 MORTGAGORS: PRICE RONALD PRICE DIANE REGION CODE ADDRESS : 851 S COTTONTAIL LANE 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,314.26 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.30 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,471,600.00 P & I AMT: 9,754.49 UPB AMT: 1,467,898.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 20 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677735 MORTGAGORS: PLEDGER RANDALL REGION CODE ADDRESS : 4758 FOREST RIDGE COURT 01 CITY : ROCHESTER STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,145.74 ANNUAL RATE ADJUST: MONTHLY P&I : 2,213.86 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 87.08010 ---------------------------------------------------------------- 0 0007677743 MORTGAGORS: HAYDEN BRADLEY CADWALLADER DANA REGION CODE ADDRESS : 213 ROBERTS ROAD 01 CITY : PACIFICA STATE/ZIP : CA 94044 MORTGAGE AMOUNT : 346,400.00 OPTION TO CONVERT : UNPAID BALANCE : 345,564.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,333.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677750 MORTGAGORS: RUNYAN DONALD RUNYAN PEGGY REGION CODE ADDRESS : 44 BLUE HERON DR 01 CITY : THORNTON STATE/ZIP : CO 80241 MORTGAGE AMOUNT : 311,100.00 OPTION TO CONVERT : UNPAID BALANCE : 310,851.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,095.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.99696 ---------------------------------------------------------------- 0 0007677768 MORTGAGORS: MCCLELLAND BRIAN MCCLELLAND CAROL REGION CODE ADDRESS : 9266 CHEVOIT DRIVE, LOT 7 CHEVOIT D 01 CITY : BRENTWOOD STATE/ZIP : TN 37027 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,606.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,650.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 40.84014 ---------------------------------------------------------------- 0 0007677776 MORTGAGORS: MIZOUNI JAMES MIZOUNI JULIE REGION CODE ADDRESS : 57 HORSESHOE HILL ROAD 01 CITY : POUND RIDGE STATE/ZIP : NY 10576 MORTGAGE AMOUNT : 378,450.00 OPTION TO CONVERT : UNPAID BALANCE : 377,900.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,678.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,617,950.00 P & I AMT: 10,972.84 UPB AMT: 1,615,068.36 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 21 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677784 MORTGAGORS: GROVER RICHARD GROVER BARBARA REGION CODE ADDRESS : 18 FOX VINE LANE 01 CITY : SCITUATE STATE/ZIP : MA 02066 MORTGAGE AMOUNT : 319,950.00 OPTION TO CONVERT : UNPAID BALANCE : 319,233.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677792 MORTGAGORS: FENDERSON JERRY REGION CODE ADDRESS : 535 MERRILL STREET 01 CITY : BIRMINGHAM STATE/ZIP : MI 48009 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 379,375.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,528.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.16666 ---------------------------------------------------------------- 0 0007677800 MORTGAGORS: BARRETT SCOTT REGION CODE ADDRESS : 10808 JORDAN RAE LANE 01 CITY : CHARLOTTE STATE/ZIP : NC 28277 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 238,441.24 ANNUAL RATE ADJUST: MONTHLY P&I : 1,860.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/18 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 92.34320 ---------------------------------------------------------------- 0 0007677818 MORTGAGORS: PEREZ ROLAND PEREZ RHONDA REGION CODE ADDRESS : 27760 KLAUS COURT 01 CITY : HAYWARD STATE/ZIP : CA 94542 MORTGAGE AMOUNT : 271,200.00 OPTION TO CONVERT : UNPAID BALANCE : 270,512.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,781.60 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677826 MORTGAGORS: CROFT HUGO CROFT CAROLYNN REGION CODE ADDRESS : 1643 SAN LEANDRO LANE 01 CITY : SANTA BARBARA STATE/ZIP : CA 93108 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 648,904.71 ANNUAL RATE ADJUST: MONTHLY P&I : 4,270.04 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 67.70833 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,861,150.00 P & I AMT: 12,677.65 UPB AMT: 1,856,466.87 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 22 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677834 MORTGAGORS: GOUD REDDY GOUD SAVITRI REGION CODE ADDRESS : 27905 SAN NICOLAS DR 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 442,850.00 OPTION TO CONVERT : UNPAID BALANCE : 441,822.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,909.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0007677842 MORTGAGORS: BROWN-SHARRIEFF JAMEELAH-DOSIAH AYEDUN TAIWO REGION CODE ADDRESS : 1258 GOLFVIEW 01 CITY : WOODRIDGE STATE/ZIP : IL 60517 MORTGAGE AMOUNT : 238,450.00 OPTION TO CONVERT : UNPAID BALANCE : 237,938.23 ANNUAL RATE ADJUST: MONTHLY P&I : 1,546.59 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0007677859 MORTGAGORS: SMITH MICHAEL DEARWESTER DONALD REGION CODE ADDRESS : 3720 SPYGLASS LOOP 01 CITY : RIO RANCHO STATE/ZIP : NM 87124 MORTGAGE AMOUNT : 239,950.00 OPTION TO CONVERT : UNPAID BALANCE : 239,539.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,596.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99666 ---------------------------------------------------------------- 0 0007677867 MORTGAGORS: DICK JOHN VALENTA MARY REGION CODE ADDRESS : 821 LAKE SHORE ROAD 01 CITY : GROSSE POINT SHORES STATE/ZIP : MI 48236 MORTGAGE AMOUNT : 447,000.00 OPTION TO CONVERT : UNPAID BALANCE : 446,228.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,899.24 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 76.14991 ---------------------------------------------------------------- 0 0007677875 MORTGAGORS: JURGENS DIANE JURGENS PETER REGION CODE ADDRESS : 3559 CEDAR SHAKE 01 CITY : ROCHESTER HILLS STATE/ZIP : MI 48309 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,336.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,470.06 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,744,250.00 P & I AMT: 11,421.50 UPB AMT: 1,740,864.29 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 23 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677883 MORTGAGORS: LADEFIAN LEO LADEFIAN GAY REGION CODE ADDRESS : 1850 BISHOPS GREEN DRIVE 01 CITY : MARIETTA STATE/ZIP : GA 30062 MORTGAGE AMOUNT : 307,200.00 OPTION TO CONVERT : UNPAID BALANCE : 306,948.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,043.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677891 MORTGAGORS: SMITH JEFFREY SMITH BARBARA REGION CODE ADDRESS : 26709 BASSWOOD AVENUE 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,224.05 ANNUAL RATE ADJUST: MONTHLY P&I : 2,705.26 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677909 MORTGAGORS: LATTINVILLE-PACE MARTHE PACE ROBERT REGION CODE ADDRESS : 10101 BALDWIN COURT 01 CITY : BETHESDA STATE/ZIP : MD 20817 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 344,404.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.67 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 73.40425 ---------------------------------------------------------------- 0 0007677917 MORTGAGORS: DELANEY PAUL DELANEY KATHY REGION CODE ADDRESS : 34 EDGEWOOD ROAD 01 CITY : CHATHAM STATE/ZIP : NJ 07928 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,774.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,639.20 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007677925 MORTGAGORS: COX BARTLEY COX LEEANN REGION CODE ADDRESS : 958 SAINT ANDREWS LANE 01 CITY : LOUISVILLE STATE/ZIP : CO 80027 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,768.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,806.56 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.71014 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,611,200.00 P & I AMT: 10,432.50 UPB AMT: 1,609,119.57 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 24 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677933 MORTGAGORS: HARDY IVAN HARDY WINIFERD REGION CODE ADDRESS : 40524 KINGSLEY LANE 01 CITY : NOVI STATE/ZIP : MI 48377 MORTGAGE AMOUNT : 234,900.00 OPTION TO CONVERT : UNPAID BALANCE : 234,494.36 ANNUAL RATE ADJUST: MONTHLY P&I : 1,523.56 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007677941 MORTGAGORS: HUYBERTS FRANCIS HUYBERTS ROSANNA REGION CODE ADDRESS : 881 LOGGERS CIRCLE 01 CITY : ROCHESTER STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,561.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,708.02 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.95397 ---------------------------------------------------------------- 0 0007677958 MORTGAGORS: RUPPER DAVID RUPPER LESLIE REGION CODE ADDRESS : 152 SUMMERSET COURT 01 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,557.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,002.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.50906 ---------------------------------------------------------------- 0 0007677966 MORTGAGORS: DAVIS SABRA DAVIS CRAIG REGION CODE ADDRESS : 30 HIDDEN OAK COURT 01 CITY : DANVILLE STATE/ZIP : CA 94506 MORTGAGE AMOUNT : 545,000.00 OPTION TO CONVERT : UNPAID BALANCE : 544,125.75 ANNUAL RATE ADJUST: MONTHLY P&I : 3,671.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 73.15436 ---------------------------------------------------------------- 0 0007677974 MORTGAGORS: ABERNATHY TARA ABERNATHY GREGORY REGION CODE ADDRESS : 101 BILLINGTON CT 1 01 CITY : MORRISVILLE STATE/ZIP : NC 27560 MORTGAGE AMOUNT : 348,250.00 OPTION TO CONVERT : UNPAID BALANCE : 347,978.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,375.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 94.98936 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,678,150.00 P & I AMT: 11,281.99 UPB AMT: 1,675,717.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 25 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007677982 MORTGAGORS: BROOCKS JEFFERY BROOCKS NANCY REGION CODE ADDRESS : 4328 TULIYANI DRIVE 01 CITY : CHICO STATE/ZIP : CA 95973 MORTGAGE AMOUNT : 267,700.00 OPTION TO CONVERT : UNPAID BALANCE : 267,480.56 ANNUAL RATE ADJUST: MONTHLY P&I : 1,781.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 89.99650 ---------------------------------------------------------------- 0 0030815641 MORTGAGORS: MC HENRY PAUL MC HENRY LILLY REGION CODE ADDRESS : 7575 EAST MOONRIDGE LANE 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 225,550.00 OPTION TO CONVERT : UNPAID BALANCE : 222,866.53 ANNUAL RATE ADJUST: MONTHLY P&I : 1,734.29 OUTSIDE CONV DATE : LIFETIME RATE : 8.50000 MATURITY DATE : 03/01/27 CURRENT INT RATE: 8.50000 PRODUCT CODE : 002 LTV : 89.98600 ---------------------------------------------------------------- 0 0030875009 MORTGAGORS: MC DONALD PATRICK MC DONALD CHERI REGION CODE ADDRESS : 3249 FUTURA POINT 01 CITY : THOUSAN OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,028.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,083.90 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 05/01/27 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0030955785 MORTGAGORS: EDGETON DOUGLAS EDGETON JEANNINE REGION CODE ADDRESS : 705 POLLY PLACE 01 CITY : BIRMINGHAM STATE/ZIP : AL 35226 MORTGAGE AMOUNT : 239,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,175.46 ANNUAL RATE ADJUST: MONTHLY P&I : 1,671.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 09/01/27 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.98661 ---------------------------------------------------------------- 0 0031020563 MORTGAGORS: LOOK ARVIN LOOK LOURDES REGION CODE ADDRESS : 4555 FABLE COURT 01 CITY : SANTA ROSA STATE/ZIP : CA 95405 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,253.56 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 50.78100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,341,250.00 P & I AMT: 9,515.03 UPB AMT: 1,332,805.07 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 26 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031052004 MORTGAGORS: DEETZ LAWRENCE DEETZ CONNIE REGION CODE ADDRESS : 21 BEAVER CREEK DRIVE 01 CITY : RARITAN STATE/ZIP : NJ 08822 MORTGAGE AMOUNT : 258,760.00 OPTION TO CONVERT : UNPAID BALANCE : 258,760.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,831.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.99800 ---------------------------------------------------------------- 0 0031052772 MORTGAGORS: GEORGE WILLIAM GEORGE MARY REGION CODE ADDRESS : 17610 DRIFTWOOD DRIVE 01 CITY : PINEY POINT STATE/ZIP : MD 20690 MORTGAGE AMOUNT : 319,200.00 OPTION TO CONVERT : UNPAID BALANCE : 318,144.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031071319 MORTGAGORS: GUADARRAMA CARLOS ARIAS ANNA REGION CODE ADDRESS : 39636 LAHANA WAY 01 CITY : FREMONT STATE/ZIP : CA 94538 MORTGAGE AMOUNT : 223,500.00 OPTION TO CONVERT : UNPAID BALANCE : 222,332.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,679.08 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 8.25000 PRODUCT CODE : 002 LTV : 87.99200 ---------------------------------------------------------------- 0 0031096084 MORTGAGORS: MORSE DAVID MORSE LORI REGION CODE ADDRESS : 25372 MUSTANG DRIVE 01 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 410,000.00 OPTION TO CONVERT : UNPAID BALANCE : 405,151.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 69.96500 ---------------------------------------------------------------- 0 0031112824 MORTGAGORS: KHADIVI KAMRAN KHADIVI FERESHTEH REGION CODE ADDRESS : 2213 AVENIDA OLIVA 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92673 MORTGAGE AMOUNT : 225,000.00 OPTION TO CONVERT : UNPAID BALANCE : 221,743.44 ANNUAL RATE ADJUST: MONTHLY P&I : 1,631.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 64.28500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,436,460.00 P & I AMT: 10,062.55 UPB AMT: 1,426,131.60 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 27 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031116148 MORTGAGORS: LEW KAREN REGION CODE ADDRESS : 5454 BROADWAY 01 CITY : OAKLAND STATE/ZIP : CA 94618 MORTGAGE AMOUNT : 284,250.00 OPTION TO CONVERT : UNPAID BALANCE : 282,818.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,036.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031116940 MORTGAGORS: SMITH CHRISTOPHER SMITH CONI REGION CODE ADDRESS : 2025 SW 112TH STREET 01 CITY : GAINESVILLE STATE/ZIP : FL 32607 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,822.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,417.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 58.82300 ---------------------------------------------------------------- 0 0031118227 MORTGAGORS: AHMED ESSAM RAUF GINAN REGION CODE ADDRESS : 3 BLANCHARD ROAD 01 CITY : HARVARD STATE/ZIP : MA 01451 MORTGAGE AMOUNT : 303,200.00 OPTION TO CONVERT : UNPAID BALANCE : 301,708.56 ANNUAL RATE ADJUST: MONTHLY P&I : 2,198.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031125164 MORTGAGORS: GREER ROBERT REGION CODE ADDRESS : 4776 EMERALD AVENUE 01 CITY : LA VERNE STATE/ZIP : CA 91750 MORTGAGE AMOUNT : 223,000.00 OPTION TO CONVERT : UNPAID BALANCE : 221,774.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,636.30 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 79.92800 ---------------------------------------------------------------- 0 0031128523 MORTGAGORS: GOLDMAN BART FISH REBECCA REGION CODE ADDRESS : 26811 LIVE OAK COURT 01 CITY : CALABASAS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 220,000.00 OPTION TO CONVERT : UNPAID BALANCE : 218,919.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,595.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,380,450.00 P & I AMT: 9,883.65 UPB AMT: 1,373,043.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 28 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031130552 MORTGAGORS: REED DONNA REGION CODE ADDRESS : 1789 NORTHCROSS PLACE NORTH 01 CITY : COLLIERVILLE STATE/ZIP : TN 38017 MORTGAGE AMOUNT : 274,650.00 OPTION TO CONVERT : UNPAID BALANCE : 273,102.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.96800 ---------------------------------------------------------------- 0 0031145527 MORTGAGORS: FERREIRA JOSE FERREIRA IVONE REGION CODE ADDRESS : 5 KING DRIVE 01 CITY : BRIDGEWATER STATE/ZIP : NJ 08807 MORTGAGE AMOUNT : 253,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,821.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,812.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 87.24100 ---------------------------------------------------------------- 0 0031156227 MORTGAGORS: MASON BRIAN REGION CODE ADDRESS : 1305 CLUBHOUSE ROAD 01 CITY : GLADWYNNE STATE/ZIP : PA 19035 MORTGAGE AMOUNT : 498,000.00 OPTION TO CONVERT : UNPAID BALANCE : 495,730.71 ANNUAL RATE ADJUST: MONTHLY P&I : 3,741.31 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 8.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031163033 MORTGAGORS: KARPF NEAL KARPF LAURIE REGION CODE ADDRESS : 21272 ROCK RIDGE DRIVE 01 CITY : BOCA RATON STATE/ZIP : FL 33428 MORTGAGE AMOUNT : 266,500.00 OPTION TO CONVERT : UNPAID BALANCE : 266,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,818.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98600 ---------------------------------------------------------------- 0 0031166317 MORTGAGORS: BATTIS STEPHEN BATTIS MARCIA ANN REGION CODE ADDRESS : 66 SCHOOL STREET 01 CITY : MIDDLEBOROUGH STATE/ZIP : MA 02346 MORTGAGE AMOUNT : 80,800.00 OPTION TO CONVERT : UNPAID BALANCE : 80,333.34 ANNUAL RATE ADJUST: MONTHLY P&I : 578.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,372,950.00 P & I AMT: 9,942.11 UPB AMT: 1,368,488.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 29 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031166358 MORTGAGORS: BERGER FREDERICK BARWICK JOANN REGION CODE ADDRESS : 371 BILLINGS HILL ROAD 01 CITY : STOWE STATE/ZIP : VT 05672 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,804.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,705.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 61.42500 ---------------------------------------------------------------- 0 0031173602 MORTGAGORS: DE SMET JAN DE SMET MARINA REGION CODE ADDRESS : 300 SHUMARD COURT 01 CITY : IRVING STATE/ZIP : TX 75063 MORTGAGE AMOUNT : 295,700.00 OPTION TO CONVERT : UNPAID BALANCE : 294,458.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,144.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 89.99900 ---------------------------------------------------------------- 0 0031184245 MORTGAGORS: TUCCIARONE JOSEPH BRYANT TRACY REGION CODE ADDRESS : 30 PURDY LANE 01 CITY : AMITYVILLE STATE/ZIP : NY 11701 MORTGAGE AMOUNT : 178,000.00 OPTION TO CONVERT : UNPAID BALANCE : 173,678.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,321.65 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 10/01/25 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031187479 MORTGAGORS: SLABINE STEVEN REGION CODE ADDRESS : 36 CHESTNUT HILL TERRACE 01 CITY : NEWTON STATE/ZIP : MA 02167 MORTGAGE AMOUNT : 430,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,577.41 ANNUAL RATE ADJUST: MONTHLY P&I : 3,117.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 58.10800 ---------------------------------------------------------------- 0 0031206261 MORTGAGORS: OSUJI EMMANUEL HARRIS CHELSEA REGION CODE ADDRESS : 8362 GOVERNORS RUN 01 CITY : ELLICOTT CITY STATE/ZIP : MD 21043 MORTGAGE AMOUNT : 370,400.00 OPTION TO CONVERT : UNPAID BALANCE : 368,969.01 ANNUAL RATE ADJUST: MONTHLY P&I : 2,589.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,524,100.00 P & I AMT: 10,878.82 UPB AMT: 1,514,488.27 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 30 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031234164 MORTGAGORS: YEUNG WILLIAM YEUNG SHIRLEY REGION CODE ADDRESS : 18396 MILL COURT 01 CITY : SARATOGA STATE/ZIP : CA 95070 MORTGAGE AMOUNT : 373,000.00 OPTION TO CONVERT : UNPAID BALANCE : 371,632.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,640.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.42700 ---------------------------------------------------------------- 0 0031234412 MORTGAGORS: MILLER STUART MILLER CHARLOTTE REGION CODE ADDRESS : 4221 BECK AVENUE 01 CITY : STUDIO CITY AREA STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 402,500.00 OPTION TO CONVERT : UNPAID BALANCE : 401,293.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,814.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 70.00000 ---------------------------------------------------------------- 0 0031242324 MORTGAGORS: LAVEGLIA ANTHONY LAVEGLIA DEBORAH REGION CODE ADDRESS : 18 CRANFORD AVENUE 01 CITY : CRANFORD STATE/ZIP : NJ 07016 MORTGAGE AMOUNT : 254,900.00 OPTION TO CONVERT : UNPAID BALANCE : 254,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,870.37 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 74.97058 ---------------------------------------------------------------- 0 0031243298 MORTGAGORS: WISSA ROBERT WISSA NADIA REGION CODE ADDRESS : 6009 BAY PARK COURT 01 CITY : FLOWER MOUND STATE/ZIP : TX 75028 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,687.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,728.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.72700 ---------------------------------------------------------------- 0 0031245251 MORTGAGORS: BEHRENS JERRY BEHRENS DELIA REGION CODE ADDRESS : 4421 EAST VALLEY GATE DRIVE 01 CITY : ANAHEIM STATE/ZIP : CA 92807 MORTGAGE AMOUNT : 243,600.00 OPTION TO CONVERT : UNPAID BALANCE : 243,228.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,682.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.33300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,674,000.00 P & I AMT: 11,735.98 UPB AMT: 1,670,442.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 31 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031245301 MORTGAGORS: PARTELLOW MYLES REGION CODE ADDRESS : 162 ERICAS LANE 01 CITY : SAGAPONACK STATE/ZIP : NY 11962 MORTGAGE AMOUNT : 377,500.00 OPTION TO CONVERT : UNPAID BALANCE : 377,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,671.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 35.95200 ---------------------------------------------------------------- 0 0031253602 MORTGAGORS: ULANDER MARK ULANDER BELLE REGION CODE ADDRESS : 4482 SHADY POINT PLACE 01 CITY : CHANTILLY STATE/ZIP : VA 20151 MORTGAGE AMOUNT : 313,900.00 OPTION TO CONVERT : UNPAID BALANCE : 313,642.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,088.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0031267560 MORTGAGORS: DOUGLAS ROY DOUGLAS LAURENE REGION CODE ADDRESS : 6227 EAST CORTEZ DRIVE 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85254 MORTGAGE AMOUNT : 443,000.00 OPTION TO CONVERT : UNPAID BALANCE : 440,029.13 ANNUAL RATE ADJUST: MONTHLY P&I : 3,022.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.64300 ---------------------------------------------------------------- 0 0031275845 MORTGAGORS: WALCZYK JOHN MALONEY SUSAN REGION CODE ADDRESS : 106 BRIXTON ROAD 01 CITY : GARDEN CITY STATE/ZIP : NY 11530 MORTGAGE AMOUNT : 600,000.00 OPTION TO CONVERT : UNPAID BALANCE : 598,587.32 ANNUAL RATE ADJUST: MONTHLY P&I : 4,093.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031290190 MORTGAGORS: LUKITSH NANCY METCALFE MURRAY REGION CODE ADDRESS : 52 ROBIN ROAD 01 CITY : WESTON STATE/ZIP : MA 02193 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 649,007.76 ANNUAL RATE ADJUST: MONTHLY P&I : 4,489.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.89200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,384,400.00 P & I AMT: 16,364.80 UPB AMT: 2,378,766.91 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 32 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031309032 MORTGAGORS: LOMBARDO PIO KEATING-LOMBARDO VIVIAN REGION CODE ADDRESS : 49 EDGEHILL ROAD 01 CITY : NEWTON STATE/ZIP : MA 02167 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 358,054.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,455.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 32.72700 ---------------------------------------------------------------- 0 0031313927 MORTGAGORS: MILLER LOUISE PURVIANCE GABRIEL REGION CODE ADDRESS : 227 CHAPEL MANOR COURT 01 CITY : BALTIMORE STATE/ZIP : MD 21128 MORTGAGE AMOUNT : 250,450.00 OPTION TO CONVERT : UNPAID BALANCE : 250,254.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,708.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 94.98615 ---------------------------------------------------------------- 0 0031316029 MORTGAGORS: LAMM DANIEL REGION CODE ADDRESS : 920 MONTICELLO TERRACE 304 01 CITY : CHARLOTTE STATE/ZIP : NC 28204 MORTGAGE AMOUNT : 78,400.00 OPTION TO CONVERT : UNPAID BALANCE : 78,159.17 ANNUAL RATE ADJUST: MONTHLY P&I : 541.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 70.00000 ---------------------------------------------------------------- 0 0031321052 MORTGAGORS: KIEFNER KEITH KIEFNER SYDNEY REGION CODE ADDRESS : 2224 PROVIDENCE CANYON DRIVE 01 CITY : CHARLOTTE STATE/ZIP : NC 28270 MORTGAGE AMOUNT : 282,500.00 OPTION TO CONVERT : UNPAID BALANCE : 281,867.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,975.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.85600 ---------------------------------------------------------------- 0 0031322746 MORTGAGORS: BALSAMO PETER BALSAMO SUSAN REGION CODE ADDRESS : 405 HUNTER STREET 01 CITY : MAMARONECK STATE/ZIP : NY 10543 MORTGAGE AMOUNT : 190,000.00 OPTION TO CONVERT : UNPAID BALANCE : 189,717.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,328.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.20209 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,161,350.00 P & I AMT: 8,009.62 UPB AMT: 1,158,052.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 33 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031325228 MORTGAGORS: HERRAN AGUSTIN HERRAN ROSIEL REGION CODE ADDRESS : 15175 SW 212 STREET 01 CITY : MIAMI STATE/ZIP : FL 33187 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 498,907.42 ANNUAL RATE ADJUST: MONTHLY P&I : 3,538.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031339633 MORTGAGORS: LICHTSTEIN JULIE REGION CODE ADDRESS : 21 NORTH CHATSWORTH AVENUE 01 CITY : LARCHMONT STATE/ZIP : NY 10538 MORTGAGE AMOUNT : 43,000.00 OPTION TO CONVERT : UNPAID BALANCE : 42,969.65 ANNUAL RATE ADJUST: MONTHLY P&I : 308.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 58.90400 ---------------------------------------------------------------- 0 0031340896 MORTGAGORS: LIAW JIIN-JIA LEE PAUL REGION CODE ADDRESS : 25 AMHERST WAY 01 CITY : WEST WINDSOR STATE/ZIP : NJ 08550 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,803.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,596.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031341266 MORTGAGORS: WELLEK JEFFREY WELLEK ELIZABETH REGION CODE ADDRESS : 1414 SHERIDAN ROAD 01 CITY : HIGHLAND PARK STATE/ZIP : IL 60035 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 647,300.95 ANNUAL RATE ADJUST: MONTHLY P&I : 4,434.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 59.09091 ---------------------------------------------------------------- 0 0031343742 MORTGAGORS: ASAKA GARY ASAKA BARBARA REGION CODE ADDRESS : 2560 A NORTH SOUTHPORT AVENUE 01 CITY : CHICAGO STATE/ZIP : IL 60614 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,844.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.94936 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,733,000.00 P & I AMT: 11,949.94 UPB AMT: 1,727,825.79 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 34 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031344872 MORTGAGORS: KING MARK KING M. REGION CODE ADDRESS : 5545 S. ELM STREET 01 CITY : HINSDALE STATE/ZIP : IL 60521 MORTGAGE AMOUNT : 318,000.00 OPTION TO CONVERT : UNPAID BALANCE : 318,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,089.04 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 33.47300 ---------------------------------------------------------------- 0 0031344955 MORTGAGORS: HERSCH IRA HERSCH SHEILA REGION CODE ADDRESS : 37 COHAWNEY ROAD 01 CITY : SCARSDALE STATE/ZIP : NY 10583 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,743.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,327.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 44.93300 ---------------------------------------------------------------- 0 0031359706 MORTGAGORS: WADE BARBARA REGION CODE ADDRESS : 3106 CANTER WAY 01 CITY : DULUTH STATE/ZIP : GA 30097 MORTGAGE AMOUNT : 264,600.00 OPTION TO CONVERT : UNPAID BALANCE : 263,977.01 ANNUAL RATE ADJUST: MONTHLY P&I : 1,805.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99700 ---------------------------------------------------------------- 0 0031368871 MORTGAGORS: SCWARTZ JAY SCWARTZ BARBARA REGION CODE ADDRESS : 10 STONEHEDGE COURT 01 CITY : WARREN STATE/ZIP : NJ 07059 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,389.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 56.33800 ---------------------------------------------------------------- 0 0031369911 MORTGAGORS: LAURITSON PETER LAURITSON KRISTINE REGION CODE ADDRESS : 1838 THE STRAND 01 CITY : HERMOSA BEACH STATE/ZIP : CA 90254 MORTGAGE AMOUNT : 962,500.00 OPTION TO CONVERT : UNPAID BALANCE : 961,785.69 ANNUAL RATE ADJUST: MONTHLY P&I : 6,729.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 015 LTV : 70.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,282,100.00 P & I AMT: 15,714.31 UPB AMT: 2,279,895.64 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 35 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031371362 MORTGAGORS: UHLICH KEVIN UHLICH JUANITA REGION CODE ADDRESS : 15 VIAGGO LANE 01 CITY : FOOTHILL RANCH STATE/ZIP : CA 92610 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,322.41 ANNUAL RATE ADJUST: MONTHLY P&I : 2,037.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 84.28500 ---------------------------------------------------------------- 0 0031372618 MORTGAGORS: EVANGELISTA JOHN REGION CODE ADDRESS : 728 MARINE STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90405 MORTGAGE AMOUNT : 373,000.00 OPTION TO CONVERT : UNPAID BALANCE : 372,709.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,544.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 59.68000 ---------------------------------------------------------------- 0 0031375769 MORTGAGORS: EARLE KENNETH EARLE LUCY REGION CODE ADDRESS : 10842 FIGTREE COURT 01 CITY : SAN DIEGO STATE/ZIP : CA 92131 MORTGAGE AMOUNT : 400,050.00 OPTION TO CONVERT : UNPAID BALANCE : 398,720.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,661.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 71.43700 ---------------------------------------------------------------- 0 0031375777 MORTGAGORS: LEWONOWSKI MARK REGION CODE ADDRESS : 710 SOUTH UNION ST 01 CITY : ALEXANDRIA STATE/ZIP : VA 22314 MORTGAGE AMOUNT : 439,200.00 OPTION TO CONVERT : UNPAID BALANCE : 438,059.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,848.64 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031377138 MORTGAGORS: MURPHY STEPHEN MURPHY MARCY REGION CODE ADDRESS : 11 OSBORNE PL 01 CITY : TOWNSHIP OF BERNARDS TOWN STATE/ZIP : NJ 07920 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 450,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,069.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 69.23000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,957,250.00 P & I AMT: 13,162.00 UPB AMT: 1,953,810.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 36 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031378375 MORTGAGORS: CAUCHON PAUL REGION CODE ADDRESS : 25 MAINE STREET 01 CITY : KENNEBUNKPORT STATE/ZIP : ME 04046 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,813.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.05500 ---------------------------------------------------------------- 0 0031379670 MORTGAGORS: BLAKELEY CRAIG REGION CODE ADDRESS : 4936 SUNSET LANE 01 CITY : ANNANDALE STATE/ZIP : VA 22003 MORTGAGE AMOUNT : 469,500.00 OPTION TO CONVERT : UNPAID BALANCE : 468,448.16 ANNUAL RATE ADJUST: MONTHLY P&I : 3,282.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.30743 ---------------------------------------------------------------- 0 0031383144 MORTGAGORS: PURSELL JOHN PURSELL DONNA REGION CODE ADDRESS : A44 SURFSIDE 01 CITY : SEAL BEACH STATE/ZIP : CA 90743 MORTGAGE AMOUNT : 526,000.00 OPTION TO CONVERT : UNPAID BALANCE : 524,791.88 ANNUAL RATE ADJUST: MONTHLY P&I : 3,632.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 47.81800 ---------------------------------------------------------------- 0 0031387459 MORTGAGORS: KOWALSKI GERARD KOWALSKI SHANNON REGION CODE ADDRESS : 26 COLUMBUS DRIVE 01 CITY : MONMOUTH BEACH STATE/ZIP : NJ 07750 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,356.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031389976 MORTGAGORS: HENDRICK STEPHEN HENDRICK KATHLEEN REGION CODE ADDRESS : 7 WHISTLER LANE 01 CITY : SOUTHBOROUGH STATE/ZIP : MA 01772 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,070.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,146.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 58.61300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,816,500.00 P & I AMT: 12,688.02 UPB AMT: 1,812,480.90 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 37 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031391113 MORTGAGORS: NERUD STEVEN NERUD ANN REGION CODE ADDRESS : 27330 WOODLAWN COURT 01 CITY : VALENCIA STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 341,250.00 OPTION TO CONVERT : UNPAID BALANCE : 340,446.53 ANNUAL RATE ADJUST: MONTHLY P&I : 2,327.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99200 ---------------------------------------------------------------- 0 0031394026 MORTGAGORS: TEIGMAN MICHAEL TEIGMAN ROBYN REGION CODE ADDRESS : 260 WILMOT DRIVE 01 CITY : HEWLETT STATE/ZIP : NY 11557 MORTGAGE AMOUNT : 305,500.00 OPTION TO CONVERT : UNPAID BALANCE : 305,056.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,162.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.73800 ---------------------------------------------------------------- 0 0031397409 MORTGAGORS: JONES MICHAEL JONES LAURA REGION CODE ADDRESS : 5029 GUNDRY AVENUE 01 CITY : LONG BEACH STATE/ZIP : NV 90807 MORTGAGE AMOUNT : 117,000.00 OPTION TO CONVERT : UNPAID BALANCE : 116,613.03 ANNUAL RATE ADJUST: MONTHLY P&I : 778.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.12500 ---------------------------------------------------------------- 0 0031401508 MORTGAGORS: HOLLAR PATRICIA HOLLAR HOWARD REGION CODE ADDRESS : 17601 SWEETWOOD COURT 01 CITY : ROUND HILL STATE/ZIP : VA 20141 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,599.37 ANNUAL RATE ADJUST: MONTHLY P&I : 1,746.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031402308 MORTGAGORS: MYER STANLEY MYER CAROL REGION CODE ADDRESS : 12 KENWOOD ROAD 01 CITY : SOUTHHAMPTON STATE/ZIP : NY 11968 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,865.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.76600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,419,750.00 P & I AMT: 9,880.67 UPB AMT: 1,417,715.30 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 38 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031402704 MORTGAGORS: MOKRYNSKI DONALD SCHMIDT JULIE REGION CODE ADDRESS : 1 SUGARHILL ROAD 01 CITY : NYACK STATE/ZIP : NY 10960 MORTGAGE AMOUNT : 381,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,369.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,534.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.20000 ---------------------------------------------------------------- 0 0031411796 MORTGAGORS: MARLOW STEVE MARLOW DIANA REGION CODE ADDRESS : 5224 S FARMHOUSE PLACE 01 CITY : BOISE STATE/ZIP : ID 83716 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,952.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,099.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 71.46300 ---------------------------------------------------------------- 0 0031414899 MORTGAGORS: MILLER MICHAEL MILLER ARLENE REGION CODE ADDRESS : 3420 BENEDIX WAY 01 CITY : ELK GROVE STATE/ZIP : CA 95758 MORTGAGE AMOUNT : 264,250.00 OPTION TO CONVERT : UNPAID BALANCE : 264,063.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,893.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.97700 ---------------------------------------------------------------- 0 0031415391 MORTGAGORS: ZAMORA ALBERTO ZAMORA CATHERINE REGION CODE ADDRESS : 10425 SW 89 PLACE 01 CITY : MIAMI STATE/ZIP : FL 33176 MORTGAGE AMOUNT : 405,000.00 OPTION TO CONVERT : UNPAID BALANCE : 404,069.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,797.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031419419 MORTGAGORS: WILKINS ROBERT WILKINS SARAH REGION CODE ADDRESS : 2310 BLACKHEATH TRACE 01 CITY : ALPHARETTA STATE/ZIP : GA 30201 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,721.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,622.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 49.66800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,718,250.00 P & I AMT: 11,946.30 UPB AMT: 1,715,176.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 39 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031420342 MORTGAGORS: ABEBE ETHIOPIA REGION CODE ADDRESS : 2326 COLD MEADOW WAY 01 CITY : SILVER SPRINGS STATE/ZIP : MD 20906 MORTGAGE AMOUNT : 178,000.00 OPTION TO CONVERT : UNPAID BALANCE : 177,640.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,259.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 94.17900 ---------------------------------------------------------------- 0 0031427081 MORTGAGORS: BOINSKE CHARLES BOINSKE LAURA REGION CODE ADDRESS : 30 TURNSTONE WAY 01 CITY : DOWNINGTOWN STATE/ZIP : PA 19335 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,796.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.14700 ---------------------------------------------------------------- 0 0031427149 MORTGAGORS: LUKOFF MARSHALL LUKOFF JANE REGION CODE ADDRESS : 405 COMMONWEALTH AVENUE 01 CITY : NEWTON STATE/ZIP : MA 02159 MORTGAGE AMOUNT : 634,000.00 OPTION TO CONVERT : UNPAID BALANCE : 633,102.17 ANNUAL RATE ADJUST: MONTHLY P&I : 4,542.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 57.63600 ---------------------------------------------------------------- 0 0031428758 MORTGAGORS: MCGUIRE DANIEL MELSKY BETH REGION CODE ADDRESS : 11 MACKAY WAY 01 CITY : SANDSTONE STATE/ZIP : NY 11576 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 50.25100 ---------------------------------------------------------------- 0 0031433659 MORTGAGORS: LISS JESSE LISS GLORIA REGION CODE ADDRESS : 6220 SW 144 STREET 01 CITY : MIAMI STATE/ZIP : FL 33158 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,453.73 ANNUAL RATE ADJUST: MONTHLY P&I : 1,769.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 43.10300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,682,000.00 P & I AMT: 11,814.98 UPB AMT: 1,680,196.77 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 40 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031440217 MORTGAGORS: HAZEL RICHARD REGION CODE ADDRESS : 338 NORTH MAIN STREET 01 CITY : SOUTHAMPTON STATE/ZIP : NY 11968 MORTGAGE AMOUNT : 200,000.00 OPTION TO CONVERT : UNPAID BALANCE : 200,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,432.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 44.44400 ---------------------------------------------------------------- 0 0031441033 MORTGAGORS: JENNINGS JOHN JENNINGS TRACY REGION CODE ADDRESS : 11717 SOUTH GRANITE 01 CITY : TULSA STATE/ZIP : OK 74137 MORTGAGE AMOUNT : 263,200.00 OPTION TO CONVERT : UNPAID BALANCE : 263,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031443781 MORTGAGORS: HESSIAN THOMAS HESSIAN KAREN REGION CODE ADDRESS : 4990 MEADVILLE STREET 01 CITY : GREENWOOD STATE/ZIP : MN 55331 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 352,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,461.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031444482 MORTGAGORS: LUMPKIN LORI TAYLOR ALLISON REGION CODE ADDRESS : 3 ARCOLA AVENUE 01 CITY : DURHAM STATE/ZIP : NC 27705 MORTGAGE AMOUNT : 248,850.00 OPTION TO CONVERT : UNPAID BALANCE : 248,278.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,718.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.79345 ---------------------------------------------------------------- 0 0031445117 MORTGAGORS: SEYMOUR LARRY REGION CODE ADDRESS : 1045 HUDSON CT 01 CITY : BARTLETT STATE/ZIP : IL 60103 MORTGAGE AMOUNT : 276,500.00 OPTION TO CONVERT : UNPAID BALANCE : 276,309.71 ANNUAL RATE ADJUST: MONTHLY P&I : 2,004.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,340,550.00 P & I AMT: 9,480.54 UPB AMT: 1,339,788.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 41 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031446073 MORTGAGORS: DRAPER ELISABETH SEAMEN RICHARD REGION CODE ADDRESS : 36 GREENOUGH AVENUE 01 CITY : JAMAICA PLAIN STATE/ZIP : MA 02130 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,066.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,923.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/23 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 61.53800 ---------------------------------------------------------------- 0 0031446164 MORTGAGORS: DAVILA OSCAR REGION CODE ADDRESS : 13063 VIA GRIMALDI 01 CITY : DEL MAR STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 519,000.00 OPTION TO CONVERT : UNPAID BALANCE : 518,574.58 ANNUAL RATE ADJUST: MONTHLY P&I : 3,452.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031446297 MORTGAGORS: BAUMANN RICHARD BAUMANN MICHELLE REGION CODE ADDRESS : 46 CHICHESTER AVENUE 01 CITY : CENTER MORICHES STATE/ZIP : NY 11934 MORTGAGE AMOUNT : 121,300.00 OPTION TO CONVERT : UNPAID BALANCE : 121,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 827.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 93.30700 ---------------------------------------------------------------- 0 0031446578 MORTGAGORS: BARNETT ALAN BARNETT MELISSA REGION CODE ADDRESS : 1851 KIMBERLY LANE 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 1,400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 1,398,986.72 ANNUAL RATE ADJUST: MONTHLY P&I : 9,909.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 015 LTV : 66.66600 ---------------------------------------------------------------- 0 0031447584 MORTGAGORS: NICK THOMAS NICK ANN REGION CODE ADDRESS : 2525 RIDGEWAY AVENUE 01 CITY : EVANSTON STATE/ZIP : IL 60201 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,128.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 60.49100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,760,300.00 P & I AMT: 19,242.00 UPB AMT: 2,757,928.07 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 42 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031449374 MORTGAGORS: HOFFMAN EDWARD HOFFMAN KATHLEEN REGION CODE ADDRESS : 312 OLYMPIC 01 CITY : ROCKPORT STATE/ZIP : TX 78382 MORTGAGE AMOUNT : 332,000.00 OPTION TO CONVERT : UNPAID BALANCE : 331,237.46 ANNUAL RATE ADJUST: MONTHLY P&I : 2,293.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031450695 MORTGAGORS: REED DAVID THOMSON SUE REGION CODE ADDRESS : 134 CHRISTOPHER LANE 01 CITY : OJAI STATE/ZIP : CA 93023 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,344.46 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031453020 MORTGAGORS: GRIMES JOHN LEWIS HENRY REGION CODE ADDRESS : 129 BANK STREET 01 CITY : NEW YORK STATE/ZIP : NY 10014 MORTGAGE AMOUNT : 560,000.00 OPTION TO CONVERT : UNPAID BALANCE : 560,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,011.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 70.00000 ---------------------------------------------------------------- 0 0031456437 MORTGAGORS: STEADMAN RANDY STEADMAN DEBRA REGION CODE ADDRESS : 17307 N E 26TH COURT 01 CITY : REDMOND STATE/ZIP : WA 98052 MORTGAGE AMOUNT : 329,500.00 OPTION TO CONVERT : UNPAID BALANCE : 328,779.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,332.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.62700 ---------------------------------------------------------------- 0 0031458748 MORTGAGORS: KAVINOKY MARTIN REGION CODE ADDRESS : 24036 ARMINTA STREET 01 CITY : WEST HILLS STATE/ZIP : CA 91304 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,712.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,510.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.82600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,889,500.00 P & I AMT: 13,270.93 UPB AMT: 1,887,074.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 43 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031463722 MORTGAGORS: GUIMARIN MITCHEL GUIMARIN DONNA REGION CODE ADDRESS : 4971 LASSEN DRIVE 01 CITY : OCEANSIDE STATE/ZIP : CA 92056 MORTGAGE AMOUNT : 241,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,499.15 ANNUAL RATE ADJUST: MONTHLY P&I : 1,747.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 78.62900 ---------------------------------------------------------------- 0 0031464597 MORTGAGORS: MCKEON PAUL MCKEON NANETTE REGION CODE ADDRESS : 76 MAYWOOD ROAD 01 CITY : NORWALK STATE/ZIP : CT 06850 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 329,755.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,307.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 68.75000 ---------------------------------------------------------------- 0 0031464738 MORTGAGORS: BENYAHIA KARIM VAN CLEEMPUT PASCALE REGION CODE ADDRESS : 3659 NE 201 STREET 01 CITY : AVENTURA STATE/ZIP : FL 33180 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,215.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031465560 MORTGAGORS: RICHARDS ROSS RICHARDS TAMARA REGION CODE ADDRESS : 116 WEST VISTA AVENUE 01 CITY : PHOENIX STATE/ZIP : AZ 85021 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,374.03 ANNUAL RATE ADJUST: MONTHLY P&I : 2,728.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031467079 MORTGAGORS: BUSH JOSEPH BUSH MONICA REGION CODE ADDRESS : 14016 EAGLE CHASE CIRCLE 01 CITY : CHANTILLY STATE/ZIP : VA 20151 MORTGAGE AMOUNT : 260,500.00 OPTION TO CONVERT : UNPAID BALANCE : 260,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,733.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,581,500.00 P & I AMT: 10,963.90 UPB AMT: 1,579,344.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 44 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031468341 MORTGAGORS: DECARLO CESARE DECARLO MARIA REGION CODE ADDRESS : 3808 UNIVERSITY AVENUE N.W. 01 CITY : WASHINGTON STATE/ZIP : DC 20016 MORTGAGE AMOUNT : 328,150.00 OPTION TO CONVERT : UNPAID BALANCE : 327,636.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,238.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 43.75300 ---------------------------------------------------------------- 0 0031469299 MORTGAGORS: RATAJ WALTER RATAJ SABINA REGION CODE ADDRESS : 121 MACK HILL RD 01 CITY : AMHERST STATE/ZIP : NH 03031 MORTGAGE AMOUNT : 241,500.00 OPTION TO CONVERT : UNPAID BALANCE : 241,329.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,730.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 71.87500 ---------------------------------------------------------------- 0 0031471634 MORTGAGORS: DILLON ROBERT DILLON JILL REGION CODE ADDRESS : 33 IMPOUNDING DAM ROAD 01 CITY : HANOVER STATE/ZIP : PA 17331 MORTGAGE AMOUNT : 372,500.00 OPTION TO CONVERT : UNPAID BALANCE : 372,216.56 ANNUAL RATE ADJUST: MONTHLY P&I : 2,572.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.75900 ---------------------------------------------------------------- 0 0031472145 MORTGAGORS: HOWLAND PAMELA BOHAC JAMES REGION CODE ADDRESS : 910 SISKIYOU DRIVE 01 CITY : MENLO PARK STATE/ZIP : CA 94025 MORTGAGE AMOUNT : 520,000.00 OPTION TO CONVERT : UNPAID BALANCE : 518,557.52 ANNUAL RATE ADJUST: MONTHLY P&I : 3,635.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 61.17647 ---------------------------------------------------------------- 0 0031472186 MORTGAGORS: LUCAS LINDA REGION CODE ADDRESS : 10 MELENY ROAD 01 CITY : LOCUST VALLEY STATE/ZIP : NY 11560 MORTGAGE AMOUNT : 156,000.00 OPTION TO CONVERT : UNPAID BALANCE : 159,912.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,104.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 45.21700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,618,150.00 P & I AMT: 11,281.54 UPB AMT: 1,619,652.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 45 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031472681 MORTGAGORS: HOLWEGER JAMES HOLWEGER MARIE REGION CODE ADDRESS : 3091 DELUNA DRIVE 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,283.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 50.00000 ---------------------------------------------------------------- 0 0031472855 MORTGAGORS: DUFF WILLIAM DUFF PAULA REGION CODE ADDRESS : 55 HAHNEMANN LANE 01 CITY : NAPA STATE/ZIP : CA 94558 MORTGAGE AMOUNT : 272,700.00 OPTION TO CONVERT : UNPAID BALANCE : 272,487.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,860.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99061 ---------------------------------------------------------------- 0 0031474034 MORTGAGORS: RYAN JOHN RYAN MARGARET REGION CODE ADDRESS : 34 UPWEY ROAD 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,478.65 ANNUAL RATE ADJUST: MONTHLY P&I : 2,189.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 56.52100 ---------------------------------------------------------------- 0 0031476732 MORTGAGORS: TEIXEIRA JOAO TEIXEIRA MAE REGION CODE ADDRESS : 109 ROCKY KNOLL DRIVE 01 CITY : STOUGHTON STATE/ZIP : MA 02072 MORTGAGE AMOUNT : 253,600.00 OPTION TO CONVERT : UNPAID BALANCE : 253,249.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,838.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031476773 MORTGAGORS: WILLIAMS JOHN WILLIAMS LEA REGION CODE ADDRESS : 24 HARBORVIEW DRIVE 01 CITY : RYE STATE/ZIP : NH 03870 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,189.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,263.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,507,300.00 P & I AMT: 10,389.84 UPB AMT: 1,504,687.92 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 46 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031478753 MORTGAGORS: LEE SANG LEE JUNG REGION CODE ADDRESS : 3464 MAUNALOA AVENUE 01 CITY : HONOLULU STATE/ZIP : HI 96816 MORTGAGE AMOUNT : 570,000.00 OPTION TO CONVERT : UNPAID BALANCE : 568,815.44 ANNUAL RATE ADJUST: MONTHLY P&I : 4,132.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 73.54800 ---------------------------------------------------------------- 0 0031479793 MORTGAGORS: CUTLER DEBORAH REGION CODE ADDRESS : 61 JANE STREET # 9L 01 CITY : NEW YORK STATE/ZIP : NY 10014 MORTGAGE AMOUNT : 150,000.00 OPTION TO CONVERT : UNPAID BALANCE : 150,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,061.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 54.54500 ---------------------------------------------------------------- 0 0031479843 MORTGAGORS: GOLDMAN DIANE GOLDMAN ANDREW REGION CODE ADDRESS : 13 NOTTINGHAM ROAD 01 CITY : LIVINGSTON STATE/ZIP : NJ 07039 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 500,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,453.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.12500 ---------------------------------------------------------------- 0 0031481690 MORTGAGORS: BLITZ LAWRENCE BLITZ ELAINE REGION CODE ADDRESS : 3 STAFFORD PLACE 01 CITY : MONTVILLE STATE/ZIP : NJ 07082 MORTGAGE AMOUNT : 528,300.00 OPTION TO CONVERT : UNPAID BALANCE : 528,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,693.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031482102 MORTGAGORS: BRINKMAN JAMES BRINKMAN NANCY REGION CODE ADDRESS : 4210 HOWARD AVE 01 CITY : WESTERN SPRINGS STATE/ZIP : IL 60558 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 391,716.28 ANNUAL RATE ADJUST: MONTHLY P&I : 2,774.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.40000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,140,300.00 P & I AMT: 15,116.48 UPB AMT: 2,138,831.72 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 47 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031482516 MORTGAGORS: LEVY RICHARD REGION CODE ADDRESS : 7321 DARTMOOR CROSSING 01 CITY : FAYETTEVILLE STATE/ZIP : NY 13066 MORTGAGE AMOUNT : 296,800.00 OPTION TO CONVERT : UNPAID BALANCE : 295,865.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,024.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.94949 ---------------------------------------------------------------- 0 0031483498 MORTGAGORS: MORRISEY IRWIN REGION CODE ADDRESS : 12 GREENVIEW DRIVE 01 CITY : CHESTERFIELD TWP STATE/ZIP : NJ 08620 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,794.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,010.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.88800 ---------------------------------------------------------------- 0 0031484413 MORTGAGORS: MAYOL JUAN MAYOL LINDA REGION CODE ADDRESS : 637 MAJORCA AVENUE 01 CITY : CORAL GABLES STATE/ZIP : FL 33134 MORTGAGE AMOUNT : 319,000.00 OPTION TO CONVERT : UNPAID BALANCE : 318,285.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,230.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.94900 ---------------------------------------------------------------- 0 0031486855 MORTGAGORS: RICHARDSON MICHAEL RICHARDSON DEBORAH REGION CODE ADDRESS : 4917 ROCKBLUFF DRIVE 01 CITY : ROLLING HILLS EST STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 296,250.00 OPTION TO CONVERT : UNPAID BALANCE : 295,569.55 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031488471 MORTGAGORS: HEWITT STEPHEN RAPHAEL STACEY REGION CODE ADDRESS : 17615 MAHONY PLACE 01 CITY : GRANADA HILLS STATE/ZIP : CA 91344 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,672.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,661.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,596,050.00 P & I AMT: 10,972.66 UPB AMT: 1,593,186.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 48 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031488612 MORTGAGORS: LOPEZ ARLINE REGION CODE ADDRESS : 23 SHELBURNE DRIVE 01 CITY : OAK BROOK STATE/ZIP : IL 60523 MORTGAGE AMOUNT : 357,000.00 OPTION TO CONVERT : UNPAID BALANCE : 356,728.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,465.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 48.90400 ---------------------------------------------------------------- 0 0031488851 MORTGAGORS: LOWY HOWARD LOWY SUSAN REGION CODE ADDRESS : 3 BRIDAL FARMS 01 CITY : BEVERLY FARMS STATE/ZIP : MA 01915 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,672.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,661.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 65.30600 ---------------------------------------------------------------- 0 0031489149 MORTGAGORS: DAVID ALAN DAVID BRENDA REGION CODE ADDRESS : 1030 EAGLE RIDGE WAY 01 CITY : MILPITAS STATE/ZIP : CA 95035 MORTGAGE AMOUNT : 350,500.00 OPTION TO CONVERT : UNPAID BALANCE : 350,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,361.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 63.72700 ---------------------------------------------------------------- 0 0031489354 MORTGAGORS: KURKER JONATHAN KURKER SANDRA REGION CODE ADDRESS : 7 HAWTHORNE DRIVE 01 CITY : MEDFIELD STATE/ZIP : MA 02052 MORTGAGE AMOUNT : 297,500.00 OPTION TO CONVERT : UNPAID BALANCE : 297,290.03 ANNUAL RATE ADJUST: MONTHLY P&I : 2,131.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031489503 MORTGAGORS: GARDELL PETER SANDOLO MARIA REGION CODE ADDRESS : 20 KRAMER LANE 01 CITY : WESTON STATE/ZIP : CT 06883 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,618.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,789.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,661,000.00 P & I AMT: 11,409.63 UPB AMT: 1,659,809.33 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 49 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031490659 MORTGAGORS: ROOP JEFFREY ROOP SUZANNE REGION CODE ADDRESS : 4 DREWS CROSSING 01 CITY : WESTFORD STATE/ZIP : MA 01886 MORTGAGE AMOUNT : 250,400.00 OPTION TO CONVERT : UNPAID BALANCE : 249,755.46 ANNUAL RATE ADJUST: MONTHLY P&I : 1,809.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/23 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031491889 MORTGAGORS: LAMPERT SUSAN LAMPERT DARREN REGION CODE ADDRESS : 8 HOBBY LANE 01 CITY : BEDFORD STATE/ZIP : NY 10506 MORTGAGE AMOUNT : 875,000.00 OPTION TO CONVERT : UNPAID BALANCE : 875,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 6,193.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 015 LTV : 70.00000 ---------------------------------------------------------------- 0 0031492143 MORTGAGORS: LUSTIG DAYNA REGION CODE ADDRESS : 130 EAST 17TH ST #5A 01 CITY : NEW YORK STATE/ZIP : NY 10003 MORTGAGE AMOUNT : 86,000.00 OPTION TO CONVERT : UNPAID BALANCE : 86,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 608.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 53.75000 ---------------------------------------------------------------- 0 0031492564 MORTGAGORS: KINNEY GREG KINNEY JOAN REGION CODE ADDRESS : 6104 SOUTH MOLINE WAY 01 CITY : ENGLEWOOD STATE/ZIP : CO 80111 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,617.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,934.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 73.36900 ---------------------------------------------------------------- 0 0031497472 MORTGAGORS: SIEMBIEDA CHRISTIAN SOLOMON LORI REGION CODE ADDRESS : 301 EAST 87TH STREET #19B 01 CITY : NEW YORK STATE/ZIP : NY 10128 MORTGAGE AMOUNT : 81,000.00 OPTION TO CONVERT : UNPAID BALANCE : 81,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 559.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,562,400.00 P & I AMT: 11,105.58 UPB AMT: 1,561,373.10 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 50 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031499007 MORTGAGORS: DALY BRIAN DALY MARY REGION CODE ADDRESS : 3014 MAINSTONE DRIVE 01 CITY : FAIRFAX STATE/ZIP : VA 22031 MORTGAGE AMOUNT : 265,350.00 OPTION TO CONVERT : UNPAID BALANCE : 265,157.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,878.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.98700 ---------------------------------------------------------------- 0 0031499296 MORTGAGORS: SPICER ROBERT SPICER CINDA REGION CODE ADDRESS : 7223 HOLYOKE DRIVE 01 CITY : DALLAS STATE/ZIP : TX 75248 MORTGAGE AMOUNT : 280,250.00 OPTION TO CONVERT : UNPAID BALANCE : 280,031.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,911.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031500143 MORTGAGORS: FRENCH JEFFREY REGION CODE ADDRESS : 10210 DONLEY DRIVE 01 CITY : IRVING, STATE/ZIP : TX 75063 MORTGAGE AMOUNT : 145,550.00 OPTION TO CONVERT : UNPAID BALANCE : 145,441.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,017.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.98700 ---------------------------------------------------------------- 0 0031500184 MORTGAGORS: ABAD EDWARD SORIANO-ABAD GRACE REGION CODE ADDRESS : 106 PARKGROVE DRIVE 01 CITY : SOUTH SAN FRANCISCO STATE/ZIP : CA 94080 MORTGAGE AMOUNT : 413,600.00 OPTION TO CONVERT : UNPAID BALANCE : 413,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,927.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.95669 ---------------------------------------------------------------- 0 0031500366 MORTGAGORS: TARRANT DAVID TARRANT STACEY REGION CODE ADDRESS : 98 WREN TERRACE 01 CITY : QUINCY STATE/ZIP : MA 02169 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,786.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,729.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.28500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,364,750.00 P & I AMT: 9,464.88 UPB AMT: 1,364,018.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 51 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031500531 MORTGAGORS: MOLONEY THOMAS MOLONEY BARBARA REGION CODE ADDRESS : 464 MARSHALL ST 01 CITY : HOLLISTON STATE/ZIP : MA 07146 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,576.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,256.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.11700 ---------------------------------------------------------------- 0 0031502172 MORTGAGORS: SCHELL HANS SCHELL SUSAN REGION CODE ADDRESS : 8 MOUNTAIN WILLOW DRIVE 01 CITY : LITTLETON STATE/ZIP : CO 80127 MORTGAGE AMOUNT : 347,500.00 OPTION TO CONVERT : UNPAID BALANCE : 339,645.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,580.18 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 12/01/25 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 69.84900 ---------------------------------------------------------------- 0 0031506819 MORTGAGORS: COOKE RICHARD COOKE SUSAN REGION CODE ADDRESS : 8 NETHERWOOD ROAD 01 CITY : WINDHAM STATE/ZIP : NH 03087 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,810.01 ANNUAL RATE ADJUST: MONTHLY P&I : 1,789.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031508260 MORTGAGORS: OLMON STEPHEN OLMON MARIE REGION CODE ADDRESS : 3630 LANE RANCH PARKWAY 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 347,850.00 OPTION TO CONVERT : UNPAID BALANCE : 347,564.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,314.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99800 ---------------------------------------------------------------- 0 0031510829 MORTGAGORS: ZIMMERMANN LYNN ZIMMERMANN STEPHEN REGION CODE ADDRESS : 7 COACHMANS PLACE 01 CITY : WILTON STATE/ZIP : CT 06897 MORTGAGE AMOUNT : 496,400.00 OPTION TO CONVERT : UNPAID BALANCE : 495,993.11 ANNUAL RATE ADJUST: MONTHLY P&I : 3,302.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,762,750.00 P & I AMT: 12,243.68 UPB AMT: 1,753,590.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 52 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031511017 MORTGAGORS: FENNER CLARKE FENNER ELIZABETH REGION CODE ADDRESS : 2 LIBBY LANE 01 CITY : RYE STATE/ZIP : NH 03870 MORTGAGE AMOUNT : 550,000.00 OPTION TO CONVERT : UNPAID BALANCE : 549,601.92 ANNUAL RATE ADJUST: MONTHLY P&I : 3,892.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.89500 ---------------------------------------------------------------- 0 0031513310 MORTGAGORS: GEORGES EMMANUEL GEORGES JANY REGION CODE ADDRESS : 5732 W WARREN STREET 01 CITY : MORTON GROVE STATE/ZIP : IL 60053 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,684.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.28500 ---------------------------------------------------------------- 0 0031513526 MORTGAGORS: CLARK SEDGWICK KANE MARGARET REGION CODE ADDRESS : 74 NORTH WOODS LANE 01 CITY : EAST HAMPTON STATE/ZIP : NY 11937 MORTGAGE AMOUNT : 252,347.03 OPTION TO CONVERT : UNPAID BALANCE : 252,347.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,764.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 49.09400 ---------------------------------------------------------------- 0 0031513807 MORTGAGORS: JAKOVICS TRACEY KERSLEY IAN REGION CODE ADDRESS : 10 SUNSET RD 01 CITY : BEDFORD STATE/ZIP : MA 01730 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,805.91 ANNUAL RATE ADJUST: MONTHLY P&I : 1,970.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 87.30100 ---------------------------------------------------------------- 0 0031514821 MORTGAGORS: GRIFFIN ANTHONY GRIFFIN KATHLEEN REGION CODE ADDRESS : 219 AVENUE F 01 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 560,000.00 OPTION TO CONVERT : UNPAID BALANCE : 559,584.40 ANNUAL RATE ADJUST: MONTHLY P&I : 3,915.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 69.13500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,887,347.03 P & I AMT: 13,227.35 UPB AMT: 1,886,339.26 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 53 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031516073 MORTGAGORS: GREENE JEFFREY GREENE MIRIAM REGION CODE ADDRESS : 440 EAST 56TH STREET # 10 C 01 CITY : NEW YORK STATE/ZIP : NY 10023 MORTGAGE AMOUNT : 447,000.00 OPTION TO CONVERT : UNPAID BALANCE : 447,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,163.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 61.65500 ---------------------------------------------------------------- 0 0031516149 MORTGAGORS: ORR MARIAN REGION CODE ADDRESS : 1930 CASA DE ELEGANTE COURT 01 CITY : LAS VEGAS STATE/ZIP : NV 89117 MORTGAGE AMOUNT : 306,200.00 OPTION TO CONVERT : UNPAID BALANCE : 305,777.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,220.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 68.04400 ---------------------------------------------------------------- 0 0031516297 MORTGAGORS: SULLIVAN PATRICK SULLIVAN NANCY REGION CODE ADDRESS : 180 BUCKINGHAM ROAD 01 CITY : ROCKY RIVER STATE/ZIP : OH 44116 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,981.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031516420 MORTGAGORS: MORGAN KATHRYN REGION CODE ADDRESS : 12262 SKY LANE 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 702,500.00 OPTION TO CONVERT : UNPAID BALANCE : 701,965.46 ANNUAL RATE ADJUST: MONTHLY P&I : 4,851.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 015 LTV : 70.25000 ---------------------------------------------------------------- 0 0031516669 MORTGAGORS: MOON ALBERT MOON DANA REGION CODE ADDRESS : 9021 CULBERSON DRIVE 01 CITY : PLANO STATE/ZIP : TX 75025 MORTGAGE AMOUNT : 114,750.00 OPTION TO CONVERT : UNPAID BALANCE : 114,664.84 ANNUAL RATE ADJUST: MONTHLY P&I : 802.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.97000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,850,450.00 P & I AMT: 13,020.16 UPB AMT: 1,849,407.47 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 54 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031517329 MORTGAGORS: MONTGOMERY GENE MONTGOMERY COLLEEN REGION CODE ADDRESS : 3729 MARTIN DRIVE 01 CITY : SAN MATEO STATE/ZIP : CA 94403 MORTGAGE AMOUNT : 284,500.00 OPTION TO CONVERT : UNPAID BALANCE : 284,283.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,964.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.86600 ---------------------------------------------------------------- 0 0031518863 MORTGAGORS: LOWER JOHN LOWER CAROL REGION CODE ADDRESS : 414 RED BIRCH COURT 01 CITY : RIDGEWOOD STATE/ZIP : NJ 07450 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 384,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,587.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031519432 MORTGAGORS: HART RICHARD HART KATHLEEN REGION CODE ADDRESS : 5 ALLEN WAY 01 CITY : RANDOLPH TWP STATE/ZIP : NJ 07869 MORTGAGE AMOUNT : 305,600.00 OPTION TO CONVERT : UNPAID BALANCE : 305,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,136.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031519648 MORTGAGORS: SINKOVITZ JAMES SINKOVITZ JENNIFER REGION CODE ADDRESS : 4531 NEWARK ROAD 01 CITY : COCHRANVILLE STATE/ZIP : PA 19330 MORTGAGE AMOUNT : 310,500.00 OPTION TO CONVERT : UNPAID BALANCE : 310,275.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,197.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031520166 MORTGAGORS: NAHIRNY JAMES NAHIRNY JANET REGION CODE ADDRESS : 508 BRENTWOOD DR 01 CITY : ATLANTA STATE/ZIP : GA 30305 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,666.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,919.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,712,600.00 P & I AMT: 11,806.27 UPB AMT: 1,711,824.90 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 55 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031520471 MORTGAGORS: TCHON JEFFREY TCHON MICHELE REGION CODE ADDRESS : 3872 BLUFF STREET 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,546.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,978.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 77.33300 ---------------------------------------------------------------- 0 0031520679 MORTGAGORS: HUNTLEY RICHARD THIBAULT CHRISTINE REGION CODE ADDRESS : 604 BERKSHIRE LANE 01 CITY : COPPELL STATE/ZIP : TX 75019 MORTGAGE AMOUNT : 312,450.00 OPTION TO CONVERT : UNPAID BALANCE : 312,206.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,131.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 85.36800 ---------------------------------------------------------------- 0 0031521230 MORTGAGORS: KOBEY CYRIL KOBEY COURTNEY REGION CODE ADDRESS : 881 THOMAS AVENUE #1 01 CITY : SAN DIEGO STATE/ZIP : CA 92109 MORTGAGE AMOUNT : 153,750.00 OPTION TO CONVERT : UNPAID BALANCE : 153,311.73 ANNUAL RATE ADJUST: MONTHLY P&I : 1,101.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- 0 0031521586 MORTGAGORS: KAMBERIAN VAN KAMBERIAN GLORIA REGION CODE ADDRESS : 15743 SIERRA HIGHWAY 01 CITY : CANYON COUNTRY STATE/ZIP : CA 91386 MORTGAGE AMOUNT : 431,250.00 OPTION TO CONVERT : UNPAID BALANCE : 430,654.47 ANNUAL RATE ADJUST: MONTHLY P&I : 3,126.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- 0 0031521594 MORTGAGORS: WONG ROBERT HWANG EUGENIA REGION CODE ADDRESS : 10733 INSPIRATION CIRCLE 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 429,350.00 OPTION TO CONVERT : UNPAID BALANCE : 429,350.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,965.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,616,800.00 P & I AMT: 11,303.54 UPB AMT: 1,615,068.62 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 56 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031522030 MORTGAGORS: FRUTKIN LARRY FRUTKIN DOLORES REGION CODE ADDRESS : 12132 ALDENHAM BLVD 01 CITY : FISHERS STATE/ZIP : IN 46038 MORTGAGE AMOUNT : 137,250.00 OPTION TO CONVERT : UNPAID BALANCE : 137,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 995.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 79.94100 ---------------------------------------------------------------- 0 0031522303 MORTGAGORS: PELTIN MARK MEEKINS CAROLE REGION CODE ADDRESS : 204 WEST MILLER DRIVE 01 CITY : MEQUON STATE/ZIP : WI 53092 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,746.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,477.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031522451 MORTGAGORS: ROBERTS ROBIN ROBERTS SHERRY REGION CODE ADDRESS : 1713 CANNONGATE ROAD 01 CITY : FOREST HILL STATE/ZIP : MD 21050 MORTGAGE AMOUNT : 277,400.00 OPTION TO CONVERT : UNPAID BALANCE : 277,194.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,939.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031522485 MORTGAGORS: RICHINS GARY RICHINS KIMBERLY REGION CODE ADDRESS : 61 SKYLINE COURT 01 CITY : BERLIN STATE/ZIP : MD 21811 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,710.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,831.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.19000 ---------------------------------------------------------------- 0 0031522519 MORTGAGORS: FRIED BRUCE FRIED KATHY REGION CODE ADDRESS : 1100 TERRACE GLEN 01 CITY : BALTIMORE STATE/ZIP : MD 21210 MORTGAGE AMOUNT : 254,400.00 OPTION TO CONVERT : UNPAID BALANCE : 253,949.84 ANNUAL RATE ADJUST: MONTHLY P&I : 1,628.96 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,419,050.00 P & I AMT: 9,872.21 UPB AMT: 1,417,851.13 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 57 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031522626 MORTGAGORS: GREELEY JAMES GREELEY NANCY REGION CODE ADDRESS : 4 GARFIELD LANE WEST 01 CITY : ANDOVER STATE/ZIP : MA 01810 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,708.02 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 77.61100 ---------------------------------------------------------------- 0 0031523772 MORTGAGORS: VAN DER WEIDE MARK ST. MARY MICHELE REGION CODE ADDRESS : 502 ROLAND STREET S.W. 01 CITY : VIENNA STATE/ZIP : VA 22180 MORTGAGE AMOUNT : 291,200.00 OPTION TO CONVERT : UNPAID BALANCE : 290,983.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,036.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031523863 MORTGAGORS: BERTRAM HARRY BERTRAM JUSTINE REGION CODE ADDRESS : 293 ELM STREET 01 CITY : NORTHAMPTON STATE/ZIP : MA 01060 MORTGAGE AMOUNT : 261,250.00 OPTION TO CONVERT : UNPAID BALANCE : 260,880.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,871.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031524010 MORTGAGORS: VAN NIMAN ROBERT SCHABEN KELLY REGION CODE ADDRESS : 441 N NELSON STREET 01 CITY : ARLINGTON STATE/ZIP : VA 22203 MORTGAGE AMOUNT : 267,600.00 OPTION TO CONVERT : UNPAID BALANCE : 267,396.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,848.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031525058 MORTGAGORS: SMITH KEVIN REGION CODE ADDRESS : 118 RIDGEWOOD AVENUE 01 CITY : GLEN RIDGE STATE/ZIP : NJ 07028 MORTGAGE AMOUNT : 432,000.00 OPTION TO CONVERT : UNPAID BALANCE : 432,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,983.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.78900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,512,050.00 P & I AMT: 10,447.74 UPB AMT: 1,511,260.29 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 58 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031525405 MORTGAGORS: MCWHORTER JOHN MCWHORTER SUZANNE REGION CODE ADDRESS : 2928 ROSEDALE AVENUE 01 CITY : UNIVERSITY PARK STATE/ZIP : TX 75205 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,526.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 68.80700 ---------------------------------------------------------------- 0 0031525884 MORTGAGORS: YAO FEI SUN XIAOWEI REGION CODE ADDRESS : 260 CANDLEDTICK ROAD 01 CITY : NORTH ANDOVER STATE/ZIP : MA 01845 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,583.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,106.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 65.33300 ---------------------------------------------------------------- 0 0031526023 MORTGAGORS: EDIDIN GARY EDIDIN MARCY REGION CODE ADDRESS : 715 HORATIO BLVD. 01 CITY : BUFFALO GROVE STATE/ZIP : IL 60089 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,976.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.93700 ---------------------------------------------------------------- 0 0031526437 MORTGAGORS: HALLOWELL WILLIAM HALLOWELL LAUREN REGION CODE ADDRESS : 112 NEARWATER LANE 01 CITY : DARIEN STATE/ZIP : CT 06820 MORTGAGE AMOUNT : 550,000.00 OPTION TO CONVERT : UNPAID BALANCE : 549,560.17 ANNUAL RATE ADJUST: MONTHLY P&I : 3,705.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 57.89400 ---------------------------------------------------------------- 0 0031526544 MORTGAGORS: GORSKI JOSEPH GORSKI TAMARA REGION CODE ADDRESS : 22 VALLEYWOOD ROAD 01 CITY : HOPKINTON STATE/ZIP : MA 01748 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,985.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,746,000.00 P & I AMT: 12,300.13 UPB AMT: 1,745,143.83 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 59 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031526742 MORTGAGORS: TUNICK KEVIN TUNICK PATRICIA REGION CODE ADDRESS : 134 KELLEHER STREET 01 CITY : MARLBOROUGH STATE/ZIP : MA 01752 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,093.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 72.85700 ---------------------------------------------------------------- 0 0031526791 MORTGAGORS: LEGAN BRUCE LEGAN KAREN REGION CODE ADDRESS : 15 HEARTHSTONE LANE 01 CITY : WILTON STATE/ZIP : CT 06897 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 460,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,216.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 56.44100 ---------------------------------------------------------------- 0 0031526833 MORTGAGORS: LEWIS WILLIAM LEWIS KATHLEEN REGION CODE ADDRESS : 6 CHAPEL LANE 01 CITY : GREENWICH STATE/ZIP : CT 06878 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,781.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,055.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 57.64700 ---------------------------------------------------------------- 0 0031526841 MORTGAGORS: AYAD ADEL AYAD HANAA REGION CODE ADDRESS : 57 PARK KNOLL DRIVE 01 CITY : EAST BRUNSWICK STATE/ZIP : NJ 08816 MORTGAGE AMOUNT : 263,250.00 OPTION TO CONVERT : UNPAID BALANCE : 263,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,863.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.81900 ---------------------------------------------------------------- 0 0031526916 MORTGAGORS: MAHLMAN ROBERT MAHLMAN NANCY REGION CODE ADDRESS : 5104 FLICKER FIELD CIRCLE 01 CITY : SARASOTA STATE/ZIP : FL 34231 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 235,837.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,711.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,508,250.00 P & I AMT: 10,939.94 UPB AMT: 1,507,869.39 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 60 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031527237 MORTGAGORS: MARSHALL WILLIAM SHADICK NANCY REGION CODE ADDRESS : 32 WHITNEY ROAD 01 CITY : NEWTON STATE/ZIP : MA 02160 MORTGAGE AMOUNT : 298,200.00 OPTION TO CONVERT : UNPAID BALANCE : 298,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,085.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 65.53800 ---------------------------------------------------------------- 0 0031527617 MORTGAGORS: BURGESS WILLIAM BURGESS JULIE REGION CODE ADDRESS : 7365 SIMMS LANDING ROAD 01 CITY : PORT TOBACCO STATE/ZIP : MD 20677 MORTGAGE AMOUNT : 234,000.00 OPTION TO CONVERT : UNPAID BALANCE : 233,615.26 ANNUAL RATE ADJUST: MONTHLY P&I : 1,556.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031527625 MORTGAGORS: JOHNSTON DOUGLAS JOHNSTON ANNE REGION CODE ADDRESS : 23 HARBOR HILL DRIVE 01 CITY : LLOYD HARBOR STATE/ZIP : NY 11743 MORTGAGE AMOUNT : 499,200.00 OPTION TO CONVERT : UNPAID BALANCE : 498,800.80 ANNUAL RATE ADJUST: MONTHLY P&I : 3,363.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031527716 MORTGAGORS: FLEISCHNER STEPHEN FLEISCHNER STACY REGION CODE ADDRESS : 4 CIDER MILL LANE 01 CITY : NORTH SALEM STATE/ZIP : NY 10560 MORTGAGE AMOUNT : 357,500.00 OPTION TO CONVERT : UNPAID BALANCE : 357,227.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,469.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.06300 ---------------------------------------------------------------- 0 0031529340 MORTGAGORS: SLOAN KATHERINE SLOAN WILIAM REGION CODE ADDRESS : 33 POND CIRCLE 01 CITY : BOSTON STATE/ZIP : MA 02130 MORTGAGE AMOUNT : 298,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,109.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.06200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,686,900.00 P & I AMT: 11,583.46 UPB AMT: 1,685,844.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 61 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031529738 MORTGAGORS: SIKORA DANA SIKORA REGINA REGION CODE ADDRESS : 0631 NEILSON GULCH ROAD 01 CITY : EAGLE STATE/ZIP : CO 81631 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,764.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,141.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 88.57100 ---------------------------------------------------------------- 0 0031530413 MORTGAGORS: ROSA RUSSELL REGION CODE ADDRESS : 21 LAFAYETTE ROAD 01 CITY : READING STATE/ZIP : MA 01867 MORTGAGE AMOUNT : 268,600.00 OPTION TO CONVERT : UNPAID BALANCE : 268,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,878.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031531437 MORTGAGORS: GILBERT DALE GILBERT BONNIE REGION CODE ADDRESS : 3 KIMBALL HILL DRIVE 01 CITY : HAVERHILL STATE/ZIP : MA 01830 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031531619 MORTGAGORS: JOHN SANSOM JOHN JESSY REGION CODE ADDRESS : 924 MORTONSBERRY DRIVE 01 CITY : NAPERVILLE STATE/ZIP : IL 60540 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,830.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.60200 ---------------------------------------------------------------- 0 0031532302 MORTGAGORS: GARCIA ROBERT GARCIA LI REGION CODE ADDRESS : 75 OLD TAPPAN ROAD 01 CITY : GLEN COVE STATE/ZIP : NY 11542 MORTGAGE AMOUNT : 565,000.00 OPTION TO CONVERT : UNPAID BALANCE : 560,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,950.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.47000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,648,600.00 P & I AMT: 11,437.28 UPB AMT: 1,643,364.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 62 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031532336 MORTGAGORS: IRONS STEVEN REGION CODE ADDRESS : 541 SPRING LANE 01 CITY : WYNDMOOR STATE/ZIP : PA 19038 MORTGAGE AMOUNT : 398,400.00 OPTION TO CONVERT : UNPAID BALANCE : 398,104.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,785.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031532559 MORTGAGORS: GRIP DANIEL GRIP KRISTIN REGION CODE ADDRESS : 6 ANDERS WAY 01 CITY : ACTON STATE/ZIP : MA 01720 MORTGAGE AMOUNT : 436,000.00 OPTION TO CONVERT : UNPAID BALANCE : 436,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,827.89 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031532658 MORTGAGORS: RAJAN SINGENELLORE RAJAN INDIRA REGION CODE ADDRESS : 90 WELLINGTON WAY 01 CITY : YORKTOWN HEIGHTS STATE/ZIP : NY 10598 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 449,674.31 ANNUAL RATE ADJUST: MONTHLY P&I : 3,185.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031532997 MORTGAGORS: LEBOUTHILLIER SALLY REGION CODE ADDRESS : 232 HURD STREET 01 CITY : FAIRFIELD STATE/ZIP : CT 06432 MORTGAGE AMOUNT : 234,900.00 OPTION TO CONVERT : UNPAID BALANCE : 234,550.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,642.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 92.15300 ---------------------------------------------------------------- 0 0031533003 MORTGAGORS: LEIBOWITZ HOWARD LEIBOWITZ CAROLYN REGION CODE ADDRESS : 11 FOX LANE 01 CITY : DIX HILLS STATE/ZIP : NY 11746 MORTGAGE AMOUNT : 283,500.00 OPTION TO CONVERT : UNPAID BALANCE : 283,289.61 ANNUAL RATE ADJUST: MONTHLY P&I : 1,982.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,802,800.00 P & I AMT: 12,423.35 UPB AMT: 1,801,618.52 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 63 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031533045 MORTGAGORS: NEALON LILIANA REGION CODE ADDRESS : 48 BROOKSIDE DRIVE 01 CITY : PLANDOME STATE/ZIP : NY 11030 MORTGAGE AMOUNT : 570,000.00 OPTION TO CONVERT : UNPAID BALANCE : 570,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,936.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 65.14200 ---------------------------------------------------------------- 0 0031533052 MORTGAGORS: JOHNSON CARRO JOHNSON DENNIS REGION CODE ADDRESS : 21 HASBROUCK DRIVE 01 CITY : FRANKLIN PARK STATE/ZIP : NJ 08823 MORTGAGE AMOUNT : 282,800.00 OPTION TO CONVERT : UNPAID BALANCE : 282,590.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,977.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.98900 ---------------------------------------------------------------- 0 0031533086 MORTGAGORS: ARONICA CHARLES ARONICA DEIRDRE REGION CODE ADDRESS : 5 EXECUTIVE COURT 01 CITY : DIX HILLS STATE/ZIP : NY 11746 MORTGAGE AMOUNT : 250,001.00 OPTION TO CONVERT : UNPAID BALANCE : 249,796.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,663.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 58.82300 ---------------------------------------------------------------- 0 0031533128 MORTGAGORS: KESSLER LON KESSLER KAREN REGION CODE ADDRESS : 116 SPYGLASS DRIVE 01 CITY : BLUE BELL STATE/ZIP : PA 19422 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,781.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,910.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031533169 MORTGAGORS: GRECO STEPHEN GRECO JUDITH REGION CODE ADDRESS : 1524 NIGHTSHADE COURT 01 CITY : VIENNA STATE/ZIP : VA 22182 MORTGAGE AMOUNT : 436,000.00 OPTION TO CONVERT : UNPAID BALANCE : 435,633.71 ANNUAL RATE ADJUST: MONTHLY P&I : 2,864.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,818,801.00 P & I AMT: 12,351.79 UPB AMT: 1,817,801.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 64 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031533185 MORTGAGORS: ROBINSON DAVID ROBINSON MELODY REGION CODE ADDRESS : 5317 DUNLEER LANE 01 CITY : BURKE STATE/ZIP : VA 22015 MORTGAGE AMOUNT : 179,920.00 OPTION TO CONVERT : UNPAID BALANCE : 179,783.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,242.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031533342 MORTGAGORS: HYLAND ROBERT HYLAND ELIZABETH REGION CODE ADDRESS : 34 CUSHMAN ROAD 01 CITY : WHITE PLAINS STATE/ZIP : NY 10606 MORTGAGE AMOUNT : 387,000.00 OPTION TO CONVERT : UNPAID BALANCE : 386,719.90 ANNUAL RATE ADJUST: MONTHLY P&I : 2,739.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.40000 ---------------------------------------------------------------- 0 0031533573 MORTGAGORS: FRASK JOSEPH FRASK SUZANNE REGION CODE ADDRESS : 118 KINGS WOOD DRIVE 01 CITY : AVON STATE/ZIP : CT 06001 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,684.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,470.05 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031533599 MORTGAGORS: FILKINS LAWRENCE FILKINS PATRICIA REGION CODE ADDRESS : 7 PRESTON DRIVE 01 CITY : MILLSTONE STATE/ZIP : NJ 08520 MORTGAGE AMOUNT : 251,920.00 OPTION TO CONVERT : UNPAID BALANCE : 251,746.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,826.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 78.72500 ---------------------------------------------------------------- 0 0031534043 MORTGAGORS: BURNS ERIC BURNS DIANNE REGION CODE ADDRESS : 15 OVERLOOK RD 01 CITY : WESTPORT STATE/ZIP : CT 06880 MORTGAGE AMOUNT : 490,000.00 OPTION TO CONVERT : UNPAID BALANCE : 490,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,468.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.40000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,684,840.00 P & I AMT: 11,746.66 UPB AMT: 1,683,933.75 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 65 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031534779 MORTGAGORS: LEONHARDT DAVIID ROBERTS CLARE REGION CODE ADDRESS : 2 BRIDLE LANE 01 CITY : CHESTER SPRINGS STATE/ZIP : PA 19425 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,711.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,172.80 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 79.78000 ---------------------------------------------------------------- 0 0031534886 MORTGAGORS: MORAN TIMOTHY MORAN PAMELA REGION CODE ADDRESS : 75 ALTA DRIVE 01 CITY : LA SELVA BEACH STATE/ZIP : CA 95076 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,459.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,292.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/18 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.31500 ---------------------------------------------------------------- 0 0031536238 MORTGAGORS: WISEMAN ALFRED WISEMAN JOAN REGION CODE ADDRESS : 6971 LIVINGSTON DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 451,500.00 OPTION TO CONVERT : UNPAID BALANCE : 451,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,080.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 56.43700 ---------------------------------------------------------------- 0 0031537673 MORTGAGORS: JOE MICHAEL JOE HOLLY REGION CODE ADDRESS : 12 CARDINAL DRIVE 01 CITY : WESTWOOD STATE/ZIP : MA 02090 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 65.84800 ---------------------------------------------------------------- 0 0031537897 MORTGAGORS: MINOR REGINALD MINOR SHEILA REGION CODE ADDRESS : 360 STEPHENSON ROAD 01 CITY : ORIENT STATE/ZIP : NY 11957 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,760.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,021.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.58800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,701,500.00 P & I AMT: 11,810.78 UPB AMT: 1,700,431.66 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 66 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031538143 MORTGAGORS: STEIN ANDREW STEIN ROBYN REGION CODE ADDRESS : 24 RAVENSWOOD LANE 01 CITY : SCOTCH PLAINS,TWP OF STATE/ZIP : NJ 07076 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,486.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.22600 ---------------------------------------------------------------- 0 0031539208 MORTGAGORS: MCAREE PETER MCAREE CATHERINE REGION CODE ADDRESS : 89 WEBSTER AVENUE 01 CITY : MANHASSET STATE/ZIP : NY 11030 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,753.46 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031539315 MORTGAGORS: GIGANTELLI JAMES GIGANTELLI MARIE REGION CODE ADDRESS : 18 DAHN DRIVE 01 CITY : SPARTA STATE/ZIP : NJ 07871 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,801.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,088.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.87500 ---------------------------------------------------------------- 0 0031539497 MORTGAGORS: MACCARELLA LOUIS MACCARELLA CHRISTINE REGION CODE ADDRESS : 9 OLD MILL ROAD 01 CITY : TOWNSHIP OF DENVILLE STATE/ZIP : NJ 07834 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,323.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,660.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031539570 MORTGAGORS: STECYK MARKIAN STECYK SHEILA REGION CODE ADDRESS : 245 STOW ROAD 01 CITY : MARLBOROUGH STATE/ZIP : MA 01752 MORTGAGE AMOUNT : 499,000.00 OPTION TO CONVERT : UNPAID BALANCE : 498,638.84 ANNUAL RATE ADJUST: MONTHLY P&I : 3,531.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.28500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,708,500.00 P & I AMT: 12,004.95 UPB AMT: 1,707,517.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 67 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031539596 MORTGAGORS: STETLER-STEVENSON WILLIAM STETLER-STEVENSON MARYALICE REGION CODE ADDRESS : 9608 BYEFORDE ROAD 01 CITY : KENSINGTON STATE/ZIP : MD 20895 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,568.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031540669 MORTGAGORS: HARAR MARTIN HARAR SHERYL REGION CODE ADDRESS : 13057 CHAMPLAIN DRIVE 01 CITY : MANASSAS STATE/ZIP : VA 20112 MORTGAGE AMOUNT : 239,000.00 OPTION TO CONVERT : UNPAID BALANCE : 238,799.21 ANNUAL RATE ADJUST: MONTHLY P&I : 1,570.06 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.93300 ---------------------------------------------------------------- 0 0031540966 MORTGAGORS: SCHNALL MATTHEW REGION CODE ADDRESS : 17 HAMBLEN STREET 01 CITY : LEXINGTON STATE/ZIP : MA 02173 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,756.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031541295 MORTGAGORS: PHILLIPS KEVIN RHILLIPS BARBARA REGION CODE ADDRESS : 8967 WOODWARD ROAD 01 CITY : MARSHALL STATE/ZIP : VA 20115 MORTGAGE AMOUNT : 231,200.00 OPTION TO CONVERT : UNPAID BALANCE : 231,028.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,616.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031541501 MORTGAGORS: LUCICH DAVID LUCICH DEBRA REGION CODE ADDRESS : 2 CHRISTOPHER COURT 01 CITY : NORWALK STATE/ZIP : CT 06851 MORTGAGE AMOUNT : 480,000.00 OPTION TO CONVERT : UNPAID BALANCE : 479,643.77 ANNUAL RATE ADJUST: MONTHLY P&I : 3,356.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,546,200.00 P & I AMT: 10,635.86 UPB AMT: 1,544,795.97 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 68 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031541550 MORTGAGORS: STOLYAR MIKHAIL STOLYAR TATYANA REGION CODE ADDRESS : 14105 GOODMAN STREET 01 CITY : OVERLAND PARK STATE/ZIP : KS 66223 MORTGAGE AMOUNT : 133,950.00 OPTION TO CONVERT : UNPAID BALANCE : 133,857.81 ANNUAL RATE ADJUST: MONTHLY P&I : 971.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 74.98700 ---------------------------------------------------------------- 0 0031541790 MORTGAGORS: EAST WALTER EAST CAMELIA REGION CODE ADDRESS : 500 DUSTY LANE 01 CITY : LINWOOD STATE/ZIP : NJ 08221 MORTGAGE AMOUNT : 246,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,817.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,720.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.28571 ---------------------------------------------------------------- 0 0031541832 MORTGAGORS: DICHIARA STEVEN REGION CODE ADDRESS : 8 BELMONT ST 01 CITY : SAUGUS STATE/ZIP : MA 01906 MORTGAGE AMOUNT : 108,000.00 OPTION TO CONVERT : UNPAID BALANCE : 107,925.67 ANNUAL RATE ADJUST: MONTHLY P&I : 783.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031542400 MORTGAGORS: ROWLETTE KELVIN ROWLETTE BARBARA REGION CODE ADDRESS : 663 POTTER AVENUE 01 CITY : HALF MOON BAY STATE/ZIP : CA 94019 MORTGAGE AMOUNT : 414,400.00 OPTION TO CONVERT : UNPAID BALANCE : 414,076.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,826.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031542426 MORTGAGORS: BARRETT HUGH BARRETT HELEN REGION CODE ADDRESS : 5315 POPLAR VALLEY COURT 01 CITY : CENTERVILLE STATE/ZIP : VA 20120 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,758.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,891.96 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,190,350.00 P & I AMT: 8,193.29 UPB AMT: 1,189,435.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 69 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031542806 MORTGAGORS: AKSAMIT MARIAN AKSAMIT JANINA REGION CODE ADDRESS : 59 SMITHFIELD 01 CITY : LAWRENCEVILLE, STATE/ZIP : NJ 08648 MORTGAGE AMOUNT : 103,200.00 OPTION TO CONVERT : UNPAID BALANCE : 103,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 721.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031542830 MORTGAGORS: KIST LOIS KIST ALBERT REGION CODE ADDRESS : 881 OCEAN DRIVE UNIT 19-D 01 CITY : KEY BISCAYNE STATE/ZIP : FL 33149 MORTGAGE AMOUNT : 292,500.00 OPTION TO CONVERT : UNPAID BALANCE : 292,282.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,045.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031543119 MORTGAGORS: WARD DAVID REGION CODE ADDRESS : 246 21ST STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90402 MORTGAGE AMOUNT : 550,000.00 OPTION TO CONVERT : UNPAID BALANCE : 549,581.50 ANNUAL RATE ADJUST: MONTHLY P&I : 3,798.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 36.66600 ---------------------------------------------------------------- 0 0031543671 MORTGAGORS: BURNS JAMES BURNS` KELLY REGION CODE ADDRESS : 1451 MERCER AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95125 MORTGAGE AMOUNT : 560,000.00 OPTION TO CONVERT : UNPAID BALANCE : 559,145.16 ANNUAL RATE ADJUST: MONTHLY P&I : 3,867.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031543960 MORTGAGORS: FRANK CLAIRE REGION CODE ADDRESS : 19 BISHOP AVE 01 CITY : WESTHAMPTON STATE/ZIP : NY 11977 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,834.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 60.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,745,700.00 P & I AMT: 12,173.45 UPB AMT: 1,744,044.42 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 70 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031543994 MORTGAGORS: GOTCHALL CURTIS GOTCHALL KIM REGION CODE ADDRESS : 8852 S. REDWING AVENUE 01 CITY : LITTLETON STATE/ZIP : CO 80126 MORTGAGE AMOUNT : 261,100.00 OPTION TO CONVERT : UNPAID BALANCE : 260,915.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,870.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.98724 ---------------------------------------------------------------- 0 0031544992 MORTGAGORS: MC DONALD JAMES MC DONALD LISA REGION CODE ADDRESS : 1231 SHENANDOAH ROAD 01 CITY : ALEXANDRIA STATE/ZIP : VA 22308 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,734.81 ANNUAL RATE ADJUST: MONTHLY P&I : 1,997.69 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031545171 MORTGAGORS: BRENDES MICHAEL BRENDES MARY REGION CODE ADDRESS : 47791 TUPELO CT 01 CITY : STERLING STATE/ZIP : VA 20165 MORTGAGE AMOUNT : 272,800.00 OPTION TO CONVERT : UNPAID BALANCE : 272,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,837.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031545239 MORTGAGORS: BROWN ERIC PHILLIPS-BROWN BEATRICE REGION CODE ADDRESS : 4913 LOOSESTRIFE COURT 01 CITY : ANNANDALE STATE/ZIP : VA 22003 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 235,796.80 ANNUAL RATE ADJUST: MONTHLY P&I : 1,530.70 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031545288 MORTGAGORS: RENKEN JOHN RENKEN LISA REGION CODE ADDRESS : 8501 FLORENCE AVENUE NE 01 CITY : ALBUQUERQUE STATE/ZIP : NM 87122 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,585.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,807.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.60274 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,342,900.00 P & I AMT: 9,044.61 UPB AMT: 1,341,832.62 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 71 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031545619 MORTGAGORS: MANDEL MARGUERITE REGION CODE ADDRESS : 111 NORTH POINTSETTIA PLACE 01 CITY : LOS ANGELES STATE/ZIP : CA 90036 MORTGAGE AMOUNT : 372,000.00 OPTION TO CONVERT : UNPAID BALANCE : 371,716.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,569.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031546039 MORTGAGORS: RICHARDS NOREEN REGION CODE ADDRESS : 2527 N SHEFFIELD UNIT 3A 01 CITY : CHICAGO STATE/ZIP : IL 60614 MORTGAGE AMOUNT : 234,900.00 OPTION TO CONVERT : UNPAID BALANCE : 234,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,622.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031546294 MORTGAGORS: HAWKEN IAN HAWKEN CELINE REGION CODE ADDRESS : 5404 GROVESIDE LANE 01 CITY : ROLLING MEADOWS STATE/ZIP : IL 60008 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 253,811.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,776.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031547052 MORTGAGORS: BUMPUS CRAIG REGION CODE ADDRESS : 12 RIVERBEND ROAD 01 CITY : OLD LYME STATE/ZIP : CT 06371 MORTGAGE AMOUNT : 477,600.00 OPTION TO CONVERT : UNPAID BALANCE : 477,208.52 ANNUAL RATE ADJUST: MONTHLY P&I : 3,177.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031547557 MORTGAGORS: GOURAS ROSWITHA GOURAS PETER REGION CODE ADDRESS : 74-76 READE STREET #3W 01 CITY : NEW YORK STATE/ZIP : NY 10013 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,969.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 54.91600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,634,500.00 P & I AMT: 11,114.51 UPB AMT: 1,656,636.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 72 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031547698 MORTGAGORS: EICHLER DAVID EICHLER KAREN REGION CODE ADDRESS : 141 HOBART AVENUE 01 CITY : SUMMIT STATE/ZIP : NJ 07901 MORTGAGE AMOUNT : 591,000.00 OPTION TO CONVERT : UNPAID BALANCE : 591,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,833.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 45.46100 ---------------------------------------------------------------- 0 0031547755 MORTGAGORS: SIMMONS ROBERT SIMMONS DIANE REGION CODE ADDRESS : 39 ELIOT STREET 01 CITY : BROOKLINE STATE/ZIP : MA 02167 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,781.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,055.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.36300 ---------------------------------------------------------------- 0 0031548027 MORTGAGORS: BELL EDWARD BELL PAMELA REGION CODE ADDRESS : 33 POND VIEW DRIVE 01 CITY : SOUTHBURY STATE/ZIP : CT 06488 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,785.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,675.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 76.74900 ---------------------------------------------------------------- 0 0031548258 MORTGAGORS: KAUFMANN PETER KAUFMANN SUSAN REGION CODE ADDRESS : 203 MILL ROAD 01 CITY : STAMFORD STATE/ZIP : CT 06903 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,406.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.16000 ---------------------------------------------------------------- 0 0031548423 MORTGAGORS: MOSKAL JOHN ELLWOOD VICTORIA REGION CODE ADDRESS : 16 LEONARD STREET 01 CITY : ANNISQUAM STATE/ZIP : MA 01930 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,810.75 ANNUAL RATE ADJUST: MONTHLY P&I : 1,783.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 67.10500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,735,000.00 P & I AMT: 11,753.57 UPB AMT: 1,734,378.33 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 73 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031548431 MORTGAGORS: BEYER STEVEN BEYER LINDA REGION CODE ADDRESS : 816 PLEASANT STREET 01 CITY : FOX RIVER GROVE STATE/ZIP : IL 60021 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,797.34 ANNUAL RATE ADJUST: MONTHLY P&I : 1,981.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031548548 MORTGAGORS: BALDINO JAMES BALDINO ROSANNE REGION CODE ADDRESS : 7S626 CARRIAGE WAY 01 CITY : NAPERVILLE STATE/ZIP : IL 60540 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 344,750.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,441.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031548670 MORTGAGORS: PRYBYLSKI JOCELYN PRYBYLSKI T. REGION CODE ADDRESS : 23 YALE STREET 01 CITY : BORO OF CHATHAM STATE/ZIP : NJ 07928 MORTGAGE AMOUNT : 255,900.00 OPTION TO CONVERT : UNPAID BALANCE : 255,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,811.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031549231 MORTGAGORS: BLYTHE RONALD BLYTHE CYNTHIA REGION CODE ADDRESS : 2 TALLWOOD DRIVE 01 CITY : BARRINGTON STATE/ZIP : RI 02806 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,753.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,155.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031549272 MORTGAGORS: MCNULTY NEIL MCNULTY MARY REGION CODE ADDRESS : 1700 LANCKFIELD MEWS 01 CITY : VIRGINIA BEACH STATE/ZIP : VA 23455 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,553.34 ANNUAL RATE ADJUST: MONTHLY P&I : 1,748.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,443,900.00 P & I AMT: 10,138.90 UPB AMT: 1,442,754.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 74 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031549470 MORTGAGORS: GRIEVE JEAN REGION CODE ADDRESS : 18 HADLEY COURT 01 CITY : BASKING RIDGE STATE/ZIP : NJ 07920 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,069.33 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.55700 ---------------------------------------------------------------- 0 0031549785 MORTGAGORS: HAGGIS EMANUEL HAGGIS JUDITH REGION CODE ADDRESS : 9 HILLTOP AVENUE 01 CITY : SAUGUS STATE/ZIP : MA 01906 MORTGAGE AMOUNT : 95,500.00 OPTION TO CONVERT : UNPAID BALANCE : 95,430.88 ANNUAL RATE ADJUST: MONTHLY P&I : 675.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 54.57100 ---------------------------------------------------------------- 0 0031550221 MORTGAGORS: FRIEDMAN ROBERT REGION CODE ADDRESS : 400 EAST 54TH STREET, UNIT 24-C 01 CITY : NEW YORK STATE/ZIP : NY 10022 MORTGAGE AMOUNT : 388,000.00 OPTION TO CONVERT : UNPAID BALANCE : 388,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,712.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.90300 ---------------------------------------------------------------- 0 0031550569 MORTGAGORS: PEARSON PATRICIA REGION CODE ADDRESS : 940 GREENWOOD AVENUE 01 CITY : WINNETKA STATE/ZIP : IL 60093 MORTGAGE AMOUNT : 382,500.00 OPTION TO CONVERT : UNPAID BALANCE : 382,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,674.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031551534 MORTGAGORS: MOROZE BENJAMIN LEGRAND DANA REGION CODE ADDRESS : 14 LIBERTY LANE 01 CITY : NORTH READING STATE/ZIP : MA 01864 MORTGAGE AMOUNT : 313,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,108.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 77.28300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,494,000.00 P & I AMT: 10,241.47 UPB AMT: 1,494,430.88 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 75 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031551930 MORTGAGORS: DINICOLAS ANTHONY DINICOLAS CYNTHIA REGION CODE ADDRESS : 625 CLINTON AVENUE 01 CITY : HADDONFIELD STATE/ZIP : NJ 08033 MORTGAGE AMOUNT : 301,000.00 OPTION TO CONVERT : UNPAID BALANCE : 301,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,104.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 60.80800 ---------------------------------------------------------------- 0 0031552284 MORTGAGORS: KILLEEN STEPHEN KILLEEN PRISCILLA REGION CODE ADDRESS : 6 KENNEDY LANE 01 CITY : SOUTHBOROUGH STATE/ZIP : MA 01772 MORTGAGE AMOUNT : 498,000.00 OPTION TO CONVERT : UNPAID BALANCE : 497,476.71 ANNUAL RATE ADJUST: MONTHLY P&I : 3,482.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 68.68900 ---------------------------------------------------------------- 0 0031552664 MORTGAGORS: DULAN JANETTE SMITH HAROLD REGION CODE ADDRESS : 4306 RUNNING BROOK 01 CITY : ROWLETT STATE/ZIP : TX 75088 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,103.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 87.58300 ---------------------------------------------------------------- 0 0031553464 MORTGAGORS: PADILLA CHARLES PADILLA LESLIE REGION CODE ADDRESS : 5587 AMADITA LANE 01 CITY : BONITA STATE/ZIP : CA 91902 MORTGAGE AMOUNT : 304,550.00 OPTION TO CONVERT : UNPAID BALANCE : 304,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,077.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 84.59700 ---------------------------------------------------------------- 0 0031554769 MORTGAGORS: BURSTEIN ALAN REGION CODE ADDRESS : 1926 GREENWOOD AVENUE 01 CITY : WILMETTE STATE/ZIP : IL 60091 MORTGAGE AMOUNT : 422,400.00 OPTION TO CONVERT : UNPAID BALANCE : 422,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,953.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,925,950.00 P & I AMT: 13,414.65 UPB AMT: 1,924,530.55 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 76 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031555139 MORTGAGORS: CHARLES ELLEN REGION CODE ADDRESS : 1408 31ST STREET NW 01 CITY : WASHINGTON STATE/ZIP : DC 20007 MORTGAGE AMOUNT : 520,000.00 OPTION TO CONVERT : UNPAID BALANCE : 519,614.08 ANNUAL RATE ADJUST: MONTHLY P&I : 3,635.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 31.51500 ---------------------------------------------------------------- 0 0031555212 MORTGAGORS: FELDMAN HAL FELDMAN JUDITH REGION CODE ADDRESS : 150 WEST END AVE #23L 01 CITY : NEW YORK STATE/ZIP : NY 10023 MORTGAGE AMOUNT : 140,000.00 OPTION TO CONVERT : UNPAID BALANCE : 140,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 943.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 29.88200 ---------------------------------------------------------------- 0 0031555378 MORTGAGORS: MANTUANO JAMES MANTUANO DIANE REGION CODE ADDRESS : 326 LIBERTY STREET 01 CITY : TRENTON STATE/ZIP : NJ 08611 MORTGAGE AMOUNT : 20,000.00 OPTION TO CONVERT : UNPAID BALANCE : 19,986.58 ANNUAL RATE ADJUST: MONTHLY P&I : 146.75 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031556590 MORTGAGORS: FREILICH AMY POPOWITZ NEIL REGION CODE ADDRESS : 16323 TUDOR DRIVE 01 CITY : ENCINO AREA LOS ANGELES STATE/ZIP : CA 91436 MORTGAGE AMOUNT : 486,000.00 OPTION TO CONVERT : UNPAID BALANCE : 485,239.45 ANNUAL RATE ADJUST: MONTHLY P&I : 3,315.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.76900 ---------------------------------------------------------------- 0 0031556921 MORTGAGORS: FLACH ROBERT FLACH PAULA REGION CODE ADDRESS : 755 SPRINGBLOOM DRIVE 01 CITY : MILLERSVILLE STATE/ZIP : MD 21108 MORTGAGE AMOUNT : 284,950.00 OPTION TO CONVERT : UNPAID BALANCE : 284,716.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,895.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 94.98300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,450,950.00 P & I AMT: 9,937.04 UPB AMT: 1,449,556.54 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 77 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031557028 MORTGAGORS: CAMPBELL JOHN CAMPBELL SHERI REGION CODE ADDRESS : 14 WESTCLIFFF 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 482,000.00 OPTION TO CONVERT : UNPAID BALANCE : 481,181.72 ANNUAL RATE ADJUST: MONTHLY P&I : 3,370.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 88.44000 ---------------------------------------------------------------- 0 0031557424 MORTGAGORS: ABRAMS MARCIA NEUMEISTER JAMES REGION CODE ADDRESS : 2 DEVON DRIVE 01 CITY : EAST BRUNSWICK STATE/ZIP : NJ 08816 MORTGAGE AMOUNT : 242,400.00 OPTION TO CONVERT : UNPAID BALANCE : 242,224.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,715.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.98900 ---------------------------------------------------------------- 0 0031558398 MORTGAGORS: LUCA VALENTIN LUCA OLGUTA REGION CODE ADDRESS : 1157 MELVILLE AVENUE 01 CITY : FAIRFIELD STATE/ZIP : CT 06430 MORTGAGE AMOUNT : 232,000.00 OPTION TO CONVERT : UNPAID BALANCE : 231,819.02 ANNUAL RATE ADJUST: MONTHLY P&I : 1,582.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031558778 MORTGAGORS: ROSENBAUM DAVID ROSENBAUM SUSAN REGION CODE ADDRESS : 121 WINSLOW ROAD 01 CITY : NEWTON STATE/ZIP : MA 02168 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,754.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 52.35600 ---------------------------------------------------------------- 0 0031559115 MORTGAGORS: SAUERHOFF ERIKA REGION CODE ADDRESS : 136 WILDER STREET 01 CITY : HILLSIDE STATE/ZIP : NJ 07205 MORTGAGE AMOUNT : 200,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,272.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,432.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 60.60606 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,456,400.00 P & I AMT: 10,097.30 UPB AMT: 1,519,251.55 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 78 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031559289 MORTGAGORS: SIMMONS DAVID SIMMONS EMILIE REGION CODE ADDRESS : 5810 BENTLEY ROAD 01 CITY : CUMMING STATE/ZIP : GA 30040 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,712.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,510.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031560055 MORTGAGORS: STEIN PHILIP SZELA JUDITH REGION CODE ADDRESS : 1920 ALLENTOWN RD 01 CITY : QUAKERTOWN STATE/ZIP : PA 18951 MORTGAGE AMOUNT : 266,400.00 OPTION TO CONVERT : UNPAID BALANCE : 266,211.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,908.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031560535 MORTGAGORS: BENSON JOHN BENSON MICHELLE REGION CODE ADDRESS : 31231 CALLE VILLA CLARA 01 CITY : SAN JUAN CAPISTRANO STATE/ZIP : CA 92675 MORTGAGE AMOUNT : 188,000.00 OPTION TO CONVERT : UNPAID BALANCE : 187,690.90 ANNUAL RATE ADJUST: MONTHLY P&I : 1,250.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031560808 MORTGAGORS: PARTHASARATHY ANIL KHAMBATA SCHEHERAZADE REGION CODE ADDRESS : 3008 FRANKLIN CORNER LANE 01 CITY : HERNDON STATE/ZIP : VA 20171 MORTGAGE AMOUNT : 300,050.00 OPTION TO CONVERT : UNPAID BALANCE : 300,050.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.80000 ---------------------------------------------------------------- 0 0031560840 MORTGAGORS: KOTZ ROBERT KOTZ BONNIE REGION CODE ADDRESS : 1281 COBBLE POND WAY 01 CITY : VIENNA STATE/ZIP : VA 22182 MORTGAGE AMOUNT : 412,000.00 OPTION TO CONVERT : UNPAID BALANCE : 412,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,741.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 72.28000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,534,450.00 P & I AMT: 10,508.74 UPB AMT: 1,533,665.80 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 79 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031561004 MORTGAGORS: SEGARRA LUIS LEON JANICE REGION CODE ADDRESS : 11 PUMPKIN HILL ROAD 01 CITY : TRUMBULL STATE/ZIP : CT 06611 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,583.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,106.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031561376 MORTGAGORS: TEAL ROGER REGION CODE ADDRESS : 2305 KENILWORTH AVENUE 01 CITY : WILMETTE STATE/ZIP : IL 60091 MORTGAGE AMOUNT : 386,100.00 OPTION TO CONVERT : UNPAID BALANCE : 386,100.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,699.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031561434 MORTGAGORS: VINNENBERG ANDREW VINNENBERG MARGARET REGION CODE ADDRESS : 12216 RENWICK PLACE 01 CITY : GLEN ALLEN STATE/ZIP : VA 23060 MORTGAGE AMOUNT : 291,200.00 OPTION TO CONVERT : UNPAID BALANCE : 291,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,937.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031561566 MORTGAGORS: BURNS THOMAS BURNS MELINDA REGION CODE ADDRESS : 73 PROMENADE LANE 01 CITY : AMHRRST STATE/ZIP : NY 14221 MORTGAGE AMOUNT : 312,550.00 OPTION TO CONVERT : UNPAID BALANCE : 312,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,132.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031561590 MORTGAGORS: WOODFIN JOHN WOODFIN MARY REGION CODE ADDRESS : 5241 HEIL AVENUE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92649 MORTGAGE AMOUNT : 244,150.00 OPTION TO CONVERT : UNPAID BALANCE : 243,795.46 ANNUAL RATE ADJUST: MONTHLY P&I : 1,728.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,528,000.00 P & I AMT: 10,603.51 UPB AMT: 1,527,229.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 80 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031561624 MORTGAGORS: THOM ANNE NAME JANET REGION CODE ADDRESS : 6 MCNISH COURT 01 CITY : BLUFFTON STATE/ZIP : SC 29910 MORTGAGE AMOUNT : 234,600.00 OPTION TO CONVERT : UNPAID BALANCE : 234,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,580.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 77.11400 ---------------------------------------------------------------- 0 0031561889 MORTGAGORS: DRALLE RICHARD ROHR-DRALLE RONDI REGION CODE ADDRESS : 15625 MARK DRIVE 01 CITY : BROOKFIELD STATE/ZIP : WI 53005 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,795.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,663.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 71.42800 ---------------------------------------------------------------- 0 0031561996 MORTGAGORS: MANDELBAUM CHAIM MANDELBAUM RACHELLE REGION CODE ADDRESS : 695 PALMER AVENUE 01 CITY : TEANECK STATE/ZIP : NJ 07666 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,752.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 87.83700 ---------------------------------------------------------------- 0 0031562747 MORTGAGORS: SCHWARTZ LANE SCHWARTZ JILL REGION CODE ADDRESS : 4018 VENTURA CANYON AVENUE 01 CITY : SHERMAN OAKS STATE/ZIP : CA 91423 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 364,708.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,459.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 65.76500 ---------------------------------------------------------------- 0 0031562960 MORTGAGORS: PEARCE ALLEN PEARCE KATHERINE REGION CODE ADDRESS : 500 HIGH LAKE DRIVE 01 CITY : BATON ROUGE STATE/ZIP : LA 70810 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,765.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,127.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,482,600.00 P & I AMT: 10,074.86 UPB AMT: 1,481,621.53 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 81 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031563109 MORTGAGORS: KANG CHUNG REGION CODE ADDRESS : 3651 CORONADO DRIVE 01 CITY : FULLERTON STATE/ZIP : CA 92835 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 499,273.92 ANNUAL RATE ADJUST: MONTHLY P&I : 3,538.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.36500 ---------------------------------------------------------------- 0 0031563158 MORTGAGORS: BARKOCY JEAN GIBB ERIK REGION CODE ADDRESS : 1164-1168 18TH STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94107 MORTGAGE AMOUNT : 468,000.00 OPTION TO CONVERT : UNPAID BALANCE : 468,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,192.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031563455 MORTGAGORS: MALMGREN STEVEN MALMGREN VICTORIA REGION CODE ADDRESS : 4 FOXBORO 01 CITY : IRVINE STATE/ZIP : CA 92714 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,278.79 ANNUAL RATE ADJUST: MONTHLY P&I : 2,811.66 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031564081 MORTGAGORS: GOTFREDSON GARY GOTFREDSON SAUNDRA REGION CODE ADDRESS : 7915 LANDOWNE DRIVE 01 CITY : ATLANTA STATE/ZIP : GA 30350 MORTGAGE AMOUNT : 403,700.00 OPTION TO CONVERT : UNPAID BALANCE : 403,385.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,753.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.84800 ---------------------------------------------------------------- 0 0031564222 MORTGAGORS: GIUSTI W GIUSTI KAREN REGION CODE ADDRESS : 8109 GUINEVERE DRIVE 01 CITY : ANNANDALE STATE/ZIP : VA 22003 MORTGAGE AMOUNT : 239,900.00 OPTION TO CONVERT : UNPAID BALANCE : 239,708.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,616.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,039,600.00 P & I AMT: 13,913.41 UPB AMT: 2,037,645.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 82 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031564230 MORTGAGORS: GROSSMAN NEIL GROSSMAN MICHELE REGION CODE ADDRESS : 24 BROADLAWN DRIVE 01 CITY : LIVINGSTON STATE/ZIP : NJ 07039 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,878.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031564313 MORTGAGORS: KHALIL MOHAMED KHALIL WINIFRED REGION CODE ADDRESS : 1209 SIERRA LINDA DRIVE 01 CITY : ESCONDIDO STATE/ZIP : CA 92025 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,712.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,425.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031564396 MORTGAGORS: CAPEHART GARY CAPEHART PATRICIA REGION CODE ADDRESS : 5885 MACADAM COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 234,000.00 OPTION TO CONVERT : UNPAID BALANCE : 233,826.34 ANNUAL RATE ADJUST: MONTHLY P&I : 1,636.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031564560 MORTGAGORS: DEMIER PAUL REGION CODE ADDRESS : 24 MARION AVENUE 01 CITY : DEPTFORD STATE/ZIP : NJ 08093 MORTGAGE AMOUNT : 68,000.00 OPTION TO CONVERT : UNPAID BALANCE : 68,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 498.96 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031565153 MORTGAGORS: SUTTON NORMA REGION CODE ADDRESS : 825 SOUTH OAKLEY BOULEVARD 01 CITY : CHICAGO STATE/ZIP : IL 60612 MORTGAGE AMOUNT : 284,500.00 OPTION TO CONVERT : UNPAID BALANCE : 284,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,013.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 83.18700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,218,500.00 P & I AMT: 8,452.82 UPB AMT: 1,218,038.45 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 83 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031565476 MORTGAGORS: JAROSZ WILLIAM JAROSZ NOEMI REGION CODE ADDRESS : 2883 NORTH SOUTHERN HILLS DRIVE 01 CITY : WADSWORTH STATE/ZIP : IL 60083 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,577.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,985.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.73300 ---------------------------------------------------------------- 0 0031565948 MORTGAGORS: JOHNSON KIMBERLY JOHNSON ERIC REGION CODE ADDRESS : 60 COTTONWOOD DRIVE 01 CITY : SAN RAFAEL STATE/ZIP : CA 94901 MORTGAGE AMOUNT : 352,750.00 OPTION TO CONVERT : UNPAID BALANCE : 352,224.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,466.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031566144 MORTGAGORS: GRILLO ANGELO TIETJENS-GRILLO LENORE REGION CODE ADDRESS : 3389 TELEGRAPH ROAD 01 CITY : ELKTON STATE/ZIP : MD 21921 MORTGAGE AMOUNT : 640,000.00 OPTION TO CONVERT : UNPAID BALANCE : 638,403.43 ANNUAL RATE ADJUST: MONTHLY P&I : 4,257.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031567324 MORTGAGORS: SARGENT KENNETH SARGENT LINDA REGION CODE ADDRESS : 26 WOODCREST ROAD 01 CITY : BOXFORD STATE/ZIP : MA 01921 MORTGAGE AMOUNT : 283,200.00 OPTION TO CONVERT : UNPAID BALANCE : 282,989.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,980.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031567332 MORTGAGORS: HUSER WILLIAM HUSER TONI REGION CODE ADDRESS : 110 247TH AVENUE SE 01 CITY : REDMOND STATE/ZIP : WA 98053 MORTGAGE AMOUNT : 315,990.00 OPTION TO CONVERT : UNPAID BALANCE : 315,730.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,102.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 75.96096 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,875,940.00 P & I AMT: 12,792.66 UPB AMT: 1,872,926.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 84 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031567407 MORTGAGORS: EDMUNDS LINDA REGION CODE ADDRESS : 21 WYNDMERE DRIVE 01 CITY : BOXFORD STATE/ZIP : MA 01921 MORTGAGE AMOUNT : 257,600.00 OPTION TO CONVERT : UNPAID BALANCE : 257,422.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,867.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.50600 ---------------------------------------------------------------- 0 0031567514 MORTGAGORS: FLICKINGER ALLEN REGION CODE ADDRESS : 1615 WEST RIVER DRIVE 01 CITY : PENNSAUKEN STATE/ZIP : NJ 08110 MORTGAGE AMOUNT : 56,250.00 OPTION TO CONVERT : UNPAID BALANCE : 56,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 442.52 OUTSIDE CONV DATE : LIFETIME RATE : 8.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.75000 PRODUCT CODE : 250 LTV : 90.00000 ---------------------------------------------------------------- 0 0031567662 MORTGAGORS: HALTMEYER JOHN HALTMEYER MONICA REGION CODE ADDRESS : 7535 FLAMEWOOD DRIVE 01 CITY : CLARKSVILLE STATE/ZIP : MD 21029 MORTGAGE AMOUNT : 222,400.00 OPTION TO CONVERT : UNPAID BALANCE : 222,217.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,479.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031568009 MORTGAGORS: KHOUDIAN GAGIK KHOUDIAN MARY REGION CODE ADDRESS : 1855 RANSOM ROAD 01 CITY : GLENDALE STATE/ZIP : CA 91201 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 286,787.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,006.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031568181 MORTGAGORS: SIDES DARRELL SIDES LUANN REGION CODE ADDRESS : 1938 WOOD DUCK TRL 01 CITY : SHAKOPEE STATE/ZIP : MN 55379 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,575.66 ANNUAL RATE ADJUST: MONTHLY P&I : 1,992.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.05600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,108,250.00 P & I AMT: 7,789.45 UPB AMT: 1,107,253.07 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 85 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031568603 MORTGAGORS: KOESTLER MICHAEL KOESTLER MARY REGION CODE ADDRESS : UNIT 704 OF 38 BRYANT STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94105 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,788.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031569262 MORTGAGORS: REEVES DONALD REEVES ANITA REGION CODE ADDRESS : 1914 MATZEN RANCH CIRCLE 01 CITY : PETALUMA STATE/ZIP : CA 94954 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,740.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.03700 ---------------------------------------------------------------- 0 0031569395 MORTGAGORS: RONG GRAHAM HUANG SHARON REGION CODE ADDRESS : 123 FLORAL ST 01 CITY : NEWTON STATE/ZIP : MA 02161 MORTGAGE AMOUNT : 251,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,566.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,627.98 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 84.51100 ---------------------------------------------------------------- 0 0031569536 MORTGAGORS: BARNETT DONALD BARNETT GRACE REGION CODE ADDRESS : 51 HOLLAND ROAD 01 CITY : BROOKLINE STATE/ZIP : MA 02146 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,769.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,167.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 34.63687 ---------------------------------------------------------------- 0 0031569858 MORTGAGORS: RUSICH FRANK RUSICH MARIANNE REGION CODE ADDRESS : 6752 DE GRAZIA ROAD 01 CITY : RIVERSIDE STATE/ZIP : CA 92506 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,759.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,101.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,511,000.00 P & I AMT: 10,410.67 UPB AMT: 1,509,625.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 86 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031569916 MORTGAGORS: RAMAKER GERALD RAMAKER BARBARA REGION CODE ADDRESS : 27506 LEHNERT LANE 01 CITY : BELLE PLAINE STATE/ZIP : MN 56011 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,685.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.71400 ---------------------------------------------------------------- 0 0031570252 MORTGAGORS: MEDURE GARY REGION CODE ADDRESS : 50 VALENTINE ST 01 CITY : YONKERS STATE/ZIP : NY 10704 MORTGAGE AMOUNT : 275,625.00 OPTION TO CONVERT : UNPAID BALANCE : 275,425.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,950.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031571284 MORTGAGORS: COPPEDE RAYMOND COPPEDE LINDA REGION CODE ADDRESS : 5 CONCORD COURT 01 CITY : COLTS NECK STATE/ZIP : NJ 07722 MORTGAGE AMOUNT : 555,000.00 OPTION TO CONVERT : UNPAID BALANCE : 549,998.14 ANNUAL RATE ADJUST: MONTHLY P&I : 3,976.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031571524 MORTGAGORS: GAINES THOMAS REGION CODE ADDRESS : 85 GANNET DRIVE 01 CITY : MONTAUK STATE/ZIP : NY 11954 MORTGAGE AMOUNT : 140,000.00 OPTION TO CONVERT : UNPAID BALANCE : 140,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 990.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031572720 MORTGAGORS: HARRIS LUTHER HARRIS JOANNE REGION CODE ADDRESS : 1 FIFTH AVENUE # 27A 01 CITY : NEW YORK STATE/ZIP : NY 10003 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,300.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 16.25000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,539,625.00 P & I AMT: 10,903.44 UPB AMT: 1,534,423.65 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 87 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031572746 MORTGAGORS: DELLAMANO JOHN DELLAMANO ALICIA REGION CODE ADDRESS : 19751 DRAKE DR. 01 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 255,500.00 OPTION TO CONVERT : UNPAID BALANCE : 255,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,764.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 56.77700 ---------------------------------------------------------------- 0 0031572761 MORTGAGORS: WERTH DARYL WERTH ROSELYN REGION CODE ADDRESS : 17502 AMAGANSET WAY 01 CITY : TUSTIN STATE/ZIP : CA 92780 MORTGAGE AMOUNT : 247,950.00 OPTION TO CONVERT : UNPAID BALANCE : 247,774.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,776.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031572845 MORTGAGORS: KRAUSE JAMES KRAUSE JANET REGION CODE ADDRESS : 4007 COOGAN CIRCLE 01 CITY : CULVER CITY STATE/ZIP : CA 90232 MORTGAGE AMOUNT : 333,000.00 OPTION TO CONVERT : UNPAID BALANCE : 332,307.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,414.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031573058 MORTGAGORS: FRIEDMAN MARTIN FRIEDMAN ALISON REGION CODE ADDRESS : 15 SAGAMORE DRIVE 01 CITY : SYOSSET STATE/ZIP : NY 11771 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 420,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,900.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.41300 ---------------------------------------------------------------- 0 0031573306 MORTGAGORS: LUCKENBACH SIDNEY LUCKENBACH JULIE REGION CODE ADDRESS : 14 NEW BOSTON COURT 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 319,200.00 OPTION TO CONVERT : UNPAID BALANCE : 318,957.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,204.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,575,650.00 P & I AMT: 11,061.00 UPB AMT: 1,574,540.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 88 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031573314 MORTGAGORS: ROBBINS J ROBBINS FRANCES REGION CODE ADDRESS : RT 684 GAYLE LANE 01 CITY : MATHEWS STATE/ZIP : VA 23109 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,784.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,185.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.21500 ---------------------------------------------------------------- 0 0031573355 MORTGAGORS: LATTA WILLIAM LATTA KATE REGION CODE ADDRESS : 20 MILLS POINT,UNIT 83, BUILDING 17 01 CITY : MIDDLETON STATE/ZIP : MA 01949 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,701.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 70.89500 ---------------------------------------------------------------- 0 0031573520 MORTGAGORS: CHIANETTA SALVATORE CHIANETTA CONCETTA REGION CODE ADDRESS : 25 MARIANI DRIVE 01 CITY : LITTLE FERRY STATE/ZIP : NJ 07643 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 392,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,740.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 79.19100 ---------------------------------------------------------------- 0 0031573553 MORTGAGORS: PINE LEE PINE SHIRLEY REGION CODE ADDRESS : 17718 N.E. 58TH AVENUE 01 CITY : VANCOUVER STATE/ZIP : WA 98686 MORTGAGE AMOUNT : 487,500.00 OPTION TO CONVERT : UNPAID BALANCE : 486,792.09 ANNUAL RATE ADJUST: MONTHLY P&I : 3,450.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031573660 MORTGAGORS: LEONARD THOMAS LEONARD AMY REGION CODE ADDRESS : 43372 DEEPSPRING COURT 01 CITY : ASHBURN STATE/ZIP : VA 20147 MORTGAGE AMOUNT : 239,400.00 OPTION TO CONVERT : UNPAID BALANCE : 239,198.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,572.69 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,661,400.00 P & I AMT: 11,650.64 UPB AMT: 1,660,275.69 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 89 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031573892 MORTGAGORS: LEW DONALD LEW CAROL REGION CODE ADDRESS : 43329 SUGARBUSH COURT 01 CITY : LEESBURG STATE/ZIP : VA 20176 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,747.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,970.79 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 72.96100 ---------------------------------------------------------------- 0 0031573900 MORTGAGORS: KINSON DEBBIE NEWMAN DWIGHT REGION CODE ADDRESS : 18711 N.E. 55TH STREET 01 CITY : REDMOND STATE/ZIP : WA 98052 MORTGAGE AMOUNT : 404,000.00 OPTION TO CONVERT : UNPAID BALANCE : 404,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,790.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031574130 MORTGAGORS: BAKER JEFFREY MENDEZ-BAKER JENNIE REGION CODE ADDRESS : 16146 MAGNOLIA BOULEVARD 01 CITY : ENCINO AREA STATE/ZIP : CA 91436 MORTGAGE AMOUNT : 399,200.00 OPTION TO CONVERT : UNPAID BALANCE : 398,896.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,757.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031574692 MORTGAGORS: VACA RODRIGO DE VACA ALLESANDRA REGION CODE ADDRESS : 118-120 LARCH ROAD 01 CITY : CAMBRIDGE STATE/ZIP : MA 02138 MORTGAGE AMOUNT : 453,500.00 OPTION TO CONVERT : UNPAID BALANCE : 453,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,209.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.98200 ---------------------------------------------------------------- 0 0031574700 MORTGAGORS: KINGSLEY MICHAEL MASSON-KINGSLEY LINDA REGION CODE ADDRESS : 201 WEST 70TH STREET # 2I 01 CITY : NEW YORK STATE/ZIP : NY 10023 MORTGAGE AMOUNT : 60,000.00 OPTION TO CONVERT : UNPAID BALANCE : 60,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 399.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 52.17300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,616,700.00 P & I AMT: 11,127.34 UPB AMT: 1,616,144.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 90 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031575228 MORTGAGORS: WILLIS ROBERT WILLIS SUSAN REGION CODE ADDRESS : 2702 SNOWBERRY COURT 01 CITY : VIENNA STATE/ZIP : VA 22181 MORTGAGE AMOUNT : 259,900.00 OPTION TO CONVERT : UNPAID BALANCE : 259,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,707.36 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031575376 MORTGAGORS: LOUISON DOUGLAS LOUISON LAUREN REGION CODE ADDRESS : 149 MOUNT VERNON STREET 01 CITY : WEST ROXBURY STATE/ZIP : MA 02132 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,763.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,994.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031575509 MORTGAGORS: MILLER ROBERT MILLER DEBRA REGION CODE ADDRESS : 193 HEATH MEADOW PLACE 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 393,000.00 OPTION TO CONVERT : UNPAID BALANCE : 392,693.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,680.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.85700 ---------------------------------------------------------------- 0 0031575848 MORTGAGORS: ODENCE-FORD MARION FORD RAYMOND REGION CODE ADDRESS : 25 VINCENT STREET 01 CITY : CAMBRIDGE STATE/ZIP : MA 02138 MORTGAGE AMOUNT : 279,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,998.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.71400 ---------------------------------------------------------------- 0 0031575863 MORTGAGORS: COLELL JOSEPH COLELL BEVERLY REGION CODE ADDRESS : 8 MILL STREET 01 CITY : SHERBORN STATE/ZIP : MA 01770 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,722.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 64.40600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,607,900.00 P & I AMT: 11,103.70 UPB AMT: 1,607,356.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 91 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031576432 MORTGAGORS: JONES JAMES JONES SUSAN REGION CODE ADDRESS : 101 HERITAGE DR 01 CITY : FREEHOLD STATE/ZIP : NJ 07728 MORTGAGE AMOUNT : 159,000.00 OPTION TO CONVERT : UNPAID BALANCE : 159,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,139.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 69.13000 ---------------------------------------------------------------- 0 0031576663 MORTGAGORS: KELLY DONALD KELLY ELIZABETH REGION CODE ADDRESS : 458 FAIRMOUNT AVENUE 01 CITY : CHATHAM STATE/ZIP : NJ 07928 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,780.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,714.59 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031576689 MORTGAGORS: LU MIN ZHOU YUNLIN REGION CODE ADDRESS : 25 MULBERRY LANE 01 CITY : HOLMDEL STATE/ZIP : NJ 07733 MORTGAGE AMOUNT : 248,050.00 OPTION TO CONVERT : UNPAID BALANCE : 247,874.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,777.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.99200 ---------------------------------------------------------------- 0 0031576705 MORTGAGORS: ZOIDA SALVATORE REGION CODE ADDRESS : 8007 MASEFIELD COURT 01 CITY : WEST HILLS STATE/ZIP : CA 91304 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,793.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031576713 MORTGAGORS: RESH DONOVAN RESH STEPHANIE REGION CODE ADDRESS : 3709 WASHINGTON WOODS DRIVE 01 CITY : ALEXANDRIA STATE/ZIP : VA 22309 MORTGAGE AMOUNT : 405,000.00 OPTION TO CONVERT : UNPAID BALANCE : 405,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.04100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,373,050.00 P & I AMT: 9,568.79 UPB AMT: 1,372,449.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 92 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031577075 MORTGAGORS: PREVETE JENNIE REGION CODE ADDRESS : 15 IMPERIAL DRIVE 01 CITY : MILLER PLACE STATE/ZIP : NY 11764 MORTGAGE AMOUNT : 121,600.00 OPTION TO CONVERT : UNPAID BALANCE : 121,518.41 ANNUAL RATE ADJUST: MONTHLY P&I : 892.26 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031577125 MORTGAGORS: GRIFFITH JEROME DECICCO-GRIFFITH JEAN REGION CODE ADDRESS : 153 JEFFER COURT 01 CITY : RIDGEWOOD STATE/ZIP : NJ 07450 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,155.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.15900 ---------------------------------------------------------------- 0 0031577398 MORTGAGORS: NAHMOD SHELDON NAHMOD SONIA REGION CODE ADDRESS : 1301 N. DEARBORN STREET #1206 01 CITY : CHICAGO STATE/ZIP : IL 60610 MORTGAGE AMOUNT : 317,400.00 OPTION TO CONVERT : UNPAID BALANCE : 317,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,273.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- 0 0031578123 MORTGAGORS: MAGALLON GEORGE REZA JENNIFER REGION CODE ADDRESS : 1700 MICHELTORENA STREET 01 CITY : LOS ANGLES STATE/ZIP : CA 90026 MORTGAGE AMOUNT : 206,900.00 OPTION TO CONVERT : UNPAID BALANCE : 206,753.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,482.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 89.99500 ---------------------------------------------------------------- 0 0031578925 MORTGAGORS: SEAMAN THOMAS SEAMAN DEBORAH REGION CODE ADDRESS : 243 BEDFORD-BANKSVILLE ROAD 01 CITY : BEDFORD STATE/ZIP : NY 10506 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 449,705.64 ANNUAL RATE ADJUST: MONTHLY P&I : 3,341.24 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 48.64800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,415,900.00 P & I AMT: 10,145.56 UPB AMT: 1,415,378.02 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 93 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031578933 MORTGAGORS: BELLINGER KEITH HOPPER MICHELE REGION CODE ADDRESS : 53 MICHAEL ROAD 01 CITY : STAMFORD STATE/ZIP : CT 06903 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 379,717.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,657.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031579097 MORTGAGORS: MCGIBBON BRENDON MCGIBBIN SUSAN REGION CODE ADDRESS : 32 HAMILTON HILL ROAD 01 CITY : LINCROFT STATE/ZIP : NJ 07738 MORTGAGE AMOUNT : 286,000.00 OPTION TO CONVERT : UNPAID BALANCE : 286,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,024.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 87.19500 ---------------------------------------------------------------- 0 0031579147 MORTGAGORS: BRADY JOHN BRADY KIRSTEN REGION CODE ADDRESS : 31 ROXITICUS ROAD 01 CITY : MENDHAM STATE/ZIP : NJ 07945 MORTGAGE AMOUNT : 256,500.00 OPTION TO CONVERT : UNPAID BALANCE : 256,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,793.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031579394 MORTGAGORS: RUGG BRIAN RUGG CAROL REGION CODE ADDRESS : 119 BEACON STREET UNIT 2 01 CITY : BOSTON STATE/ZIP : MA 02116 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,378.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- 0 0031579501 MORTGAGORS: BROWN JAMES REGION CODE ADDRESS : 2657 EDGEWATER DRIVE 01 CITY : WESTON STATE/ZIP : FL 33332 MORTGAGE AMOUNT : 322,550.00 OPTION TO CONVERT : UNPAID BALANCE : 322,057.63 ANNUAL RATE ADJUST: MONTHLY P&I : 2,227.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.99800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,581,050.00 P & I AMT: 11,080.77 UPB AMT: 1,580,275.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 94 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031579592 MORTGAGORS: CHRISTMANN FRANK CHRISTMANN DENISE REGION CODE ADDRESS : 8115 BARTON ROAD 01 CITY : ROSEVILLE STATE/ZIP : CA 95746 MORTGAGE AMOUNT : 159,250.00 OPTION TO CONVERT : UNPAID BALANCE : 159,134.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,127.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031580236 MORTGAGORS: CALLO IVANNA REGION CODE ADDRESS : 9 BAYCREST WAY 01 CITY : SOUTH SAN FRANCISCO STATE/ZIP : CA 94080 MORTGAGE AMOUNT : 262,200.00 OPTION TO CONVERT : UNPAID BALANCE : 262,010.22 ANNUAL RATE ADJUST: MONTHLY P&I : 1,855.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.49200 ---------------------------------------------------------------- 0 0031580293 MORTGAGORS: HITE JOHN HITE KERRY REGION CODE ADDRESS : 21744 PINEWOOD COURT 01 CITY : STERLING STATE/ZIP : VA 20164 MORTGAGE AMOUNT : 176,000.00 OPTION TO CONVERT : UNPAID BALANCE : 176,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,200.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031581184 MORTGAGORS: GLOVER DAVID GLOVER CAROL REGION CODE ADDRESS : 3 PLUM DR 01 CITY : NASHUA STATE/ZIP : NH 03062 MORTGAGE AMOUNT : 233,650.00 OPTION TO CONVERT : UNPAID BALANCE : 233,650.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,574.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 84.99400 ---------------------------------------------------------------- 0 0031581846 MORTGAGORS: STANLEY JOHN STANLEY SUSAN REGION CODE ADDRESS : 12845 E GOLD DUST AVENUE 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85259 MORTGAGE AMOUNT : 370,000.00 OPTION TO CONVERT : UNPAID BALANCE : 369,732.20 ANNUAL RATE ADJUST: MONTHLY P&I : 2,618.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 56.92300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,201,100.00 P & I AMT: 8,376.61 UPB AMT: 1,200,527.16 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 95 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031581945 MORTGAGORS: TRITTO MICHAEL TRITTO MELISSA REGION CODE ADDRESS : 14409 WHITE TREE PLACE 01 CITY : GAITHERSBURG STATE/ZIP : MD 20878 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,760.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,021.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031582224 MORTGAGORS: CROFT JEFFREY CROFT ROXANNE REGION CODE ADDRESS : 3003 WESTHURST LANE 01 CITY : OAKTON STATE/ZIP : VA 22124 MORTGAGE AMOUNT : 611,250.00 OPTION TO CONVERT : UNPAID BALANCE : 610,736.47 ANNUAL RATE ADJUST: MONTHLY P&I : 4,015.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031582778 MORTGAGORS: MILLIS JOHN MILLIS LINDA REGION CODE ADDRESS : 9728 HIDDEN VALLEY ROAD 01 CITY : VIENNA STATE/ZIP : VA 22181 MORTGAGE AMOUNT : 324,900.00 OPTION TO CONVERT : UNPAID BALANCE : 324,658.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,271.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031582869 MORTGAGORS: JENNINGS EDWARD JENNINGS JUDITH REGION CODE ADDRESS : 133 SKOWHEGAN COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95139 MORTGAGE AMOUNT : 152,000.00 OPTION TO CONVERT : UNPAID BALANCE : 151,892.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,088.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 48.25300 ---------------------------------------------------------------- 0 0031583503 MORTGAGORS: SIEGEL HEIDI REGION CODE ADDRESS : 7 DANA DRIVE 01 CITY : LIVINGSTON STATE/ZIP : NJ 07039 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,845.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,652,150.00 P & I AMT: 11,243.27 UPB AMT: 1,651,048.16 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 96 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031583628 MORTGAGORS: GOLDFARB STUART WARTELS LISA REGION CODE ADDRESS : 98 KELLOGG HILL ROAD 01 CITY : WESTON STATE/ZIP : CT 06883 MORTGAGE AMOUNT : 616,000.00 OPTION TO CONVERT : UNPAID BALANCE : 616,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,413.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031583644 MORTGAGORS: ANTMANN ROBERT CARBALLO LISA REGION CODE ADDRESS : 30 GLENWILD ROAD 01 CITY : MADISON, BOROUGH OF STATE/ZIP : NJ 07940 MORTGAGE AMOUNT : 335,200.00 OPTION TO CONVERT : UNPAID BALANCE : 335,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,315.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031583883 MORTGAGORS: CAMPBELL DAVID REGION CODE ADDRESS : 1715 LINCOLN STREET 01 CITY : BERKELEY STATE/ZIP : CA 94703 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,805.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,768.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031584386 MORTGAGORS: FRESE PAUL HOLLENBECK LYNN REGION CODE ADDRESS : 91 BOOTH HILL ROAD 01 CITY : SHELTON STATE/ZIP : CT 06484 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,786.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,729.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031584410 MORTGAGORS: BAKER KEN BAKER DELIA REGION CODE ADDRESS : 1930 AVENIDA DE LOS ROSAS 01 CITY : SANTA CLARA STATE/ZIP : CA 95054 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,361.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 84.63700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,759,200.00 P & I AMT: 12,292.93 UPB AMT: 1,758,154.01 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 97 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031584428 MORTGAGORS: THOMPSON BLAKE REGION CODE ADDRESS : 2205 CAMINITO DEL BARCO 01 CITY : DEL MAR STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,699.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,533.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.33300 ---------------------------------------------------------------- 0 0031584964 MORTGAGORS: BURKE FRANCIS BURKE ELIZABETH REGION CODE ADDRESS : 640 SPRUCE LN 01 CITY : BERWYN STATE/ZIP : PA 19312 MORTGAGE AMOUNT : 436,500.00 OPTION TO CONVERT : UNPAID BALANCE : 436,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,089.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.75000 ---------------------------------------------------------------- 0 0031585052 MORTGAGORS: LAMONIA TODD JACOBS SARA REGION CODE ADDRESS : 3907 RIDGE ROAD 01 CITY : ANNANDALE STATE/ZIP : VA 22003 MORTGAGE AMOUNT : 196,000.00 OPTION TO CONVERT : UNPAID BALANCE : 196,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,320.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031585151 MORTGAGORS: KINGDOLLAR CHARLES KINGDOLLAR MUNIRA REGION CODE ADDRESS : 488 NORTH SALEM ROAD 01 CITY : RIDGEFIELD STATE/ZIP : CT 06877 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,799.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,630.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 62.26100 ---------------------------------------------------------------- 0 0031585219 MORTGAGORS: HENDRIKSE NORBERT LIU SANDRA REGION CODE ADDRESS : 1014 GRIZZLY PEAK BOULEVARD 01 CITY : BERKELEY STATE/ZIP : CA 94708 MORTGAGE AMOUNT : 580,000.00 OPTION TO CONVERT : UNPAID BALANCE : 579,569.55 ANNUAL RATE ADJUST: MONTHLY P&I : 4,055.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,833,500.00 P & I AMT: 12,628.64 UPB AMT: 1,832,568.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 98 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031585268 MORTGAGORS: GIASE MICHAEL FRANKLIN NANCY REGION CODE ADDRESS : 318 PERSHING AVENUE 01 CITY : CARTERET STATE/ZIP : NJ 07008 MORTGAGE AMOUNT : 127,000.00 OPTION TO CONVERT : UNPAID BALANCE : 126,916.93 ANNUAL RATE ADJUST: MONTHLY P&I : 942.97 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 250 LTV : 84.66600 ---------------------------------------------------------------- 0 0031585284 MORTGAGORS: JEHDIAN AGOP REGION CODE ADDRESS : 11520 YOLANDA AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 215,250.00 OPTION TO CONVERT : UNPAID BALANCE : 215,077.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,450.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031585698 MORTGAGORS: GARDNER JAMES GARDNER MARILYNN REGION CODE ADDRESS : 307 AVENIDA SIERRA 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 233,500.00 OPTION TO CONVERT : UNPAID BALANCE : 233,313.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,573.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.15200 ---------------------------------------------------------------- 0 0031585714 MORTGAGORS: SHEPARD CATHERINE REGION CODE ADDRESS : 17130 PALISADES CIRCLE 01 CITY : PACIFIC PALISADES AREA LO STATE/ZIP : CA 90272 MORTGAGE AMOUNT : 324,800.00 OPTION TO CONVERT : UNPAID BALANCE : 324,558.95 ANNUAL RATE ADJUST: MONTHLY P&I : 2,271.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.97200 ---------------------------------------------------------------- 0 0031585789 MORTGAGORS: RAIA JOSEPH RAIA EILEEN REGION CODE ADDRESS : 24 OAK DRIVE 01 CITY : CHATHAM, BORO OF STATE/ZIP : NJ 07928 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,910.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 62.22200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,180,550.00 P & I AMT: 8,147.44 UPB AMT: 1,179,867.02 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 99 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031585920 MORTGAGORS: ZARIN KEITH ZARIN JODI REGION CODE ADDRESS : 30470 GANADO DRIVE 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 448,000.00 OPTION TO CONVERT : UNPAID BALANCE : 447,667.52 ANNUAL RATE ADJUST: MONTHLY P&I : 3,132.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031586134 MORTGAGORS: ALTENHAUS FRED ALTENHAUS PHYLLIS REGION CODE ADDRESS : 1414 MADRID ROAD 01 CITY : SANTA FE STATE/ZIP : NM 87501 MORTGAGE AMOUNT : 259,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,787.70 ANNUAL RATE ADJUST: MONTHLY P&I : 1,723.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.00000 ---------------------------------------------------------------- 0 0031586480 MORTGAGORS: SCOTT WILLIAM SCOTT KAREN REGION CODE ADDRESS : 48 OLMSTEAD LANE 01 CITY : RIDGEFIELD STATE/ZIP : CT 06877 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,987.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.66600 ---------------------------------------------------------------- 0 0031586555 MORTGAGORS: JUDGE THOMAS JUDGE NICOLLE REGION CODE ADDRESS : 1833 SEAL WAY 01 CITY : BYRON STATE/ZIP : CA 94514 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,816.50 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 73.23900 ---------------------------------------------------------------- 0 0031586803 MORTGAGORS: MELLO MAUREEN MELLO JOSEPH REGION CODE ADDRESS : 2 MAIN STREET 01 CITY : MATTAPOISETT STATE/ZIP : MA 02739 MORTGAGE AMOUNT : 369,600.00 OPTION TO CONVERT : UNPAID BALANCE : 369,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,552.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,631,600.00 P & I AMT: 11,258.49 UPB AMT: 1,630,871.72 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 100 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031587173 MORTGAGORS: KELLY NANCY REGION CODE ADDRESS : 551 FRANKLIN STREET, UNIT # 1 01 CITY : CAMBRIDGE STATE/ZIP : MA 02139 MORTGAGE AMOUNT : 255,920.00 OPTION TO CONVERT : UNPAID BALANCE : 255,920.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,702.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031587389 MORTGAGORS: KELLER CATHERINE KELLER STEVEN REGION CODE ADDRESS : 2619 PACIFIC AVENUE 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 510,000.00 OPTION TO CONVERT : UNPAID BALANCE : 509,259.41 ANNUAL RATE ADJUST: MONTHLY P&I : 3,609.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.32800 ---------------------------------------------------------------- 0 0031587447 MORTGAGORS: JONES STONEWALL REGION CODE ADDRESS : 9401 ELDON DRIVE 01 CITY : CLINTON STATE/ZIP : MD 20735 MORTGAGE AMOUNT : 109,000.00 OPTION TO CONVERT : UNPAID BALANCE : 108,809.12 ANNUAL RATE ADJUST: MONTHLY P&I : 894.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/18 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 75.17200 ---------------------------------------------------------------- 0 0031587793 MORTGAGORS: GUENTHER MARK MUEHLEISEN LISA REGION CODE ADDRESS : 13765 W. KENTUCKY PLACE 01 CITY : LAKEWOOD STATE/ZIP : CO 80228 MORTGAGE AMOUNT : 276,720.00 OPTION TO CONVERT : UNPAID BALANCE : 276,504.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031588437 MORTGAGORS: GRINSELL DAVID GRINSELL KENDRA REGION CODE ADDRESS : 3941 RAWHIDE ROAD 01 CITY : ROCKLIN STATE/ZIP : CA 95677 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,309.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,236.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.14400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,467,640.00 P & I AMT: 10,331.59 UPB AMT: 1,465,802.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 101 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031588767 MORTGAGORS: KAUFMAN HERMAN KAUFMAN DIANE REGION CODE ADDRESS : 27 FORD LANE 01 CITY : GREENWICH STATE/ZIP : CT 06870 MORTGAGE AMOUNT : 397,000.00 OPTION TO CONVERT : UNPAID BALANCE : 397,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,844.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 54.01300 ---------------------------------------------------------------- 0 0031588973 MORTGAGORS: BUCKLEY GREGORY WATERS KERRY REGION CODE ADDRESS : 24 LAKE DRIVE 01 CITY : SOMERS STATE/ZIP : NY 10589 MORTGAGE AMOUNT : 297,000.00 OPTION TO CONVERT : UNPAID BALANCE : 297,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,076.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031589005 MORTGAGORS: LIFRIERI LOUIS REGION CODE ADDRESS : 441 DRIVEWAY 01 CITY : OCEANPORT STATE/ZIP : NJ 07757 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,672.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,661.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031589112 MORTGAGORS: HENRY SEAN HENRY KAREN REGION CODE ADDRESS : 15 NOEL ROAD 01 CITY : ANDOVER STATE/ZIP : MA 01810 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,799.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.41100 ---------------------------------------------------------------- 0 0031589195 MORTGAGORS: EMMANUEL MATHEWS MATHEWS SHANTHA REGION CODE ADDRESS : 46902 WESLEYAN COURT 01 CITY : STERLING STATE/ZIP : VA 20164 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,717.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 94.99100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,619,000.00 P & I AMT: 11,187.91 UPB AMT: 1,618,471.74 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 102 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031589351 MORTGAGORS: ROBBINS MORLEY ROBBINS MARTHA REGION CODE ADDRESS : 1519 LINCOLN STREET 01 CITY : EVANSTON STATE/ZIP : IL 60201 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.41800 ---------------------------------------------------------------- 0 0031589492 MORTGAGORS: JACKSON DEBORAH REGION CODE ADDRESS : 118 HITCHING POST LANE 01 CITY : BEDFORD STATE/ZIP : NH 03110 MORTGAGE AMOUNT : 249,500.00 OPTION TO CONVERT : UNPAID BALANCE : 249,332.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,830.74 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031589641 MORTGAGORS: CALABRO ANTHONY REGION CODE ADDRESS : 28 SHOALS VIEW DRIVE 01 CITY : RYE STATE/ZIP : NH 03870 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,336.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,722.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 89.99500 ---------------------------------------------------------------- 0 0031589799 MORTGAGORS: DAVISON MICHAEL DAVISON JOYCE REGION CODE ADDRESS : 1813 SOLITAIRE LANE 01 CITY : MC LEAN STATE/ZIP : VA 22101 MORTGAGE AMOUNT : 639,350.00 OPTION TO CONVERT : UNPAID BALANCE : 638,825.92 ANNUAL RATE ADJUST: MONTHLY P&I : 4,253.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.99700 ---------------------------------------------------------------- 0 0031589823 MORTGAGORS: SPOFFORD TIMOTHY SPOFFORD DEBORAH REGION CODE ADDRESS : 9211 SENTRY STATION ROAD 01 CITY : MECHANICSVILLE STATE/ZIP : VA 23116 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 339,728.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,290.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,786,350.00 P & I AMT: 12,334.53 UPB AMT: 1,785,223.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 103 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031590102 MORTGAGORS: MACK KEVIN MACK MARTHA REGION CODE ADDRESS : 12316 EVENSONG DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 448,000.00 OPTION TO CONVERT : UNPAID BALANCE : 447,641.74 ANNUAL RATE ADJUST: MONTHLY P&I : 3,018.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031590219 MORTGAGORS: DIGATI JOSEPH DIGATI BETH REGION CODE ADDRESS : 1068 PRINCETON STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90403 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,389.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031590367 MORTGAGORS: GREENBERG SCOTT GREENBERG MARCI REGION CODE ADDRESS : 18 SWAN ST. 01 CITY : NEW ORLEANS STATE/ZIP : LA 70124 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 650,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,324.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 72.22200 ---------------------------------------------------------------- 0 0031591373 MORTGAGORS: ROGERS JOHN ROGERS CHERYL REGION CODE ADDRESS : 11 MCKENZIE LANE 01 CITY : FOXBOROUGH STATE/ZIP : MA 02035 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031591936 MORTGAGORS: HAGEE VAHID HAGEE NEDA REGION CODE ADDRESS : 5365 SHEFFIELD AVENUE 01 CITY : POWELL STATE/ZIP : OH 43065 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 439,344.88 ANNUAL RATE ADJUST: MONTHLY P&I : 3,076.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,238,000.00 P & I AMT: 15,177.89 UPB AMT: 2,236,375.99 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 104 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031592066 MORTGAGORS: WHITE PAUL WHITE MARILYN REGION CODE ADDRESS : 11459 HARRISBURG ROAD 01 CITY : LOS ALAMITOS STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 313,500.00 OPTION TO CONVERT : UNPAID BALANCE : 313,261.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,165.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.37500 ---------------------------------------------------------------- 0 0031592108 MORTGAGORS: SCARPELLA MICHAEL REGION CODE ADDRESS : 5784 CAMINITO PULSERA 01 CITY : SAN DIEGO STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 332,400.00 OPTION TO CONVERT : UNPAID BALANCE : 331,929.29 ANNUAL RATE ADJUST: MONTHLY P&I : 2,381.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031592306 MORTGAGORS: BILOTTA MICHAEL BILOTTA EVELYN REGION CODE ADDRESS : 19262 TERRACE VIEW CIRCLE 01 CITY : TRABUCO CANYON STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 246,800.00 OPTION TO CONVERT : UNPAID BALANCE : 246,616.84 ANNUAL RATE ADJUST: MONTHLY P&I : 1,725.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.99600 ---------------------------------------------------------------- 0 0031592371 MORTGAGORS: PANELLA MICHAEL PANELLA DENISE REGION CODE ADDRESS : 11 EDGEWATER DR 01 CITY : MATAWAN STATE/ZIP : NJ 07747 MORTGAGE AMOUNT : 155,000.00 OPTION TO CONVERT : UNPAID BALANCE : 155,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,205.58 OUTSIDE CONV DATE : LIFETIME RATE : 8.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.62500 PRODUCT CODE : 250 LTV : 82.44600 ---------------------------------------------------------------- 0 0031592892 MORTGAGORS: FRIEDMAN MONTE REGION CODE ADDRESS : 231 POMONA AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,812.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,054.55 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 73.68400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,327,700.00 P & I AMT: 9,532.41 UPB AMT: 1,326,619.70 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 105 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031592975 MORTGAGORS: OCHS JUDITH OCHS MATTHEW REGION CODE ADDRESS : 1213 FAIRVILLE ROAD 01 CITY : CHADDS FORD STATE/ZIP : PA 19317 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 499,579.95 ANNUAL RATE ADJUST: MONTHLY P&I : 3,284.64 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.36500 ---------------------------------------------------------------- 0 0031593015 MORTGAGORS: DOYLE MARC DOYLE MARGO REGION CODE ADDRESS : 4525 SUNNYHILL DRIVE 01 CITY : CARLSBAD STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,740.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.77700 ---------------------------------------------------------------- 0 0031593304 MORTGAGORS: CINGARI MICHAEL REGION CODE ADDRESS : 2433 LAGUNA ROAD 01 CITY : SANTA ROSA STATE/ZIP : CA 95401 MORTGAGE AMOUNT : 423,200.00 OPTION TO CONVERT : UNPAID BALANCE : 422,893.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,995.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031593650 MORTGAGORS: KOZLAK NICHOLAS KOZLAK JODEEN REGION CODE ADDRESS : 4632 BROWNDALE AVENUE 01 CITY : EDINA STATE/ZIP : MN 55424 MORTGAGE AMOUNT : 452,625.00 OPTION TO CONVERT : UNPAID BALANCE : 452,625.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,203.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031594211 MORTGAGORS: MUSTO DOUG MUSTO DAYNA REGION CODE ADDRESS : 3177 ORANGE STREET 01 CITY : SAN JOSE STATE/ZIP : CA 95127 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,753.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,155.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,041,825.00 P & I AMT: 14,086.62 UPB AMT: 2,040,592.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 106 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031594559 MORTGAGORS: BRENNAN EDWARD REGION CODE ADDRESS : 9 MORRIS CIRCLE 01 CITY : WAYNE STATE/ZIP : PA 19087 MORTGAGE AMOUNT : 165,500.00 OPTION TO CONVERT : UNPAID BALANCE : 165,374.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,143.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 77.33600 ---------------------------------------------------------------- 0 0031594633 MORTGAGORS: SHARFAEI HOSSEIN PARSAEI SHEKOFEH REGION CODE ADDRESS : 6391 TWIN OAKS LANE 01 CITY : LISLE STATE/ZIP : IL 60532 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031594658 MORTGAGORS: GONIKMAN ALEX GONIKMAN VALERIE REGION CODE ADDRESS : 2187 AVALON DR 01 CITY : BUFFALO GROVE STATE/ZIP : IL 60089 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,790.65 ANNUAL RATE ADJUST: MONTHLY P&I : 2,289.35 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 89.91300 ---------------------------------------------------------------- 0 0031594807 MORTGAGORS: PIGOTT GREGSON PARISIEN PIGOTT MAGALI REGION CODE ADDRESS : 85 WETHERBEE ROAD 01 CITY : WALTHAM STATE/ZIP : MA 02154 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,828.50 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.96300 ---------------------------------------------------------------- 0 0031594823 MORTGAGORS: WHALEN TIMOTHY WHALEN JOAN REGION CODE ADDRESS : 846 WILADONDA DRIVE 01 CITY : LA CANADA FLINTRIDGE STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 557,000.00 OPTION TO CONVERT : UNPAID BALANCE : 556,586.63 ANNUAL RATE ADJUST: MONTHLY P&I : 3,894.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.30100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,601,500.00 P & I AMT: 11,278.18 UPB AMT: 1,600,579.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 107 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031594864 MORTGAGORS: BEUTH JEFFREY REGION CODE ADDRESS : 506 NORTH CROFT AVENUE 01 CITY : WEST HOLLYWOOD STATE/ZIP : CA 90048 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,793.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,338.87 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- 0 0031594906 MORTGAGORS: ATKINSON BRETT ATKINSON RONNA REGION CODE ADDRESS : 18615 PARK RIDGE LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,982.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 92.84000 ---------------------------------------------------------------- 0 0031594914 MORTGAGORS: HIBAN LOUIS HIBAN KATHLEEN REGION CODE ADDRESS : 311 YORKSHIRE DRIVE 01 CITY : FLEMINGTON STATE/ZIP : NJ 08822 MORTGAGE AMOUNT : 61,425.00 OPTION TO CONVERT : UNPAID BALANCE : 61,425.00 ANNUAL RATE ADJUST: MONTHLY P&I : 445.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 90.00000 ---------------------------------------------------------------- 0 0031595044 MORTGAGORS: SUDA KRISTY BATUELLO STEPHEN REGION CODE ADDRESS : 4175 SOUTH ONEIDA STREET 01 CITY : DENVER STATE/ZIP : CO 80237 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,793.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,017.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031595051 MORTGAGORS: ROSS RON REGION CODE ADDRESS : 956 REDWOOD DRIVE 01 CITY : DANVILLE STATE/ZIP : CA 94506 MORTGAGE AMOUNT : 348,750.00 OPTION TO CONVERT : UNPAID BALANCE : 348,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,379.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,297,175.00 P & I AMT: 9,162.80 UPB AMT: 1,296,762.66 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 108 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031595085 MORTGAGORS: BRADLEY ANNE REGION CODE ADDRESS : 170 EAST 87TH ST #E21B 01 CITY : NEW YORK STATE/ZIP : NY 10128 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,507.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 58.82300 ---------------------------------------------------------------- 0 0031595184 MORTGAGORS: WESTON GREGORY NOTT WESTON DIANE REGION CODE ADDRESS : 1946 42ND AVE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94116 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031595218 MORTGAGORS: HYDOCK GERALD HYDOCK ELIZABETH REGION CODE ADDRESS : 137 KING GEORGE ROAD 01 CITY : WARREN TOWNSHIP STATE/ZIP : NJ 07060 MORTGAGE AMOUNT : 418,500.00 OPTION TO CONVERT : UNPAID BALANCE : 418,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,926.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031595390 MORTGAGORS: HODGKINS ROBINSON HODGKINS MARGARET REGION CODE ADDRESS : 17 HIGH STREET 01 CITY : SUMMIT STATE/ZIP : NJ 07901 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 460,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,670.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031595457 MORTGAGORS: COSTANZA CHRISTOPHER FONG DEBRA REGION CODE ADDRESS : 2617 LINCOLNWOOD DRIVE 01 CITY : EVANSTON STATE/ZIP : IL 60201 MORTGAGE AMOUNT : 263,500.00 OPTION TO CONVERT : UNPAID BALANCE : 263,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,842.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,752,000.00 P & I AMT: 12,742.51 UPB AMT: 1,752,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 109 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031596166 MORTGAGORS: MINOTT GARY MINOTT L. SHALIMAR REGION CODE ADDRESS : 8282 SPARROW LANE 01 CITY : LA PALMA STATE/ZIP : CA 90623 MORTGAGE AMOUNT : 255,550.00 OPTION TO CONVERT : UNPAID BALANCE : 255,350.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,743.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031596208 MORTGAGORS: ZHOU MING LI LEI REGION CODE ADDRESS : 45 MEADOW LANE 01 CITY : BOXBOROUGH STATE/ZIP : MA 01719 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031596265 MORTGAGORS: BOETTCHER STEVEN BOETTCHER JANE REGION CODE ADDRESS : 2915 SILVESTER DRIVE 01 CITY : HARTLAND STATE/ZIP : WI 53029 MORTGAGE AMOUNT : 275,200.00 OPTION TO CONVERT : UNPAID BALANCE : 275,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,924.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031596315 MORTGAGORS: LANDIS GRETA LANDIS JEFFREY REGION CODE ADDRESS : 1338 SOUTH FEDERAL-UNIT P 01 CITY : CHICAGO STATE/ZIP : IL 60605 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,038.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031596331 MORTGAGORS: KLEPINGER ROBERT KLEPINGER LEANN REGION CODE ADDRESS : 28011 BEAU COURT 01 CITY : SAUGUS AREA STATE/ZIP : CA 91350 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,799.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,368,750.00 P & I AMT: 9,527.77 UPB AMT: 1,368,350.27 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 110 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031596356 MORTGAGORS: KANG TAI KANG YOUNG REGION CODE ADDRESS : 2109 NORTH HOBART BOULEVARD 01 CITY : LOS ANGELES STATE/ZIP : CA 90027 MORTGAGE AMOUNT : 484,000.00 OPTION TO CONVERT : UNPAID BALANCE : 483,640.80 ANNUAL RATE ADJUST: MONTHLY P&I : 3,384.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031597073 MORTGAGORS: MIRIKITANI WAYNE REGION CODE ADDRESS : 4205 PINEHURST CIRCLE 01 CITY : STOCKTON STATE/ZIP : CA 95219 MORTGAGE AMOUNT : 243,400.00 OPTION TO CONVERT : UNPAID BALANCE : 243,063.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,764.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.98499 ---------------------------------------------------------------- 0 0031597586 MORTGAGORS: KOMONS ALEXANDER KOMONS HARRIET REGION CODE ADDRESS : 3722 KRYSIA COURT 01 CITY : ANNANDALE STATE/ZIP : VA 22003 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,608.52 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 79.74200 ---------------------------------------------------------------- 0 0031597743 MORTGAGORS: NOEL JAMES NOEL JESSICA REGION CODE ADDRESS : 2618 SUTTON COURT 01 CITY : HOUSTON STATE/ZIP : TX 77027 MORTGAGE AMOUNT : 480,000.00 OPTION TO CONVERT : UNPAID BALANCE : 480,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,397.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031598030 MORTGAGORS: KIM JONG KIM CHANSOOK REGION CODE ADDRESS : 3862 JASON CIRCLE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 316,400.00 OPTION TO CONVERT : UNPAID BALANCE : 316,165.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,212.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,771,800.00 P & I AMT: 12,367.28 UPB AMT: 1,770,869.86 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 111 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031598162 MORTGAGORS: LECK SCOTT LECK LOUISE REGION CODE ADDRESS : 4189 MATTOS DRIVE 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,762.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.01200 ---------------------------------------------------------------- 0 0031598311 MORTGAGORS: BLOCH MICHAEL BLOCH SUSAN REGION CODE ADDRESS : 10 RED CEDAR COURT 01 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 372,000.00 OPTION TO CONVERT : UNPAID BALANCE : 371,716.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,569.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031598550 MORTGAGORS: CHING RUSSELL REGION CODE ADDRESS : 1212 PUNAHOU STREET #601 01 CITY : HONOLULU STATE/ZIP : HI 96826 MORTGAGE AMOUNT : 73,500.00 OPTION TO CONVERT : UNPAID BALANCE : 73,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 526.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031598816 MORTGAGORS: STONHAUS JAMES STONHAUS ROSEMARY REGION CODE ADDRESS : 217 SOUTH GRANADOS AVENUE 01 CITY : SOLANA BEACH STATE/ZIP : CA 92075 MORTGAGE AMOUNT : 760,000.00 OPTION TO CONVERT : UNPAID BALANCE : 759,463.59 ANNUAL RATE ADJUST: MONTHLY P&I : 5,444.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 015 LTV : 80.00000 ---------------------------------------------------------------- 0 0031598931 MORTGAGORS: ALLENDOERFER KAREN WETZEL GERHARD REGION CODE ADDRESS : 147 CUSHING STREET, #4 01 CITY : CAMBRIDGE STATE/ZIP : MA 02318 MORTGAGE AMOUNT : 169,000.00 OPTION TO CONVERT : UNPAID BALANCE : 169,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,240.07 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 250 LTV : 50.20796 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,694,500.00 P & I AMT: 12,018.16 UPB AMT: 1,693,443.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 112 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031599012 MORTGAGORS: CASSENS JEFFREY CASSENS NICOLE REGION CODE ADDRESS : 21231 LIMBER 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 232,000.00 OPTION TO CONVERT : UNPAID BALANCE : 232,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,582.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 84.36300 ---------------------------------------------------------------- 0 0031599152 MORTGAGORS: SHARP JAMES REGION CODE ADDRESS : 57 JEFFERSON AVENUE 01 CITY : MAPLEWOOD STATE/ZIP : NJ 07040 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,786.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,729.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.92300 ---------------------------------------------------------------- 0 0031599194 MORTGAGORS: BAFFER BETTY WILSON HENRY REGION CODE ADDRESS : 4017 19TH STREET SOUTH 01 CITY : ARLINGTON STATE/ZIP : VA 22204 MORTGAGE AMOUNT : 140,000.00 OPTION TO CONVERT : UNPAID BALANCE : 140,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 919.71 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031599251 MORTGAGORS: MINNIG HURL MINNIG PATRICIA REGION CODE ADDRESS : 5961 WILLOWROSS WAY 01 CITY : PLANO STATE/ZIP : TX 75093 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,775.52 ANNUAL RATE ADJUST: MONTHLY P&I : 2,037.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.62300 ---------------------------------------------------------------- 0 0031599590 MORTGAGORS: CLAY MICHAEL CLAY ROBIN REGION CODE ADDRESS : 20 REVERE DRIVE 01 CITY : BEDMINSTER TOWNSHIP STATE/ZIP : NJ 07921 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 310,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,010.66 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 73.46200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,237,000.00 P & I AMT: 8,280.31 UPB AMT: 1,236,562.40 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 113 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031599681 MORTGAGORS: KELLY EDWARD KELLY KATHLEEN REGION CODE ADDRESS : 19 JUNARD DRIVE 01 CITY : MORRISTOWN STATE/ZIP : NJ 07960 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 329,376.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,583.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/18 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 73.33300 ---------------------------------------------------------------- 0 0031599830 MORTGAGORS: MANIA ANTHONY REGION CODE ADDRESS : 14032 EAST CLINTON STREET 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85259 MORTGAGE AMOUNT : 204,000.00 OPTION TO CONVERT : UNPAID BALANCE : 203,844.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,408.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 76.11900 ---------------------------------------------------------------- 0 0031600042 MORTGAGORS: JENNINGS DAN JENNINGS LORI REGION CODE ADDRESS : 4249 ROTHRHAM COURT 01 CITY : PALM HARBOR STATE/ZIP : FL 34685 MORTGAGE AMOUNT : 242,059.00 OPTION TO CONVERT : UNPAID BALANCE : 241,883.80 ANNUAL RATE ADJUST: MONTHLY P&I : 1,713.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 93.51300 ---------------------------------------------------------------- 0 0031600083 MORTGAGORS: HAYES HAMILTON HAYES NANCY REGION CODE ADDRESS : 239 MIDDLE ROAD 01 CITY : NEWBURY STATE/ZIP : MA 01951 MORTGAGE AMOUNT : 356,000.00 OPTION TO CONVERT : UNPAID BALANCE : 356,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,489.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 56.06200 ---------------------------------------------------------------- 0 0031600315 MORTGAGORS: HUNT FRED REGION CODE ADDRESS : 801 NORTH DOS ROBLES PLACE 01 CITY : ALHAMBRA STATE/ZIP : CA 91801 MORTGAGE AMOUNT : 278,000.00 OPTION TO CONVERT : UNPAID BALANCE : 277,803.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.22200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,410,059.00 P & I AMT: 10,186.41 UPB AMT: 1,408,908.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 114 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031600596 MORTGAGORS: VERNHES CHRISTIAN VERNHES MONIQUE REGION CODE ADDRESS : 617 BRECKENRIDGE PLACE 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,756.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,378.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031600786 MORTGAGORS: KREBS DONALD REGION CODE ADDRESS : 8 SANDRA COURT 01 CITY : NEWBURY PARK STATE/ZIP : CA 91320 MORTGAGE AMOUNT : 227,150.00 OPTION TO CONVERT : UNPAID BALANCE : 226,997.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,666.75 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 78.57100 ---------------------------------------------------------------- 0 0031600836 MORTGAGORS: SABINE BOB SABINE STACY REGION CODE ADDRESS : 23502 GENTIAN PLACE 01 CITY : VALENCIA AREA STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 193,500.00 OPTION TO CONVERT : UNPAID BALANCE : 193,352.76 ANNUAL RATE ADJUST: MONTHLY P&I : 1,336.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98900 ---------------------------------------------------------------- 0 0031600935 MORTGAGORS: EINESMAN FRED REGION CODE ADDRESS : 8126 MCKIM COURT 01 CITY : LOS ANGELES STATE/ZIP : CA 90046 MORTGAGE AMOUNT : 637,500.00 OPTION TO CONVERT : UNPAID BALANCE : 637,050.06 ANNUAL RATE ADJUST: MONTHLY P&I : 4,567.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031600968 MORTGAGORS: VISELMAN EDWARD VISELMAN SUZANNE REGION CODE ADDRESS : 1265 DUMAINE AVENUE 01 CITY : AGOURA AREA STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 536,000.00 OPTION TO CONVERT : UNPAID BALANCE : 535,592.15 ANNUAL RATE ADJUST: MONTHLY P&I : 3,702.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,930,150.00 P & I AMT: 13,650.55 UPB AMT: 1,928,749.36 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 115 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031601313 MORTGAGORS: WILSON LARRY WILSON RUTH REGION CODE ADDRESS : 3813 DIAMOND RIDGE STREET 01 CITY : LAS VEGAS STATE/ZIP : NV 82129 MORTGAGE AMOUNT : 240,500.00 OPTION TO CONVERT : UNPAID BALANCE : 240,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,661.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 94.99300 ---------------------------------------------------------------- 0 0031601347 MORTGAGORS: PELLEGRINO DOMINICK PELLEGRINO SHARON REGION CODE ADDRESS : 10 RAVEN ROAD 01 CITY : COLTS NECK STATE/ZIP : NJ 07722 MORTGAGE AMOUNT : 355,000.00 OPTION TO CONVERT : UNPAID BALANCE : 354,761.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,604.87 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 78.02100 ---------------------------------------------------------------- 0 0031601792 MORTGAGORS: SHAGRIN DALE SHAGRIN LENORE REGION CODE ADDRESS : 26819 LIVE OAK COURT 01 CITY : CALABASAS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 265,500.00 OPTION TO CONVERT : UNPAID BALANCE : 265,307.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,879.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031602063 MORTGAGORS: HAYES GEORGE HAYES JOANNE REGION CODE ADDRESS : 172 CHRISTOPHER STREET 01 CITY : MONTCLAIR STATE/ZIP : NJ 07042 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 316,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,049.57 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031602428 MORTGAGORS: MACLAREN NOEL MACLAREN SUNITA REGION CODE ADDRESS : 4 RICHMOND PLACE 01 CITY : NEW ORLEANS STATE/ZIP : LA 70115 MORTGAGE AMOUNT : 468,000.00 OPTION TO CONVERT : UNPAID BALANCE : 467,625.74 ANNUAL RATE ADJUST: MONTHLY P&I : 3,153.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.88000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,645,000.00 P & I AMT: 11,347.73 UPB AMT: 1,644,195.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 116 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031602584 MORTGAGORS: JEUNELOT CHARLES JEUNELOT GLENDA REGION CODE ADDRESS : 306 JAMESTOWN ROAD 01 CITY : BRIDGEWATER STATE/ZIP : NJ 08807 MORTGAGE AMOUNT : 120,000.00 OPTION TO CONVERT : UNPAID BALANCE : 120,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 788.31 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 64.34300 ---------------------------------------------------------------- 0 0031602980 MORTGAGORS: VONNEGUT MARK SIBERT BARBARA REGION CODE ADDRESS : 230 ATHERTON STREET 01 CITY : MILTON STATE/ZIP : MA 02186 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 292,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031602998 MORTGAGORS: BERNINGER MARK BERNINGER M. REGION CODE ADDRESS : 12705 YOUNG LANE 01 CITY : NORTH POTOMAC STATE/ZIP : MD 20878 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,739.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,548.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.84700 ---------------------------------------------------------------- 0 0031603087 MORTGAGORS: SEWARD DAVID SEWARD MARIA REGION CODE ADDRESS : 124 CARLOTA CIRCLE 01 CITY : MILL VALLEY STATE/ZIP : CA 94941 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,798.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,901.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.71400 ---------------------------------------------------------------- 0 0031603228 MORTGAGORS: KRAUSS STACY KRAUSS RUSSELL REGION CODE ADDRESS : 17 FORMAN COURT 01 CITY : FREEHOLD STATE/ZIP : NJ 07728 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,373.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.92500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,392,000.00 P & I AMT: 9,604.16 UPB AMT: 1,391,537.56 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 117 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031603913 MORTGAGORS: VASILYEV GRIGORIY VASILYEVA MARINA REGION CODE ADDRESS : 1227 DOONE COURT 01 CITY : BROOKLYN STATE/ZIP : NY 11235 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,935.06 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 86.95600 ---------------------------------------------------------------- 0 0031603954 MORTGAGORS: LEE SANG LEE SOONIK REGION CODE ADDRESS : 2540 SLEEPY SPRING WAY 01 CITY : HACIENDA HEIGHTS STATE/ZIP : CA 91745 MORTGAGE AMOUNT : 274,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,796.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,915.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 88.38700 ---------------------------------------------------------------- 0 0031604002 MORTGAGORS: LEE DENIS LEE YEON REGION CODE ADDRESS : 719 TUFTS AVENUE 01 CITY : BURBANK STATE/ZIP : CA 91504 MORTGAGE AMOUNT : 263,000.00 OPTION TO CONVERT : UNPAID BALANCE : 262,809.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,861.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.76100 ---------------------------------------------------------------- 0 0031604218 MORTGAGORS: HALL KEITH HALLOWS KAREN REGION CODE ADDRESS : 123 ROLAND COURT 01 CITY : VIENNA STATE/ZIP : VA 22180 MORTGAGE AMOUNT : 282,650.00 OPTION TO CONVERT : UNPAID BALANCE : 282,445.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,000.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.16400 ---------------------------------------------------------------- 0 0031604895 MORTGAGORS: CASE EDWARD CASE MARCIA REGION CODE ADDRESS : 12204 KNIGHTSBRIDGE DRIVE 01 CITY : WOODBRIDGE STATE/ZIP : VA 22192 MORTGAGE AMOUNT : 291,650.00 OPTION TO CONVERT : UNPAID BALANCE : 291,404.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,915.94 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,511,300.00 P & I AMT: 10,628.93 UPB AMT: 1,510,456.70 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 118 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031605397 MORTGAGORS: LOW YUE LEE JANET REGION CODE ADDRESS : 26 BRIDGEPORT ROAD 01 CITY : NEWPORT BEACH AREA STATE/ZIP : CA 92657 MORTGAGE AMOUNT : 410,000.00 OPTION TO CONVERT : UNPAID BALANCE : 409,672.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 54.66600 ---------------------------------------------------------------- 0 0031605504 MORTGAGORS: ANDREWS JEFFREY ANDREWS LISA REGION CODE ADDRESS : 1 BARBERRY LANE 01 CITY : WEST NEWBURY STATE/ZIP : MA 01985 MORTGAGE AMOUNT : 237,900.00 OPTION TO CONVERT : UNPAID BALANCE : 237,732.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,704.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 84.99400 ---------------------------------------------------------------- 0 0031605595 MORTGAGORS: SAMATUA LEAGATONU SAMATUA LETICIA REGION CODE ADDRESS : 2184 BEACHWOOD COURT 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 272,500.00 OPTION TO CONVERT : UNPAID BALANCE : 272,292.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.98900 ---------------------------------------------------------------- 0 0031605876 MORTGAGORS: CONWAY BRIAN CONWAY MARY REGION CODE ADDRESS : 3315 EAST LAKE SAMMAMISH SHORE LANE 01 CITY : ISSAQUAH STATE/ZIP : WA 98029 MORTGAGE AMOUNT : 276,900.00 OPTION TO CONVERT : UNPAID BALANCE : 276,196.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,936.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 30.76600 ---------------------------------------------------------------- 0 0031606312 MORTGAGORS: MILLER BRENDA REGION CODE ADDRESS : 4116 GALBAR STREET 01 CITY : OCEANSIDE STATE/ZIP : CA 92056 MORTGAGE AMOUNT : 116,000.00 OPTION TO CONVERT : UNPAID BALANCE : 115,911.73 ANNUAL RATE ADJUST: MONTHLY P&I : 801.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,313,300.00 P & I AMT: 9,085.99 UPB AMT: 1,311,804.64 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 119 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031606577 MORTGAGORS: SADEGHI MITRA REGION CODE ADDRESS : 23623 WAKEFIELD COURT #82 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 84,000.00 OPTION TO CONVERT : UNPAID BALANCE : 83,952.90 ANNUAL RATE ADJUST: MONTHLY P&I : 668.35 OUTSIDE CONV DATE : LIFETIME RATE : 8.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031606791 MORTGAGORS: BURGOS RAUL REGION CODE ADDRESS : 929 SENECA ROAD 01 CITY : GREAT FALLS STATE/ZIP : VA 22066 MORTGAGE AMOUNT : 456,000.00 OPTION TO CONVERT : UNPAID BALANCE : 456,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,995.60 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031606817 MORTGAGORS: EZRA ESHAGH AHOUBIM FARIBA REGION CODE ADDRESS : 22716 PAUL REVERE DRIVE 01 CITY : CALABASAS STATE/ZIP : CA 91302 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,703.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.10600 ---------------------------------------------------------------- 0 0031606858 MORTGAGORS: NABORS TRUMAN NABORS SHAWN REGION CODE ADDRESS : 21254 WINDMILL DRIVE 01 CITY : ASHBURN STATE/ZIP : VA 20147 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,855.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031606866 MORTGAGORS: SEDAGATNIA HASSAN SEDAGATNIA MARYAM REGION CODE ADDRESS : 1528 MARIA PLACE 01 CITY : ROHNERT PARK AREA STATE/ZIP : CA 94928 MORTGAGE AMOUNT : 238,400.00 OPTION TO CONVERT : UNPAID BALANCE : 238,218.60 ANNUAL RATE ADJUST: MONTHLY P&I : 1,646.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,450,400.00 P & I AMT: 9,962.90 UPB AMT: 1,449,874.64 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 120 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031607328 MORTGAGORS: HARNETT MARK HARNETT KATHLEEN REGION CODE ADDRESS : 35 HERITAGE LANE 01 CITY : STOW STATE/ZIP : MA 01775 MORTGAGE AMOUNT : 341,700.00 OPTION TO CONVERT : UNPAID BALANCE : 341,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,389.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 84.85000 ---------------------------------------------------------------- 0 0031607377 MORTGAGORS: GOSSAGE GORDON REGION CODE ADDRESS : 375 MARLBOROUGH ST UNIT 4 01 CITY : BOSTON STATE/ZIP : MA 02115 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,722.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 69.09000 ---------------------------------------------------------------- 0 0031607591 MORTGAGORS: BEER KARIN REGION CODE ADDRESS : 60 HARBOR ROAD 01 CITY : WESTPORT STATE/ZIP : CT 06880 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,766.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,202.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 56.25000 ---------------------------------------------------------------- 0 0031607666 MORTGAGORS: THOMPSON JAMES THOMPSON VICTORIA REGION CODE ADDRESS : 9 TURNBERRY COURT 01 CITY : HALF MOON BAY STATE/ZIP : CA 94019 MORTGAGE AMOUNT : 579,000.00 OPTION TO CONVERT : UNPAID BALANCE : 578,548.33 ANNUAL RATE ADJUST: MONTHLY P&I : 3,949.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 65.87000 ---------------------------------------------------------------- 0 0031607690 MORTGAGORS: WESTFALL CHARLES WESTFALL CHRISTINE REGION CODE ADDRESS : 3018 HORSESHOE TRAIL ROAD 01 CITY : CHESTER SPRINGS STATE/ZIP : PA 19425 MORTGAGE AMOUNT : 281,200.00 OPTION TO CONVERT : UNPAID BALANCE : 281,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,990.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,896,900.00 P & I AMT: 13,254.25 UPB AMT: 1,896,214.55 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 121 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031608052 MORTGAGORS: YANDELL JERRY YANDELL KENDALL REGION CODE ADDRESS : 225 WONDERVIEW DRIVE 01 CITY : GLENDALE STATE/ZIP : CA 91202 MORTGAGE AMOUNT : 354,400.00 OPTION TO CONVERT : UNPAID BALANCE : 354,130.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031608193 MORTGAGORS: O'DONNELL JAMES O'DONNELL CAROLYN REGION CODE ADDRESS : 20107 178TH AVENUE NORTHEAST 01 CITY : WOODINVILLE STATE/ZIP : WA 98072 MORTGAGE AMOUNT : 311,950.00 OPTION TO CONVERT : UNPAID BALANCE : 311,745.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,316.22 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 79.99700 ---------------------------------------------------------------- 0 0031608250 MORTGAGORS: TYNDALL MATTHEW TYNDALL JANET REGION CODE ADDRESS : 156 HAGER LANE 01 CITY : BOXBOROUGH STATE/ZIP : MA 01719 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 68.18100 ---------------------------------------------------------------- 0 0031608284 MORTGAGORS: FERNANDEZ MARIO REGION CODE ADDRESS : 961 HARBOR DRIVE 01 CITY : KEY BISCAYNE STATE/ZIP : FL 33149 MORTGAGE AMOUNT : 836,620.00 OPTION TO CONVERT : UNPAID BALANCE : 835,967.36 ANNUAL RATE ADJUST: MONTHLY P&I : 5,707.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 015 LTV : 74.99900 ---------------------------------------------------------------- 0 0031608516 MORTGAGORS: BLYSTONE RUTH BLYSTONE W. REGION CODE ADDRESS : 13612 NE 26TH COURT 01 CITY : VANCOUVER STATE/ZIP : WA 98686 MORTGAGE AMOUNT : 232,900.00 OPTION TO CONVERT : UNPAID BALANCE : 231,610.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,858.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/18 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.78100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,035,870.00 P & I AMT: 14,427.31 UPB AMT: 2,033,454.41 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 122 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031608607 MORTGAGORS: GARSON JOEL GARSON THERESA REGION CODE ADDRESS : 2444 NORTH COTTAGE HILL DRIVE 01 CITY : ORANGE STATE/ZIP : CA 92867 MORTGAGE AMOUNT : 263,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,861.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.69600 ---------------------------------------------------------------- 0 0031608656 MORTGAGORS: PERROCHET BRIAN DAVIS ANNETTE REGION CODE ADDRESS : 3561 GRANDVIEW BLVD 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,746.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,217.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 61.58200 ---------------------------------------------------------------- 0 0031608755 MORTGAGORS: JONES GREGORY JONES SUSAN REGION CODE ADDRESS : 1413 LA JOLLA RANCHO ROAD 01 CITY : LA JOLLA STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 495,000.00 OPTION TO CONVERT : UNPAID BALANCE : 494,632.64 ANNUAL RATE ADJUST: MONTHLY P&I : 3,461.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.71400 ---------------------------------------------------------------- 0 0031608805 MORTGAGORS: KIRKENDALL ERIC KIRKENDALL KRISTINA REGION CODE ADDRESS : 2732 BLUME DRIVE 01 CITY : LOS ALAMITOS (AREA) STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 281,500.00 OPTION TO CONVERT : UNPAID BALANCE : 281,291.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,968.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- 0 0031608854 MORTGAGORS: SICKENGER KAREN HUTCHINSON CRAIG REGION CODE ADDRESS : 1716 TIMBER RIDGE COURT 01 CITY : VIRGINIA BEACH STATE/ZIP : VA 23455 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,732.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,517.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,724,500.00 P & I AMT: 12,025.15 UPB AMT: 1,723,403.02 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 123 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031609050 MORTGAGORS: KOORAPATY NANCY KOORAPATY ANGIRAS REGION CODE ADDRESS : 60 ROSEMONT DRIVE 01 CITY : NORTH ANDOVER STATE/ZIP : MA 01845 MORTGAGE AMOUNT : 379,800.00 OPTION TO CONVERT : UNPAID BALANCE : 379,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,623.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031610157 MORTGAGORS: LILLIG THOMAS HUYNH LEON REGION CODE ADDRESS : 2156 MONTGOMERY AVENUE 01 CITY : ENCINITAS STATE/ZIP : CA 92007 MORTGAGE AMOUNT : 335,200.00 OPTION TO CONVERT : UNPAID BALANCE : 334,938.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,286.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031610256 MORTGAGORS: RECHLITZ ANTHONY RECHLITZ GREER REGION CODE ADDRESS : 22086 E. RIDGE TRAIL CIRCLE 01 CITY : AURORA STATE/ZIP : CO 80016 MORTGAGE AMOUNT : 338,250.00 OPTION TO CONVERT : UNPAID BALANCE : 337,998.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,365.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0031610496 MORTGAGORS: CHILDS RONALD CHILDS HELEN REGION CODE ADDRESS : 1541 MAURO PIETRO DR 01 CITY : PETALUMA STATE/ZIP : CA 94954 MORTGAGE AMOUNT : 229,300.00 OPTION TO CONVERT : UNPAID BALANCE : 229,129.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,603.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.98100 ---------------------------------------------------------------- 0 0031610504 MORTGAGORS: THAI CHUNG THAI NGHI REGION CODE ADDRESS : 3100 BARTLETT AVENUE 01 CITY : ROSEMEAD STATE/ZIP : CA 91770 MORTGAGE AMOUNT : 238,400.00 OPTION TO CONVERT : UNPAID BALANCE : 238,218.60 ANNUAL RATE ADJUST: MONTHLY P&I : 1,646.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,520,950.00 P & I AMT: 10,524.80 UPB AMT: 1,520,085.91 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 124 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031610678 MORTGAGORS: RISENER AL RISENER EDYE REGION CODE ADDRESS : 12508 ROYAL POINT CT NE 01 CITY : ALBUQUERQUE STATE/ZIP : NM 87111 MORTGAGE AMOUNT : 283,000.00 OPTION TO CONVERT : UNPAID BALANCE : 282,789.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,978.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 84.47700 ---------------------------------------------------------------- 0 0031611049 MORTGAGORS: KIM MAENG KIM MIKYONG REGION CODE ADDRESS : 931 MURCHISON 01 CITY : MILLBRAE STATE/ZIP : CA 94030 MORTGAGE AMOUNT : 444,000.00 OPTION TO CONVERT : UNPAID BALANCE : 444,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,104.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.93600 ---------------------------------------------------------------- 0 0031611114 MORTGAGORS: WAGHORNE ROBERT WAGHORNE MARY REGION CODE ADDRESS : 4217 S GARDEN 01 CITY : WESTERN SPRINGS STATE/ZIP : IL 60558 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 235,820.42 ANNUAL RATE ADJUST: MONTHLY P&I : 1,630.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031611205 MORTGAGORS: ORDOS WAYNE ORDOS TAYLOR REGION CODE ADDRESS : 3370 NANTUCKET COURT 01 CITY : CAMERON PARK STATE/ZIP : CA 95682 MORTGAGE AMOUNT : 260,700.00 OPTION TO CONVERT : UNPAID BALANCE : 260,311.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,822.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.89600 ---------------------------------------------------------------- 0 0031611239 MORTGAGORS: DEAL BEVERLY NADSADY KATHLEEN REGION CODE ADDRESS : 1306 YELLOWSTONE DRIVE 01 CITY : LAKE ARROWHEAD STATE/ZIP : CA 92352 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,746.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,477.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.46800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,573,700.00 P & I AMT: 11,013.43 UPB AMT: 1,572,668.90 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 125 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031611288 MORTGAGORS: IRWIN CONSTANCE REGION CODE ADDRESS : 102 DUKE STREET 01 CITY : ALEXANDRIA STATE/ZIP : VA 22314 MORTGAGE AMOUNT : 334,400.00 OPTION TO CONVERT : UNPAID BALANCE : 334,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,338.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031611353 MORTGAGORS: SALANT LAURA REGION CODE ADDRESS : 30105 DIANA COURT 01 CITY : AGOURA HILLS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 235,500.00 OPTION TO CONVERT : UNPAID BALANCE : 235,320.80 ANNUAL RATE ADJUST: MONTHLY P&I : 1,626.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.88500 ---------------------------------------------------------------- 0 0031611395 MORTGAGORS: ROGERS MARK ROGERS JILL REGION CODE ADDRESS : 9 KINGS RIDGE ROAD 01 CITY : WASHINGTON TWSP. STATE/ZIP : NJ 07853 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,851.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.93200 ---------------------------------------------------------------- 0 0031611726 MORTGAGORS: JACKSON MARK REGION CODE ADDRESS : 2919 HAMPTON COVE WAY 01 CITY : OWENS CROSS STATE/ZIP : AL 35763 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,785.68 ANNUAL RATE ADJUST: MONTHLY P&I : 1,805.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 76.57100 ---------------------------------------------------------------- 0 0031611825 MORTGAGORS: MCKENNA SHAWN MCKENNA KATHERINE REGION CODE ADDRESS : 8084 SOUTH BANNOCK DRIVE 01 CITY : LARKSPUR STATE/ZIP : CO 80118 MORTGAGE AMOUNT : 256,500.00 OPTION TO CONVERT : UNPAID BALANCE : 256,314.34 ANNUAL RATE ADJUST: MONTHLY P&I : 1,815.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,362,400.00 P & I AMT: 9,436.80 UPB AMT: 1,361,820.82 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 126 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031611965 MORTGAGORS: LOTT ROBERT LOTT PATRICIA REGION CODE ADDRESS : 124 SIENA DRIVE 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 396,000.00 OPTION TO CONVERT : UNPAID BALANCE : 395,424.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,802.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031612179 MORTGAGORS: HALPERN MARK HALPERN MARGARET REGION CODE ADDRESS : 8900 BAY DRIVE 01 CITY : SURFSIDE STATE/ZIP : FL 33154 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 449,657.59 ANNUAL RATE ADJUST: MONTHLY P&I : 3,108.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 60.52200 ---------------------------------------------------------------- 0 0031612187 MORTGAGORS: LUPO MICHAEL LUPO STEPHANIE REGION CODE ADDRESS : 17742 STEADING ROAD 01 CITY : EDEN PRAIRIE STATE/ZIP : MN 55347 MORTGAGE AMOUNT : 256,350.00 OPTION TO CONVERT : UNPAID BALANCE : 256,154.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,770.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0031612377 MORTGAGORS: KAMATH ARVIND VIJAYARAGHAVAN DIVYA REGION CODE ADDRESS : 32 TYRELLA COURT 01 CITY : MOUNTAIN VIEW STATE/ZIP : CA 94043 MORTGAGE AMOUNT : 287,600.00 OPTION TO CONVERT : UNPAID BALANCE : 287,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,035.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.79452 ---------------------------------------------------------------- 0 0031612468 MORTGAGORS: POPENEY ROGER MOHR MELISSA REGION CODE ADDRESS : 1131 VIA CAROLINA 01 CITY : LA JOLLA STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 484,000.00 OPTION TO CONVERT : UNPAID BALANCE : 483,649.69 ANNUAL RATE ADJUST: MONTHLY P&I : 3,425.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,873,950.00 P & I AMT: 13,142.80 UPB AMT: 1,872,487.16 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 127 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031612799 MORTGAGORS: CULLERS DAVID CULLERS SHEILA REGION CODE ADDRESS : 11192 TRACY DRIVE 01 CITY : GRASS VALLEY STATE/ZIP : CA 95949 MORTGAGE AMOUNT : 265,900.00 OPTION TO CONVERT : UNPAID BALANCE : 265,712.33 ANNUAL RATE ADJUST: MONTHLY P&I : 1,904.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.99800 ---------------------------------------------------------------- 0 0031612955 MORTGAGORS: HELLER ROBERT HELLER EMILY REGION CODE ADDRESS : 5304 RENAISSANCE AVENUE #1 01 CITY : SAN DIEGO STATE/ZIP : CA 92122 MORTGAGE AMOUNT : 310,400.00 OPTION TO CONVERT : UNPAID BALANCE : 310,186.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,250.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 67.47800 ---------------------------------------------------------------- 0 0031612963 MORTGAGORS: HALL ALLEN FOCHT LOUISE REGION CODE ADDRESS : 406 8TH STREET 01 CITY : DEL MAR STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 364,000.00 OPTION TO CONVERT : UNPAID BALANCE : 363,716.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,483.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031613094 MORTGAGORS: HOUSE STEPHEN HOUSE JAN REGION CODE ADDRESS : 22012 KRISTIN LANE 01 CITY : SANTA CLARITA STATE/ZIP : CA 91350 MORTGAGE AMOUNT : 240,350.00 OPTION TO CONVERT : UNPAID BALANCE : 240,176.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,701.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031613367 MORTGAGORS: SEIBERT JOSEPH SEIBERT CYNTHIA REGION CODE ADDRESS : 6325 EAST OCEAN BOULEVARD 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,486.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,540,650.00 P & I AMT: 10,826.31 UPB AMT: 1,539,790.78 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 128 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031613482 MORTGAGORS: SWIRSDING JILL SWIRSDING RICHARD REGION CODE ADDRESS : 890 4TH STREET 01 CITY : OCEAN CITY STATE/ZIP : NJ 08226 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,781.56 ANNUAL RATE ADJUST: MONTHLY P&I : 1,708.02 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.51000 ---------------------------------------------------------------- 0 0031613755 MORTGAGORS: HARPER MATTHEW REGION CODE ADDRESS : 2917 EAST HARRISON STREET 01 CITY : SEATTLE STATE/ZIP : WA 98112 MORTGAGE AMOUNT : 158,400.00 OPTION TO CONVERT : UNPAID BALANCE : 158,288.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,134.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031614092 MORTGAGORS: ROBERTS BRUCE MEESE JOLINDA REGION CODE ADDRESS : 15 MOUNT BURNEY COURT 01 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,127.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 73.33300 ---------------------------------------------------------------- 0 0031614175 MORTGAGORS: PRICE THOMAS EDWARDS-PRICE CHARLENE REGION CODE ADDRESS : 621 TOYON DRIVE 01 CITY : MONTEREY STATE/ZIP : CA 93940 MORTGAGE AMOUNT : 371,000.00 OPTION TO CONVERT : UNPAID BALANCE : 370,433.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,562.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 74.20000 ---------------------------------------------------------------- 0 0031614365 MORTGAGORS: AUTHER JENNIFER REGION CODE ADDRESS : 6215 FLORES AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90056 MORTGAGE AMOUNT : 241,200.00 OPTION TO CONVERT : UNPAID BALANCE : 241,020.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,686.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,338,600.00 P & I AMT: 9,219.01 UPB AMT: 1,337,524.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 129 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031614407 MORTGAGORS: ZACHAREWICZ EUGENE ZACHAREWICZ VICTORIA REGION CODE ADDRESS : 2102 ROSSITER PLACE 01 CITY : ALEXANDRIA STATE/ZIP : VA 22308 MORTGAGE AMOUNT : 164,800.00 OPTION TO CONVERT : UNPAID BALANCE : 164,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,110.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031614415 MORTGAGORS: KRAMER WARREN MCCROSSEN WILLIAM REGION CODE ADDRESS : 56 RAVEN LANE 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,807.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,817.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.38900 ---------------------------------------------------------------- 0 0031614530 MORTGAGORS: BENEPE BRANDON BENEPE LESLEY REGION CODE ADDRESS : 27649 N. BRIARCLIFF PLACE 01 CITY : VALENCIA STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,596.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031614654 MORTGAGORS: CORAN EDWARD CORAN ROBYN REGION CODE ADDRESS : 10 SHADOW LANE 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 278,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,967.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.65300 ---------------------------------------------------------------- 0 0031614886 MORTGAGORS: FARACI FELICE REGION CODE ADDRESS : 2710 PRINDLE ROAD 01 CITY : BELMONT STATE/ZIP : CA 94002 MORTGAGE AMOUNT : 337,500.00 OPTION TO CONVERT : UNPAID BALANCE : 337,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,388.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,280,300.00 P & I AMT: 8,881.45 UPB AMT: 1,280,107.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 130 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031614944 MORTGAGORS: HEYGI ROGER HEYGI DIANE REGION CODE ADDRESS : 28941 NIGUEL VISTA 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 298,800.00 OPTION TO CONVERT : UNPAID BALANCE : 298,583.74 ANNUAL RATE ADJUST: MONTHLY P&I : 2,114.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031614977 MORTGAGORS: CORTEZ JESUS REGION CODE ADDRESS : 432 CAMINO DE TEODORO 01 CITY : WALNUT STATE/ZIP : CA 91789 MORTGAGE AMOUNT : 66,150.00 OPTION TO CONVERT : UNPAID BALANCE : 66,150.00 ANNUAL RATE ADJUST: MONTHLY P&I : 468.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031615008 MORTGAGORS: ELGART EDWARD ELGART KARIN REGION CODE ADDRESS : 1621 OLD GULPH ROAD 01 CITY : VILLANOVA STATE/ZIP : PA 19085 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,576.63 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 62.33700 ---------------------------------------------------------------- 0 0031615180 MORTGAGORS: LAWLESS LANDON REGION CODE ADDRESS : 13560 SOUTH 273 RD EAST AVENUE 01 CITY : COWETA STATE/ZIP : OK 74429 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,811.30 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031615214 MORTGAGORS: TAYLOR JUDY REGION CODE ADDRESS : UNIT #80 EDWARD TAYLOR RD. 01 CITY : OCEAN CITY STATE/ZIP : MD 21842 MORTGAGE AMOUNT : 66,186.00 OPTION TO CONVERT : UNPAID BALANCE : 66,186.00 ANNUAL RATE ADJUST: MONTHLY P&I : 462.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 79.96000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 919,136.00 P & I AMT: 6,335.39 UPB AMT: 918,731.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 131 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031615289 MORTGAGORS: MANN GERALD SWALLOW LINDA REGION CODE ADDRESS : 5849 GRAMERCY PLACE 01 CITY : DALLAS STATE/ZIP : TX 75230 MORTGAGE AMOUNT : 230,800.00 OPTION TO CONVERT : UNPAID BALANCE : 230,619.95 ANNUAL RATE ADJUST: MONTHLY P&I : 1,574.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031615529 MORTGAGORS: ROHRER CRAIG SEGO SHARON REGION CODE ADDRESS : 4 BELLEVIEW DRIVE 01 CITY : SEVERNA PARK STATE/ZIP : MD 21146 MORTGAGE AMOUNT : 378,750.00 OPTION TO CONVERT : UNPAID BALANCE : 378,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,713.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 73.54300 ---------------------------------------------------------------- 0 0031615636 MORTGAGORS: SCHWENZFEIER DANA REGION CODE ADDRESS : 9 HARBOR VIEW TERRACE 01 CITY : SALEM STATE/ZIP : MA 01970 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 500,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,453.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.74000 ---------------------------------------------------------------- 0 0031615792 MORTGAGORS: FOLTZ ROBERT FOLTZ SUSAN REGION CODE ADDRESS : 34340 ZIRCON TERRACE 01 CITY : FREMONT STATE/ZIP : CA 94555 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.17000 ---------------------------------------------------------------- 0 0031615834 MORTGAGORS: FERLAUTO JOSEPH REGION CODE ADDRESS : 28535 EVENING BREEZE DRIVE 01 CITY : YORBA LINDA STATE/ZIP : CA 92687 MORTGAGE AMOUNT : 295,350.00 OPTION TO CONVERT : UNPAID BALANCE : 295,125.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,039.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 84.99200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,674,900.00 P & I AMT: 11,669.06 UPB AMT: 1,674,495.21 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 132 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031615875 MORTGAGORS: CHEUNG REDMUND REGION CODE ADDRESS : 32925 REGENTS BOULEVARD 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 287,600.00 OPTION TO CONVERT : UNPAID BALANCE : 287,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,961.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031616105 MORTGAGORS: FINGERHOOD KARL FINGERHOOD LAURA REGION CODE ADDRESS : 10400 DALEBROOKE LANE 01 CITY : POTOMAC STATE/ZIP : MD 20854 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.98600 ---------------------------------------------------------------- 0 0031616154 MORTGAGORS: LORANCE RANDAL LORANCE ELINE REGION CODE ADDRESS : 9907 SOUTH CLYDE PLACE 01 CITY : HIGHLANDS RANCH STATE/ZIP : CO 80126 MORTGAGE AMOUNT : 271,800.00 OPTION TO CONVERT : UNPAID BALANCE : 271,587.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,854.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98500 ---------------------------------------------------------------- 0 0031616287 MORTGAGORS: DOYLE WILLIAM DOYLE VICTORIA REGION CODE ADDRESS : 11496 HOLLY FERN COURT 01 CITY : SAN DIEGO STATE/ZIP : CA 92131 MORTGAGE AMOUNT : 319,300.00 OPTION TO CONVERT : UNPAID BALANCE : 318,824.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,232.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.98400 ---------------------------------------------------------------- 0 0031616501 MORTGAGORS: RYAN PAUL RYAN TRACY REGION CODE ADDRESS : 1736 TOWNE DRIVE 01 CITY : WEST CHESTER STATE/ZIP : PA 19380 MORTGAGE AMOUNT : 272,600.00 OPTION TO CONVERT : UNPAID BALANCE : 272,370.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,790.79 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 69.98700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,394,300.00 P & I AMT: 9,476.63 UPB AMT: 1,393,383.52 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 133 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031616667 MORTGAGORS: BOEHM MITCHELL ROSSICK SUSIE REGION CODE ADDRESS : 2617 VIA PACHECO 01 CITY : PALOS VERDES STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 373,250.00 OPTION TO CONVERT : UNPAID BALANCE : 372,972.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,609.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.65000 ---------------------------------------------------------------- 0 0031616683 MORTGAGORS: LEHRER BRADLEY VAN ALLEN-LEHRER SUSAN REGION CODE ADDRESS : 17509 NE 31ST COURT 01 CITY : REDMOND STATE/ZIP : WA 98052 MORTGAGE AMOUNT : 414,400.00 OPTION TO CONVERT : UNPAID BALANCE : 414,100.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,933.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031616915 MORTGAGORS: CLARK BERNARD CLARK ROBIN REGION CODE ADDRESS : 4333 E. LAKESIDE LANE 01 CITY : PARADISE VALLEY STATE/ZIP : AZ 85253 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 649,440.36 ANNUAL RATE ADJUST: MONTHLY P&I : 4,215.89 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 74.28500 ---------------------------------------------------------------- 0 0031617145 MORTGAGORS: STRATTON WILLIAM STRATTON MARGARET REGION CODE ADDRESS : 12832 PARAPET WAY 01 CITY : OAK HILL STATE/ZIP : VA 20171 MORTGAGE AMOUNT : 545,900.00 OPTION TO CONVERT : UNPAID BALANCE : 545,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,631.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99900 ---------------------------------------------------------------- 0 0031617194 MORTGAGORS: STINSON MARK STINSON JENNY REGION CODE ADDRESS : 1313 RITCHIE COURT #2504-5 01 CITY : CHICAGO STATE/ZIP : IL 60610 MORTGAGE AMOUNT : 414,160.00 OPTION TO CONVERT : UNPAID BALANCE : 414,160.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,895.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,397,710.00 P & I AMT: 16,286.57 UPB AMT: 2,396,573.42 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 134 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031617210 MORTGAGORS: MAGLIARO BRIAN MAGLIARO KRISTI REGION CODE ADDRESS : 18921 SAINT ALBERT DRIVE 01 CITY : BROOKEVILLE STATE/ZIP : MD 20833 MORTGAGE AMOUNT : 238,300.00 OPTION TO CONVERT : UNPAID BALANCE : 238,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,625.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98600 ---------------------------------------------------------------- 0 0031617343 MORTGAGORS: BUSBICE MICHAEL BUSBICE MARTHA REGION CODE ADDRESS : 7711 HEATHER RIDGE COURT 01 CITY : IRVING STATE/ZIP : TX 75063 MORTGAGE AMOUNT : 160,000.00 OPTION TO CONVERT : UNPAID BALANCE : 159,881.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,118.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031617491 MORTGAGORS: SHACKELFORD DONALD REGION CODE ADDRESS : 4007 EDGEHILL LANE 01 CITY : SANTA YNEZ STATE/ZIP : CA 93460 MORTGAGE AMOUNT : 525,000.00 OPTION TO CONVERT : UNPAID BALANCE : 524,600.52 ANNUAL RATE ADJUST: MONTHLY P&I : 3,626.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- 0 0031617558 MORTGAGORS: SMITH TAYLOR SMITH BRENDA REGION CODE ADDRESS : 1141 OLD COLONY ROAD 01 CITY : LAKE FOREST STATE/ZIP : IL 60045 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,590.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.18800 ---------------------------------------------------------------- 0 0031617822 MORTGAGORS: WEINER JERALD WEINER PATRICIA REGION CODE ADDRESS : 31706 VIA COYOTE 01 CITY : TRABUCO CANYON STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 292,771.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,998.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.18900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,591,300.00 P & I AMT: 10,959.24 UPB AMT: 1,590,553.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 135 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031617863 MORTGAGORS: LEMPKO GREG LEMPKO LISA REGION CODE ADDRESS : 1273 MANNING DRIVE 01 CITY : EL DORADO HILLS STATE/ZIP : CA 95762 MORTGAGE AMOUNT : 253,125.00 OPTION TO CONVERT : UNPAID BALANCE : 252,937.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,769.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031617889 MORTGAGORS: PHILLIPS MICHAEL PHILLIPS ANN REGION CODE ADDRESS : 12739 RANCHO ESTATE PLACE 01 CITY : RANCHO CUCAMONGA STATE/ZIP : CA 91739 MORTGAGE AMOUNT : 264,591.00 OPTION TO CONVERT : UNPAID BALANCE : 264,591.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,782.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 87.03900 ---------------------------------------------------------------- 0 0031618028 MORTGAGORS: TIMKO THOMAS REGION CODE ADDRESS : 1220 CANDLEWOOD LANE 01 CITY : WALL STATE/ZIP : NJ 08750 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,564.34 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 68.26000 ---------------------------------------------------------------- 0 0031618051 MORTGAGORS: MCAULIFFE PAUL MCAULIFFE JEAN REGION CODE ADDRESS : 770 EAST SADDLE RIVER ROAD 01 CITY : HO HO KUS STATE/ZIP : NJ 07423 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,460.24 ANNUAL RATE ADJUST: MONTHLY P&I : 1,748.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 64.65900 ---------------------------------------------------------------- 0 0031618069 MORTGAGORS: SHAPIRO MARK SHAPIRO JANET REGION CODE ADDRESS : 1 DAWN COURT 01 CITY : FLORHAM PARK STATE/ZIP : NJ 07932 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,533.75 ANNUAL RATE ADJUST: MONTHLY P&I : 1,751.22 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 79.88100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,334,716.00 P & I AMT: 9,175.36 UPB AMT: 1,333,086.47 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 136 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031618119 MORTGAGORS: KRIKORIAN GREGORY KRIKORIAN TAMARA REGION CODE ADDRESS : 17 PINE TERRACE WEST 01 CITY : SHORT HILLS STATE/ZIP : NJ 07078 MORTGAGE AMOUNT : 267,000.00 OPTION TO CONVERT : UNPAID BALANCE : 266,621.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,912.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 66.75000 ---------------------------------------------------------------- 0 0031618127 MORTGAGORS: GREENSTEIN MITCHELL GREENSTEIN MAUREEN REGION CODE ADDRESS : 1225 RIVER ROAD, UNIT 5B 01 CITY : EDGEWATER STATE/ZIP : NJ 07020 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,514.53 ANNUAL RATE ADJUST: MONTHLY P&I : 1,875.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.61100 ---------------------------------------------------------------- 0 0031618267 MORTGAGORS: VRANEK JEFF VRANEK KAREN REGION CODE ADDRESS : 4238 FARMDALE AVENUE 01 CITY : STUDIO CITY AREA STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 260,500.00 OPTION TO CONVERT : UNPAID BALANCE : 260,301.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,799.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.93900 ---------------------------------------------------------------- 0 0031618283 MORTGAGORS: GUISE JAMES GUISE JOCELYN REGION CODE ADDRESS : 565 GALEN DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,771.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.07400 ---------------------------------------------------------------- 0 0031618325 MORTGAGORS: KOPESKY LAWRENCE KOPESKY JANELL REGION CODE ADDRESS : 3606 KEONIANA PLACE 01 CITY : PRINCEVILLE STATE/ZIP : HI 96722 MORTGAGE AMOUNT : 172,000.00 OPTION TO CONVERT : UNPAID BALANCE : 171,865.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,173.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,264,500.00 P & I AMT: 8,833.07 UPB AMT: 1,263,075.74 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 137 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031618390 MORTGAGORS: HENDRICKS TERENCE REGION CODE ADDRESS : 1464 LOMA DRIVE 01 CITY : HERMOSA BEACH STATE/ZIP : CA 90254 MORTGAGE AMOUNT : 376,600.00 OPTION TO CONVERT : UNPAID BALANCE : 376,334.20 ANNUAL RATE ADJUST: MONTHLY P&I : 2,698.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.28400 ---------------------------------------------------------------- 0 0031618556 MORTGAGORS: RAYNES STEPHEN RAYNES SHARON REGION CODE ADDRESS : 4078 CAMELLIA AVENUE 01 CITY : STUDIO CITY STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,810.75 ANNUAL RATE ADJUST: MONTHLY P&I : 1,783.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.85700 ---------------------------------------------------------------- 0 0031618564 MORTGAGORS: CORNELL DONALD CORNELL SHANNON REGION CODE ADDRESS : 9851 STAR DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 290,600.00 OPTION TO CONVERT : UNPAID BALANCE : 290,373.30 ANNUAL RATE ADJUST: MONTHLY P&I : 1,982.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.54000 ---------------------------------------------------------------- 0 0031618572 MORTGAGORS: IKEDA KAZUO IKEDA ELIKO REGION CODE ADDRESS : 8435 WOODLAWN AVENUE 01 CITY : SAN GABRIEL AREA STATE/ZIP : CA 91775 MORTGAGE AMOUNT : 295,200.00 OPTION TO CONVERT : UNPAID BALANCE : 294,975.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,038.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031618689 MORTGAGORS: YOON SCOTT REGION CODE ADDRESS : 555 MONTELEONE AVENUE 01 CITY : AGOURA STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 272,500.00 OPTION TO CONVERT : UNPAID BALANCE : 272,292.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.93300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,489,900.00 P & I AMT: 10,384.39 UPB AMT: 1,488,786.27 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 138 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031618705 MORTGAGORS: LEE YONG REGION CODE ADDRESS : 4460 WILSHIRE BLVD #701 01 CITY : LOS ANGELES STATE/ZIP : CA 90010 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,774.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,292.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031618739 MORTGAGORS: MILLER JOHN MILLER MARILYN REGION CODE ADDRESS : 91 FREDERICK STREET 01 CITY : SANTA CRUZ STATE/ZIP : CA 95062 MORTGAGE AMOUNT : 430,000.00 OPTION TO CONVERT : UNPAID BALANCE : 430,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,155.19 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 79.62900 ---------------------------------------------------------------- 0 0031618796 MORTGAGORS: VERNOTICO MICHAEL VERNOTICO JOANNE REGION CODE ADDRESS : 151 OAK RIDGE AVENUE 01 CITY : SUMMIT STATE/ZIP : NJ 07901 MORTGAGE AMOUNT : 425,000.00 OPTION TO CONVERT : UNPAID BALANCE : 425,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,791.95 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 50.89800 ---------------------------------------------------------------- 0 0031618838 MORTGAGORS: CORNACCHIA MICHEAL CORNACCHIA PATRICIA REGION CODE ADDRESS : 1414 GRAYMILL DRIVE 01 CITY : SCOTCH PLAINS STATE/ZIP : NJ 07090 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.24500 ---------------------------------------------------------------- 0 0031619042 MORTGAGORS: DE HERAS DOUGLAS DE HERAS NICOLE REGION CODE ADDRESS : 16271 WOODSTOCK LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92647 MORTGAGE AMOUNT : 275,500.00 OPTION TO CONVERT : UNPAID BALANCE : 275,285.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,879.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,695,500.00 P & I AMT: 11,811.21 UPB AMT: 1,695,059.23 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 139 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031619059 MORTGAGORS: WRIGHT ERNEST WRIGHT VICTORIA REGION CODE ADDRESS : 6926 MIMOSA DRIVE 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 372,000.00 OPTION TO CONVERT : UNPAID BALANCE : 371,716.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,569.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031619240 MORTGAGORS: HOWARD PAUL HOWARD PHYLLIS REGION CODE ADDRESS : 2171 CYPRESS STREET 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,768.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,099.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.99500 ---------------------------------------------------------------- 0 0031619349 MORTGAGORS: EARWOOD LARRY REGION CODE ADDRESS : 37190 APPLEGATE ROAD 01 CITY : MURRIETA (AREA) STATE/ZIP : CA 92563 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,826.30 ANNUAL RATE ADJUST: MONTHLY P&I : 1,698.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031619745 MORTGAGORS: GAMBINO JOHN REGION CODE ADDRESS : 2478 CAT CAY LANE 01 CITY : FT. LAURDERDALE STATE/ZIP : FL 33312 MORTGAGE AMOUNT : 121,600.00 OPTION TO CONVERT : UNPAID BALANCE : 121,509.75 ANNUAL RATE ADJUST: MONTHLY P&I : 850.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031619802 MORTGAGORS: FERET SUSANNE REGION CODE ADDRESS : 2611 KENILWORTH AVENUE 01 CITY : WILMETTE STATE/ZIP : IL 60091 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 67.41500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,337,600.00 P & I AMT: 9,289.96 UPB AMT: 1,336,821.65 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 140 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031620073 MORTGAGORS: WARING TODD GORDON EVE REGION CODE ADDRESS : 2243 22ND STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90405 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 449,657.59 ANNUAL RATE ADJUST: MONTHLY P&I : 3,108.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.92300 ---------------------------------------------------------------- 0 0031620099 MORTGAGORS: HYUN BING HYUN KIMBERLY REGION CODE ADDRESS : 7 RAMADA 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 326,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,732.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,168.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031620263 MORTGAGORS: BERNASEK ROBERT BERNASEK NANCY REGION CODE ADDRESS : 820 HILLSIDE ROAD 01 CITY : FAIRFIELD STATE/ZIP : CT 06430 MORTGAGE AMOUNT : 538,000.00 OPTION TO CONVERT : UNPAID BALANCE : 537,610.60 ANNUAL RATE ADJUST: MONTHLY P&I : 3,807.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 82.76900 ---------------------------------------------------------------- 0 0031620347 MORTGAGORS: SAUNDERS GREGG SAUNDERS ELIZABETH REGION CODE ADDRESS : 43 HALL ROAD 01 CITY : EASTON STATE/ZIP : CT 06612 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 351,718.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,371.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031620495 MORTGAGORS: ANDRADA VICTOR ANDRADA CYNTHIA REGION CODE ADDRESS : 210 STANBRIDGE COURT 01 CITY : ALAMEDA STATE/ZIP : CA 94502 MORTGAGE AMOUNT : 262,400.00 OPTION TO CONVERT : UNPAID BALANCE : 262,214.80 ANNUAL RATE ADJUST: MONTHLY P&I : 1,879.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,928,400.00 P & I AMT: 13,336.23 UPB AMT: 1,926,934.28 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 141 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031620917 MORTGAGORS: SEWELL MICHAEL SEWELL TERESA REGION CODE ADDRESS : 22632 INDIAN SPRINGS ROAD 01 CITY : SALINA STATE/ZIP : CA 93908 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,726.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.75700 ---------------------------------------------------------------- 0 0031621022 MORTGAGORS: MATHEWS STANTON MATHEWS LISA REGION CODE ADDRESS : 25181 STAGELINE DRIVE 01 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 515,000.00 OPTION TO CONVERT : UNPAID BALANCE : 514,645.58 ANNUAL RATE ADJUST: MONTHLY P&I : 3,734.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 74.63700 ---------------------------------------------------------------- 0 0031621030 MORTGAGORS: KOROSTOFF JULIE LARSSON CHRISTER REGION CODE ADDRESS : 58 WALNUT STREET 01 CITY : NEEDHAM STATE/ZIP : MA 02192 MORTGAGE AMOUNT : 294,800.00 OPTION TO CONVERT : UNPAID BALANCE : 294,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,036.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031621154 MORTGAGORS: ZANINE STACY ZANINE WILLIAM REGION CODE ADDRESS : 3880 FOUNTAIN CIRCLE 01 CITY : FOUNTAINVILLE STATE/ZIP : PA 18923 MORTGAGE AMOUNT : 287,550.00 OPTION TO CONVERT : UNPAID BALANCE : 287,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,889.00 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99700 ---------------------------------------------------------------- 0 0031621295 MORTGAGORS: TRAVER TRACY REGION CODE ADDRESS : 174 SPORT HILL ROAD 01 CITY : EASTON STATE/ZIP : CT 06612 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,202.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.75000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,662,350.00 P & I AMT: 11,588.45 UPB AMT: 1,661,995.58 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 142 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031621360 MORTGAGORS: SPIZUOCO DENIS SPIZUOCO KAREN REGION CODE ADDRESS : 999 NORTH NEW STREET 01 CITY : WEST CHESTER STATE/ZIP : PA 19380 MORTGAGE AMOUNT : 322,000.00 OPTION TO CONVERT : UNPAID BALANCE : 322,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,251.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031621428 MORTGAGORS: GUZIEWICZ ADAM GUZIEWICZ LORI REGION CODE ADDRESS : 4746 55TH STREET 01 CITY : SAN DIEGO STATE/ZIP : CA 92115 MORTGAGE AMOUNT : 236,500.00 OPTION TO CONVERT : UNPAID BALANCE : 236,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,694.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.97900 ---------------------------------------------------------------- 0 0031621659 MORTGAGORS: MEIDROTH JULIE NEAL THOMAS REGION CODE ADDRESS : 613 18TH STREET 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,790.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 28.51000 ---------------------------------------------------------------- 0 0031621667 MORTGAGORS: KOFFS DAVID REGION CODE ADDRESS : 28122 CAMINO LA RHONDA 01 CITY : SAN JUAN CAPISTRANO STATE/ZIP : CA 92675 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.75200 ---------------------------------------------------------------- 0 0031621980 MORTGAGORS: KING GEORGE REGION CODE ADDRESS : 4441-4443 20TH STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94114 MORTGAGE AMOUNT : 329,200.00 OPTION TO CONVERT : UNPAID BALANCE : 328,645.28 ANNUAL RATE ADJUST: MONTHLY P&I : 2,162.61 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 48.41100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,503,700.00 P & I AMT: 10,369.90 UPB AMT: 1,502,936.21 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 143 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031622046 MORTGAGORS: ROBERTS ROBERT ROBERTS LORNA REGION CODE ADDRESS : 18534 MORONGO STREET 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,891.95 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031622129 MORTGAGORS: RESTA LUIGI REGION CODE ADDRESS : 841 B STREET 01 CITY : PETALUMA STATE/ZIP : CA 94952 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,834.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031622327 MORTGAGORS: MCLAUGHLIN CHARLES MCLAUGHLIN JANE REGION CODE ADDRESS : 26 PORTMARNOCH COURT 01 CITY : COTO DE CAZA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 520,325.00 OPTION TO CONVERT : UNPAID BALANCE : 519,919.09 ANNUAL RATE ADJUST: MONTHLY P&I : 3,549.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99900 ---------------------------------------------------------------- 0 0031622335 MORTGAGORS: BRENNEIS STEVE HARRISON HERMA REGION CODE ADDRESS : 26821 MOORE OAKS ROAD 01 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 448,300.00 OPTION TO CONVERT : UNPAID BALANCE : 447,958.88 ANNUAL RATE ADJUST: MONTHLY P&I : 3,096.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 84.98500 ---------------------------------------------------------------- 0 0031622665 MORTGAGORS: PERKINS CHARLES PERKINS SUSAN REGION CODE ADDRESS : 1462 15TH AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94122 MORTGAGE AMOUNT : 269,850.00 OPTION TO CONVERT : UNPAID BALANCE : 269,850.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,886.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.01400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,766,475.00 P & I AMT: 12,164.79 UPB AMT: 1,765,562.80 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 144 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031622905 MORTGAGORS: MORRIS APRIL REGION CODE ADDRESS : 1250 LOS ROBLES PLACE 01 CITY : POMONA STATE/ZIP : CA 91768 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,784.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031623150 MORTGAGORS: PAPPAS TIMOTHY PAPPAS STACEY REGION CODE ADDRESS : 1275 OCEAN BREEZE ST 01 CITY : SAN MARCOS STATE/ZIP : CA 92069 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,800.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031623200 MORTGAGORS: JOHNSON WILLIAM JOHNSON ELLENOR REGION CODE ADDRESS : 1841 N. WILMOT 01 CITY : CHICAGO STATE/ZIP : IL 60647 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,017.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 68.67469 ---------------------------------------------------------------- 0 0031623259 MORTGAGORS: REED DENNIS GARCIDUENAS JESSE REGION CODE ADDRESS : 2026 NORTH LAS PALMAS AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 337,500.00 OPTION TO CONVERT : UNPAID BALANCE : 337,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,359.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031623291 MORTGAGORS: TENHAGEN JOSEPH SAELENS GABRIELLA REGION CODE ADDRESS : 3103 KINGSLEY ROAD 01 CITY : SHAKER HEIGHTS STATE/ZIP : OH 44122 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 276,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,438,500.00 P & I AMT: 9,943.64 UPB AMT: 1,438,284.69 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 145 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031623325 MORTGAGORS: RABRENOVICH ALEKSANDAR RABRENOVICH VIOLETA REGION CODE ADDRESS : 10737 INSPIRATION CIRCLE 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 403,400.00 OPTION TO CONVERT : UNPAID BALANCE : 403,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,890.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.96000 ---------------------------------------------------------------- 0 0031623366 MORTGAGORS: GULIZIA GARY REGION CODE ADDRESS : 5383 RENAISSANCE AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92122 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031623507 MORTGAGORS: HOLTZMAN DAVID REGION CODE ADDRESS : 904 MONROE STREET 01 CITY : HERNDON STATE/ZIP : VA 20170 MORTGAGE AMOUNT : 250,800.00 OPTION TO CONVERT : UNPAID BALANCE : 250,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,710.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031623523 MORTGAGORS: BURKE THOMAS REGION CODE ADDRESS : 224-226 GRAND VIEW AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94114 MORTGAGE AMOUNT : 480,000.00 OPTION TO CONVERT : UNPAID BALANCE : 480,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,274.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031623861 MORTGAGORS: MCJUNKIN JACK MCJUNKIN BARBARA REGION CODE ADDRESS : 10161 DARIA PLACE 01 CITY : DALLAS STATE/ZIP : TX 75229 MORTGAGE AMOUNT : 379,650.00 OPTION TO CONVERT : UNPAID BALANCE : 379,368.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 56.66400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,813,850.00 P & I AMT: 12,601.96 UPB AMT: 1,813,568.24 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 146 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031623929 MORTGAGORS: BLANDY GARY WONSON DEBORAH REGION CODE ADDRESS : 180 BROADWAY 01 CITY : COSTA MESA STATE/ZIP : CA 92627 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,998.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.55200 ---------------------------------------------------------------- 0 0031624083 MORTGAGORS: GABRIEL EILEEN SAWICKI THOMAS REGION CODE ADDRESS : 55 ALPINE TERRACE 01 CITY : HILLSDALE STATE/ZIP : NJ 07642 MORTGAGE AMOUNT : 346,000.00 OPTION TO CONVERT : UNPAID BALANCE : 345,484.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,419.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.75200 ---------------------------------------------------------------- 0 0031624091 MORTGAGORS: WARNER JOHN REGION CODE ADDRESS : 2698 DERBY DRIVE 01 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 249,950.00 OPTION TO CONVERT : UNPAID BALANCE : 249,950.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,662.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 62.48900 ---------------------------------------------------------------- 0 0031624109 MORTGAGORS: BIBLE MICHAEL BIBLE MICHELE REGION CODE ADDRESS : 26611 SUNFLOWER COURT 01 CITY : CALABASAS STATE/ZIP : CA 91302 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,814.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,811.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031624273 MORTGAGORS: SHIRTS ROBERT SHIRTS UNA REGION CODE ADDRESS : 483 AVENIDA PRIMAVERA 01 CITY : DEL MAR STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 499,647.10 ANNUAL RATE ADJUST: MONTHLY P&I : 3,582.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 78.74000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,644,950.00 P & I AMT: 11,475.01 UPB AMT: 1,643,896.64 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 147 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031624406 MORTGAGORS: MOGIL H. LEVINE BARBARA REGION CODE ADDRESS : 301 CREEK VALLEY LANE 01 CITY : ROCKVILLE STATE/ZIP : MD 20850 MORTGAGE AMOUNT : 368,550.00 OPTION TO CONVERT : UNPAID BALANCE : 368,269.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,545.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0031624430 MORTGAGORS: DOLAN PAUL DOLAN PAULINE REGION CODE ADDRESS : 375 SEASIDE AVENUE 01 CITY : SACO STATE/ZIP : ME 04072 MORTGAGE AMOUNT : 326,400.00 OPTION TO CONVERT : UNPAID BALANCE : 326,138.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,199.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031624497 MORTGAGORS: WILSON WENDIE REGION CODE ADDRESS : 4066 RIVOIR DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95118 MORTGAGE AMOUNT : 252,800.00 OPTION TO CONVERT : UNPAID BALANCE : 252,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,703.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031624588 MORTGAGORS: DOUMA DARIN REGION CODE ADDRESS : 41 HIDDEN VALLEY ROAD 01 CITY : MONROVIA STATE/ZIP : CA 91016 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,771.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,153.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.55500 ---------------------------------------------------------------- 0 0031624604 MORTGAGORS: HICKSON CHARLES HICKSON MELISSA REGION CODE ADDRESS : 650 ROCKY HOLLOW DRIVE 01 CITY : AKRON STATE/ZIP : OH 44313 MORTGAGE AMOUNT : 292,500.00 OPTION TO CONVERT : UNPAID BALANCE : 292,282.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,045.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,548,250.00 P & I AMT: 10,646.45 UPB AMT: 1,547,262.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 148 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031624745 MORTGAGORS: GRIFFIN MARGARET REGION CODE ADDRESS : 1706 LANIER PLACE NW 01 CITY : WASHINGTON STATE/ZIP : DC 20009 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,717.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,865.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 83.68200 ---------------------------------------------------------------- 0 0031624885 MORTGAGORS: TANAKA THOMAS REGION CODE ADDRESS : 4505 VIA CORONA 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 431,000.00 OPTION TO CONVERT : UNPAID BALANCE : 430,695.80 ANNUAL RATE ADJUST: MONTHLY P&I : 3,087.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 84.50900 ---------------------------------------------------------------- 0 0031625023 MORTGAGORS: MCGRADE STEPHEN MCGRADE DENISE REGION CODE ADDRESS : 8881 CRESTVIEW DRIVE 01 CITY : FRISCO STATE/ZIP : TX 75034 MORTGAGE AMOUNT : 274,300.00 OPTION TO CONVERT : UNPAID BALANCE : 274,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,871.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99000 ---------------------------------------------------------------- 0 0031625098 MORTGAGORS: WEST SCOTT WEST GILDA REGION CODE ADDRESS : 21355 STONETOWER DRIVE 01 CITY : TRABUCO CANYON (AREA) STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031625296 MORTGAGORS: TIMMERMAN DAVID TIMMERMAN PATRICIA REGION CODE ADDRESS : 5506 GLENN PLACE 01 CITY : TORRANCE STATE/ZIP : CA 90503 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,753.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,075.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,737,300.00 P & I AMT: 12,137.44 UPB AMT: 1,736,467.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 149 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031625536 MORTGAGORS: HERBERT HARRY HERBERT GINNEY REGION CODE ADDRESS : 33771 KILLARNEY LANE 01 CITY : SAN JUAN CAPISTRANO STATE/ZIP : CA 92675 MORTGAGE AMOUNT : 550,000.00 OPTION TO CONVERT : UNPAID BALANCE : 549,570.95 ANNUAL RATE ADJUST: MONTHLY P&I : 3,751.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 50.00000 ---------------------------------------------------------------- 0 0031625932 MORTGAGORS: WOZNEY CONRAD WOZNEY KENDRA REGION CODE ADDRESS : 322 EAST AVENIDA CORDOBA 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 293,600.00 OPTION TO CONVERT : UNPAID BALANCE : 293,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,128.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031626369 MORTGAGORS: CHAITIN ANTHONY CHAITIN NINA REGION CODE ADDRESS : 1440 N STATE PARKWAY #5B 01 CITY : CHICAGO STATE/ZIP : IL 60610 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,706.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031626559 MORTGAGORS: EVNIN KERRY EVNIN LAURA REGION CODE ADDRESS : 767 ROOT ROAD 01 CITY : MODESTO STATE/ZIP : CA 95357 MORTGAGE AMOUNT : 337,500.00 OPTION TO CONVERT : UNPAID BALANCE : 337,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,217.13 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031626617 MORTGAGORS: SMITH MICHAEL SMITH SUZANNE REGION CODE ADDRESS : 23509 GENTIAN COURT 01 CITY : VALENCIA AREA STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 188,300.00 OPTION TO CONVERT : UNPAID BALANCE : 188,156.71 ANNUAL RATE ADJUST: MONTHLY P&I : 1,300.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,613,400.00 P & I AMT: 11,104.54 UPB AMT: 1,612,827.66 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 150 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031626724 MORTGAGORS: MOULTON JAMES REGION CODE ADDRESS : 50 SANDY BEACH 01 CITY : OAKLAND STATE/ZIP : MD 21550 MORTGAGE AMOUNT : 278,150.00 OPTION TO CONVERT : UNPAID BALANCE : 277,703.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,873.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 69.19100 ---------------------------------------------------------------- 0 0031627045 MORTGAGORS: WALSH RORY GRIFFITH LINDA REGION CODE ADDRESS : 129 POINT LOBOS AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94121 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,751.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031627052 MORTGAGORS: GALEANO EUGENE GALEANO MARIAN REGION CODE ADDRESS : 557 DEL MONTE AVENUE 01 CITY : SOUTH SAN FRANCISCO STATE/ZIP : CA 94080 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,827.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,748.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031627219 MORTGAGORS: TAN MING REGION CODE ADDRESS : 263 SHERWOOD STREET 01 CITY : COSTA MESA STATE/ZIP : CA 92627 MORTGAGE AMOUNT : 334,400.00 OPTION TO CONVERT : UNPAID BALANCE : 334,139.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,281.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031627433 MORTGAGORS: RAMEY DAVID RAMEY ELIZABETH REGION CODE ADDRESS : 9615 ANDORA AVENUE 01 CITY : CHATSWORTH STATE/ZIP : CA 91311 MORTGAGE AMOUNT : 410,000.00 OPTION TO CONVERT : UNPAID BALANCE : 410,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.54500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,526,550.00 P & I AMT: 10,417.12 UPB AMT: 1,525,670.73 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 151 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031627565 MORTGAGORS: SURGUINE JAMES REGION CODE ADDRESS : 4006 SOUTHEAST OAK STREET 01 CITY : PORTLAND STATE/ZIP : OR 97214 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,944.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 64.04400 ---------------------------------------------------------------- 0 0031627631 MORTGAGORS: AUYEUNG ALEX AUYEUNG DORIS REGION CODE ADDRESS : 140 CHETWOOD DRIVE 01 CITY : MOUNTAIN VIEW STATE/ZIP : CA 94043 MORTGAGE AMOUNT : 274,050.00 OPTION TO CONVERT : UNPAID BALANCE : 273,819.76 ANNUAL RATE ADJUST: MONTHLY P&I : 1,800.32 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- 0 0031627953 MORTGAGORS: PARKOS CHARLES PARKOS NICKI REGION CODE ADDRESS : 4112 YELLOW GINGER GLEN 01 CITY : NORCROSS STATE/ZIP : GA 30092 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.32800 ---------------------------------------------------------------- 0 0031628076 MORTGAGORS: YANG SEONG YANG OK REGION CODE ADDRESS : 1840 ALFORD AVENUE 01 CITY : LOS ALTOS STATE/ZIP : CA 94024 MORTGAGE AMOUNT : 480,000.00 OPTION TO CONVERT : UNPAID BALANCE : 480,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,438.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 76.80000 ---------------------------------------------------------------- 0 0031628217 MORTGAGORS: JONES ANN REGION CODE ADDRESS : 833 OCEAN AVENUE #205 01 CITY : SANTA MONICA STATE/ZIP : CA 90402 MORTGAGE AMOUNT : 350,800.00 OPTION TO CONVERT : UNPAID BALANCE : 350,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,246.22 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,689,850.00 P & I AMT: 11,501.56 UPB AMT: 1,689,619.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 152 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031628886 MORTGAGORS: LACEY JOHN LACEY LISA REGION CODE ADDRESS : 2 HOLLYWOOD ROAD 01 CITY : WINCHESTER STATE/ZIP : MA 01890 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,762.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031628928 MORTGAGORS: DELUCA DEBORAH REGION CODE ADDRESS : 312 CUPERTINO WAY 01 CITY : SAN MATEO STATE/ZIP : CA 94403 MORTGAGE AMOUNT : 273,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031628936 MORTGAGORS: WISE JOHN WISE SARA REGION CODE ADDRESS : 8603 JELLICO AVENUE 01 CITY : NORTHRIDGE AREA(CITY OF L STATE/ZIP : CA 91325 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,786.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,729.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.28500 ---------------------------------------------------------------- 0 0031628951 MORTGAGORS: ROGERS CHRISTINA D'SOUZA BASIL REGION CODE ADDRESS : 3716 GREYMONT DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95136 MORTGAGE AMOUNT : 307,500.00 OPTION TO CONVERT : UNPAID BALANCE : 307,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031628977 MORTGAGORS: MARCOS FIDEL MARCOS ANGIE REGION CODE ADDRESS : 24422 EAST NAN COURT 01 CITY : DIAMOND BAR STATE/ZIP : CA 91765 MORTGAGE AMOUNT : 224,250.00 OPTION TO CONVERT : UNPAID BALANCE : 224,087.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,587.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,316,750.00 P & I AMT: 9,039.08 UPB AMT: 1,316,374.57 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 153 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031629017 MORTGAGORS: LITEL STUART REGION CODE ADDRESS : 38 EAST QUINOBEQUIN ROAD 01 CITY : WABAN STATE/ZIP : MA 02168 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,791.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 68.39900 ---------------------------------------------------------------- 0 0031629140 MORTGAGORS: RETA MICHAEL RETA RHODA REGION CODE ADDRESS : 29749 OAK BRIDGE DRIVE 01 CITY : SUN CITY STATE/ZIP : CA 92586 MORTGAGE AMOUNT : 84,000.00 OPTION TO CONVERT : UNPAID BALANCE : 83,939.20 ANNUAL RATE ADJUST: MONTHLY P&I : 594.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031629165 MORTGAGORS: BELLACICCO JUDITH REGION CODE ADDRESS : 20 IRONSIDES STREET NO. 9 01 CITY : LOS ANGELES STATE/ZIP : CA 90292 MORTGAGE AMOUNT : 247,500.00 OPTION TO CONVERT : UNPAID BALANCE : 247,306.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,688.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031629397 MORTGAGORS: BAINES JODY REGION CODE ADDRESS : 8539 SUMMIT OAKS BAY 01 CITY : SAVAGE STATE/ZIP : MN 55378 MORTGAGE AMOUNT : 274,400.00 OPTION TO CONVERT : UNPAID BALANCE : 274,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,895.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031629405 MORTGAGORS: CONGER MATTHEW CONGER SUE REGION CODE ADDRESS : 11700 CONWAY ROAD 01 CITY : ST. LOUIS STATE/ZIP : MO 63131 MORTGAGE AMOUNT : 378,750.00 OPTION TO CONVERT : UNPAID BALANCE : 378,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,680.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,234,650.00 P & I AMT: 8,649.95 UPB AMT: 1,234,396.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 154 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031629512 MORTGAGORS: ALFINETE JORGE ALFINETE INEZ REGION CODE ADDRESS : 3619 COBBERT DR 01 CITY : SAN JOSE STATE/ZIP : CA 95148 MORTGAGE AMOUNT : 238,500.00 OPTION TO CONVERT : UNPAID BALANCE : 238,318.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,647.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 61.94800 ---------------------------------------------------------------- 0 0031629538 MORTGAGORS: PIERCE JAMES PIERCE SUSAN REGION CODE ADDRESS : 700 CALLE MONSERRAT 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 477,500.00 OPTION TO CONVERT : UNPAID BALANCE : 477,136.66 ANNUAL RATE ADJUST: MONTHLY P&I : 3,297.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.90000 ---------------------------------------------------------------- 0 0031629561 MORTGAGORS: MORGAN ROBERT MORGAN LAURA REGION CODE ADDRESS : 3221 N. SOUTHPORT 01 CITY : CHICAGO STATE/ZIP : IL 60657 MORTGAGE AMOUNT : 490,000.00 OPTION TO CONVERT : UNPAID BALANCE : 490,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,468.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.13400 ---------------------------------------------------------------- 0 0031629702 MORTGAGORS: MOTLEY MICHAEL MOTLEY GAIL REGION CODE ADDRESS : 2372 NORTH COMSTOCK STREET 01 CITY : ORANGE STATE/ZIP : CA 92865 MORTGAGE AMOUNT : 222,500.00 OPTION TO CONVERT : UNPAID BALANCE : 222,330.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,536.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 94.68000 ---------------------------------------------------------------- 0 0031629777 MORTGAGORS: HENNESSEY TIMOTHY HENNESSEY KAREN REGION CODE ADDRESS : 1448 WHITE OAK WAY 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 299,200.00 OPTION TO CONVERT : UNPAID BALANCE : 299,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,117.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,727,700.00 P & I AMT: 12,067.91 UPB AMT: 1,726,985.87 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 155 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031629884 MORTGAGORS: YANG KUO CHAE JUNG REGION CODE ADDRESS : 26416 VIA DESMONDE 01 CITY : LOMITA STATE/ZIP : CA 90717 MORTGAGE AMOUNT : 296,800.00 OPTION TO CONVERT : UNPAID BALANCE : 296,574.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,049.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031630270 MORTGAGORS: SLOVAK MARC SLOVAK BARBARA REGION CODE ADDRESS : 15 WILTSHIRE ROAD 01 CITY : WYNNEWOOD STATE/ZIP : PA 19096 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,270.09 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 68.62700 ---------------------------------------------------------------- 0 0031630312 MORTGAGORS: STOKES ROY STOKES PATRICIA REGION CODE ADDRESS : 440 KROMRAY DRIVE 01 CITY : LEMONT STATE/ZIP : IL 60439 MORTGAGE AMOUNT : 232,600.00 OPTION TO CONVERT : UNPAID BALANCE : 232,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,567.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 88.57500 ---------------------------------------------------------------- 0 0031630338 MORTGAGORS: SOANES PAUL SOANES JOSEPHINE REGION CODE ADDRESS : 4910 VIA EL SERENO 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 441,600.00 OPTION TO CONVERT : UNPAID BALANCE : 441,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,937.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031630387 MORTGAGORS: ESNA-ASHARI MAJID ESNA-ASHARI FARZANEH REGION CODE ADDRESS : 1480 MYRTLE AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95118 MORTGAGE AMOUNT : 252,800.00 OPTION TO CONVERT : UNPAID BALANCE : 252,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,789.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,573,800.00 P & I AMT: 10,614.37 UPB AMT: 1,573,574.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 156 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031630742 MORTGAGORS: SANABRIA LUCIANO SANABRIA MILAGROS REGION CODE ADDRESS : 1003 TRIUNFO CANYON ROAD 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 120,000.00 OPTION TO CONVERT : UNPAID BALANCE : 119,908.69 ANNUAL RATE ADJUST: MONTHLY P&I : 828.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 42.85700 ---------------------------------------------------------------- 0 0031630759 MORTGAGORS: WAITE GEOFF WAITE ATHEANE REGION CODE ADDRESS : 28 SPRING STREET 01 CITY : LEXINGTON STATE/ZIP : MA 02173 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,761.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.68700 ---------------------------------------------------------------- 0 0031630767 MORTGAGORS: LOVELL RONALD LOVELL JULIANNA REGION CODE ADDRESS : 28 BUTLER ROAD 01 CITY : HINGHAM STATE/ZIP : MA 02043 MORTGAGE AMOUNT : 266,000.00 OPTION TO CONVERT : UNPAID BALANCE : 266,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,814.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031630924 MORTGAGORS: PARR ERIC PARR NANETTE REGION CODE ADDRESS : 6091 SKYFARM DRIVE 01 CITY : CASTRO VALLEY STATE/ZIP : CA 94552 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,799.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,823.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031631054 MORTGAGORS: SALINAS MARIO HOLANDA FATIMA REGION CODE ADDRESS : 506 21ST AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94121 MORTGAGE AMOUNT : 439,200.00 OPTION TO CONVERT : UNPAID BALANCE : 439,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,033.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,344,200.00 P & I AMT: 9,261.45 UPB AMT: 1,343,907.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 157 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031631138 MORTGAGORS: SCOTT MARK SCOTT KIMBERLEY REGION CODE ADDRESS : 113 NEWARK AVENUE 01 CITY : BRADLEY BEACH STATE/ZIP : NJ 07720 MORTGAGE AMOUNT : 76,500.00 OPTION TO CONVERT : UNPAID BALANCE : 76,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 610.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 90.00000 ---------------------------------------------------------------- 0 0031631278 MORTGAGORS: GREGORYK MICHAEL GREGORYK MARY REGION CODE ADDRESS : 1934 CAMINO VERA CRUZ 01 CITY : CAMARILLO STATE/ZIP : CA 93010 MORTGAGE AMOUNT : 320,900.00 OPTION TO CONVERT : UNPAID BALANCE : 320,250.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,134.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.98000 ---------------------------------------------------------------- 0 0031631310 MORTGAGORS: WOODS GEORGE WOODS BARBARA REGION CODE ADDRESS : 106 AND 106 1/2 CORAL AVENUE 01 CITY : BALBOA ISLAND AREA STATE/ZIP : CA 92662 MORTGAGE AMOUNT : 483,500.00 OPTION TO CONVERT : UNPAID BALANCE : 483,132.10 ANNUAL RATE ADJUST: MONTHLY P&I : 3,339.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 56.88200 ---------------------------------------------------------------- 0 0031631971 MORTGAGORS: MALAMI ANITA REGION CODE ADDRESS : 95-681 LEWANUU STREET` 01 CITY : MILILANI STATE/ZIP : HI 96789 MORTGAGE AMOUNT : 244,800.00 OPTION TO CONVERT : UNPAID BALANCE : 244,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,669.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031632029 MORTGAGORS: BAKER FRANK BAKER JUDITH REGION CODE ADDRESS : 3229 ALTA LAGUNA BLVD. 01 CITY : LAGUNA BEACH STATE/ZIP : CA 92651 MORTGAGE AMOUNT : 397,500.00 OPTION TO CONVERT : UNPAID BALANCE : 397,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,678.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 53.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,523,200.00 P & I AMT: 10,432.81 UPB AMT: 1,522,182.26 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 158 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031632094 MORTGAGORS: THOMPSON JOEL THOMPSON MARGARET REGION CODE ADDRESS : 2705 CUSTER DRIVE 01 CITY : CORINTH STATE/ZIP : TX 76205 MORTGAGE AMOUNT : 88,250.00 OPTION TO CONVERT : UNPAID BALANCE : 88,179.43 ANNUAL RATE ADJUST: MONTHLY P&I : 594.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.99500 ---------------------------------------------------------------- 0 0031632193 MORTGAGORS: MCKNIGHT MATTHEW ANGEL CRISTEN REGION CODE ADDRESS : 620 TERRACE AVENUE 01 CITY : MOSS BEACH STATE/ZIP : CA 94038 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,177.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031632383 MORTGAGORS: MARIEA SCHUYLER MARIEA SHERRY REGION CODE ADDRESS : 1826 CHELLE CT 01 CITY : JEFFERSON CITY STATE/ZIP : MO 65101 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,807.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.10400 ---------------------------------------------------------------- 0 0031632847 MORTGAGORS: EILON GABRIEL ZISMAN GRACIELA REGION CODE ADDRESS : 8017 DAMAR STREET 01 CITY : LONG BEACH STATE/ZIP : CA 90808 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,799.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,823.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031632854 MORTGAGORS: ROTH DAVID BRAINSKY ADA REGION CODE ADDRESS : 412 ANDREW ROAD 01 CITY : MERION STATE/ZIP : PA 19066 MORTGAGE AMOUNT : 309,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,004.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 79.43400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,230,250.00 P & I AMT: 8,407.77 UPB AMT: 1,229,978.55 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 159 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031632904 MORTGAGORS: HOPP MARTIN HOPP RANDY REGION CODE ADDRESS : 1868 NORTH DOHENY DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90069 MORTGAGE AMOUNT : 619,000.00 OPTION TO CONVERT : UNPAID BALANCE : 618,563.11 ANNUAL RATE ADJUST: MONTHLY P&I : 4,434.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 63.48700 ---------------------------------------------------------------- 0 0031633076 MORTGAGORS: HART GARY HART DEBRA REGION CODE ADDRESS : 5025 RYLAND AVE 01 CITY : TEMPLE CITY STATE/ZIP : CA 91780 MORTGAGE AMOUNT : 283,500.00 OPTION TO CONVERT : UNPAID BALANCE : 283,294.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,006.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.75000 ---------------------------------------------------------------- 0 0031633530 MORTGAGORS: MAGUIRE B. SILVA ROSEMARY REGION CODE ADDRESS : 43782 EXCELSO DRIVE 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 487,500.00 OPTION TO CONVERT : UNPAID BALANCE : 487,147.16 ANNUAL RATE ADJUST: MONTHLY P&I : 3,450.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.00000 ---------------------------------------------------------------- 0 0031633704 MORTGAGORS: MARTIN HARRY REGION CODE ADDRESS : 773 VIRGINIA AVENUE 01 CITY : ATLANTA STATE/ZIP : GA 30306 MORTGAGE AMOUNT : 194,500.00 OPTION TO CONVERT : UNPAID BALANCE : 194,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,461.22 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.25000 PRODUCT CODE : 250 LTV : 64.83300 ---------------------------------------------------------------- 0 0031633928 MORTGAGORS: ZIEBARTH JOHN GRAME-ZIEBARTH KAREN REGION CODE ADDRESS : 1435 ALEXANDRIA DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92107 MORTGAGE AMOUNT : 318,700.00 OPTION TO CONVERT : UNPAID BALANCE : 318,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,283.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.98800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,903,200.00 P & I AMT: 13,636.13 UPB AMT: 1,902,205.08 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 160 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031634215 MORTGAGORS: CANTER STEVE REGION CODE ADDRESS : 8871 WONDERLAND AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90046 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,344.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031634249 MORTGAGORS: WILLIAMS HAROLD WILLIAMS LINNETTE REGION CODE ADDRESS : 5456 MARLSTONE LANE 01 CITY : FAIRFAX STATE/ZIP : VA 22030 MORTGAGE AMOUNT : 520,450.00 OPTION TO CONVERT : UNPAID BALANCE : 520,450.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,683.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99800 ---------------------------------------------------------------- 0 0031634462 MORTGAGORS: MC SWIGGIN JAMES REGION CODE ADDRESS : 5 SIERRA VISTA DRIVE 01 CITY : MONTEREY STATE/ZIP : CA 93940 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031634520 MORTGAGORS: DESFOR DONALD DESFOR JUNE REGION CODE ADDRESS : 3829 ELM AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90807 MORTGAGE AMOUNT : 357,000.00 OPTION TO CONVERT : UNPAID BALANCE : 357,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,465.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.65300 ---------------------------------------------------------------- 0 0031634603 MORTGAGORS: BERNARD MYRON BERNARD MARILYN REGION CODE ADDRESS : 6960 E WHISPERING MESQUITE TRAIL 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85262 MORTGAGE AMOUNT : 168,000.00 OPTION TO CONVERT : UNPAID BALANCE : 168,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,174.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,693,450.00 P & I AMT: 11,740.69 UPB AMT: 1,693,450.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 161 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031634819 MORTGAGORS: CHEUNG RICHARD CHEUNG ANITA REGION CODE ADDRESS : 138 DELLA COURT 01 CITY : CAMPBELL STATE/ZIP : CA 95008 MORTGAGE AMOUNT : 376,150.00 OPTION TO CONVERT : UNPAID BALANCE : 376,150.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,662.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.98800 ---------------------------------------------------------------- 0 0031635311 MORTGAGORS: STEVENS M. STEVENS MARIE REGION CODE ADDRESS : 57 MARGUERITE DRIVE 01 CITY : RANCHO PALOS VERDES AREA STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 1,000,000.00 OPTION TO CONVERT : UNPAID BALANCE : 1,000,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 6,821.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 015 LTV : 42.55300 ---------------------------------------------------------------- 0 0031635378 MORTGAGORS: LAURANCE MARK LAURANCE BRENDALYNN REGION CODE ADDRESS : 255 LASSEN DRIVE 01 CITY : SAN BRUNO STATE/ZIP : CA 94066 MORTGAGE AMOUNT : 281,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,775.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,893.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.49100 ---------------------------------------------------------------- 0 0031635451 MORTGAGORS: BERMAN MARK BERMAN MICHELLE REGION CODE ADDRESS : 126 DARTHMOUTH ROAD 01 CITY : BALA CYNWYD STATE/ZIP : PA 19004 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,790.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,204.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 89.99400 ---------------------------------------------------------------- 0 0031635485 MORTGAGORS: BRUSCO CHARLES REGION CODE ADDRESS : 7070 POLO DRIVE 01 CITY : CUMMING STATE/ZIP : GA 30040 MORTGAGE AMOUNT : 372,500.00 OPTION TO CONVERT : UNPAID BALANCE : 372,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,604.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.29100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,333,650.00 P & I AMT: 16,186.08 UPB AMT: 2,333,216.07 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 162 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031635782 MORTGAGORS: GOMEZ MICHAEL GOMEZ BERTHA REGION CODE ADDRESS : 423 ST. ANDREWS WAY 01 CITY : SANTA MARIA STATE/ZIP : CA 93455 MORTGAGE AMOUNT : 258,875.00 OPTION TO CONVERT : UNPAID BALANCE : 258,682.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,810.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031636202 MORTGAGORS: GIUGLIANO LOUIS GIUGLIANO DEBORAH REGION CODE ADDRESS : 1725 NORTH POINSETTIA AVENUE 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 485,000.00 OPTION TO CONVERT : UNPAID BALANCE : 484,295.71 ANNUAL RATE ADJUST: MONTHLY P&I : 3,432.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 58.08300 ---------------------------------------------------------------- 0 0031636251 MORTGAGORS: CROLAND SCOTT CROLAND KERRI REGION CODE ADDRESS : 74 BERKELEY PLACE 01 CITY : GLEN ROCK STATE/ZIP : NJ 07452 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.63600 ---------------------------------------------------------------- 0 0031636319 MORTGAGORS: HORNE SCOTT HORNE KIMBERLY REGION CODE ADDRESS : 952 WHITE CLOUD DRIVE 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 318,650.00 OPTION TO CONVERT : UNPAID BALANCE : 318,401.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,173.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.95900 ---------------------------------------------------------------- 0 0031637069 MORTGAGORS: BARDIN JERRY BARDIN TRESSIE REGION CODE ADDRESS : 2701 CORBY DRIVE 01 CITY : PLANO STATE/ZIP : TX 75025 MORTGAGE AMOUNT : 130,400.00 OPTION TO CONVERT : UNPAID BALANCE : 130,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 900.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,435,925.00 P & I AMT: 9,974.99 UPB AMT: 1,434,780.01 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 163 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031637200 MORTGAGORS: KIKUMOTO JOSEPH KIKUMOTO KATHY REGION CODE ADDRESS : 27 BOLERO 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 190,000.00 OPTION TO CONVERT : UNPAID BALANCE : 190,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,344.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 67.85700 ---------------------------------------------------------------- 0 0031637374 MORTGAGORS: LOW TANG LIM JUDY REGION CODE ADDRESS : 880 EAST ESTATES DRIVE 01 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,732.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,256.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.44400 ---------------------------------------------------------------- 0 0031637390 MORTGAGORS: FRITSCHI JEFFREY FRITSCHI SHANNON REGION CODE ADDRESS : 1110 HOMESTEAD AVENUE 01 CITY : WALNUT CREEK STATE/ZIP : CA 94598 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,786.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031637416 MORTGAGORS: COULSON COTTON BRIMBERG MARIE-LOUISE REGION CODE ADDRESS : 65 MARGUERITE AVENUE 01 CITY : MILL VALLEY STATE/ZIP : CA 94941 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 499,609.94 ANNUAL RATE ADJUST: MONTHLY P&I : 3,410.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 60.38600 ---------------------------------------------------------------- 0 0031637556 MORTGAGORS: GRAHAM LAWRENCE GRAHAM-VALENCIA SHEILA REGION CODE ADDRESS : 33992 LAS PALMAS DEL MAR 01 CITY : SAN JUAN CAPISTRANO STATE/ZIP : CA 92675 MORTGAGE AMOUNT : 479,000.00 OPTION TO CONVERT : UNPAID BALANCE : 479,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,390.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 68.42800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,784,000.00 P & I AMT: 12,336.89 UPB AMT: 1,783,128.98 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 164 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031637713 MORTGAGORS: BALDWIN TERRY BALDWIN CATHERINE REGION CODE ADDRESS : 13838 WEST 59TH PLACE 01 CITY : ARVADA STATE/ZIP : CO 80004 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,671.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.01400 ---------------------------------------------------------------- 0 0031637879 MORTGAGORS: KRISHNAMURTHI RANGARAJAN VEPA SUNITHA REGION CODE ADDRESS : LOT#19 59 BLUE JAY LANE 01 CITY : ASHLAND STATE/ZIP : MA 01721 MORTGAGE AMOUNT : 258,250.00 OPTION TO CONVERT : UNPAID BALANCE : 258,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,805.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99900 ---------------------------------------------------------------- 0 0031638083 MORTGAGORS: LASTUFKA FRANCIS TSE MONIQUE REGION CODE ADDRESS : 165 NORTH BUENA VISTA AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95126 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,873.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031638174 MORTGAGORS: PENNY BRETT PENNY JUANITA REGION CODE ADDRESS : 327 SUMMERFIELD DRIVE 01 CITY : MILPITAS STATE/ZIP : CA 95035 MORTGAGE AMOUNT : 297,600.00 OPTION TO CONVERT : UNPAID BALANCE : 297,362.01 ANNUAL RATE ADJUST: MONTHLY P&I : 2,004.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031638588 MORTGAGORS: EMILFARB MICHAEL EMILFARB EMILIYA REGION CODE ADDRESS : 70 GARDNER ROAD 01 CITY : BROOKLINE STATE/ZIP : MA 02146 MORTGAGE AMOUNT : 446,250.00 OPTION TO CONVERT : UNPAID BALANCE : 446,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,082.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,515,100.00 P & I AMT: 10,438.08 UPB AMT: 1,514,862.01 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 165 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031639214 MORTGAGORS: SMITH GREGORY ARMSTRONG SMITH GINA REGION CODE ADDRESS : 6102 RUTHLAND ROAD 01 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 453,600.00 OPTION TO CONVERT : UNPAID BALANCE : 453,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,132.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031639743 MORTGAGORS: BOBAK MARTIN BOBAK JULIET REGION CODE ADDRESS : 7751 HENEFER AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 312,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,262.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031639776 MORTGAGORS: RUMFOLA MARK RUMFOLA KATHRYN REGION CODE ADDRESS : 1401 KENSINGTON DRIVE 01 CITY : FULLERTON STATE/ZIP : CA 92831 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,809.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031639792 MORTGAGORS: GUGGENHEIM CHARLENE REGION CODE ADDRESS : 7521 BANTRY COURT 01 CITY : LITTLETON STATE/ZIP : CO 80124 MORTGAGE AMOUNT : 269,300.00 OPTION TO CONVERT : UNPAID BALANCE : 269,100.15 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.98800 ---------------------------------------------------------------- 0 0031639974 MORTGAGORS: ZIERS MARK ZIERS CATHERINE REGION CODE ADDRESS : 9 TERRAZA DEL MAR 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 436,000.00 OPTION TO CONVERT : UNPAID BALANCE : 436,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,085.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,742,900.00 P & I AMT: 12,173.72 UPB AMT: 1,742,700.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 166 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031640543 MORTGAGORS: CHIU JOHN REGION CODE ADDRESS : 808 CAMINO FLORES 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91360 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 459,658.61 ANNUAL RATE ADJUST: MONTHLY P&I : 3,216.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031640709 MORTGAGORS: SKAER LAURA REGION CODE ADDRESS : 9111 E BERRY COURT 01 CITY : GREENWOOD VILLAGE STATE/ZIP : CO 80111 MORTGAGE AMOUNT : 274,500.00 OPTION TO CONVERT : UNPAID BALANCE : 273,869.50 ANNUAL RATE ADJUST: MONTHLY P&I : 1,895.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.42800 ---------------------------------------------------------------- 0 0031641087 MORTGAGORS: PERRY ROBERT PERRY JANE REGION CODE ADDRESS : 364 MEADOWBROOK AVENUE 01 CITY : RIDGEWOOD STATE/ZIP : NJ 07450 MORTGAGE AMOUNT : 341,000.00 OPTION TO CONVERT : UNPAID BALANCE : 341,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,183.46 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 63.73800 ---------------------------------------------------------------- 0 0031641194 MORTGAGORS: FICHMAN GLEN SHIBATA PATRICIA REGION CODE ADDRESS : 3001 PATRICIA AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 544,125.00 OPTION TO CONVERT : UNPAID BALANCE : 544,125.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,804.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031641491 MORTGAGORS: BOEDDEKER STEVEN MICHAEL SHANNON REGION CODE ADDRESS : 449 CLIPPER STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94114 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 368,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,573.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,987,625.00 P & I AMT: 13,673.47 UPB AMT: 1,986,653.11 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 167 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031641517 MORTGAGORS: HWANG JOHN YEH LEE REGION CODE ADDRESS : 761 STONE LANE 01 CITY : PALO ALTO STATE/ZIP : CA 94303 MORTGAGE AMOUNT : 468,000.00 OPTION TO CONVERT : UNPAID BALANCE : 467,606.82 ANNUAL RATE ADJUST: MONTHLY P&I : 3,074.43 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031641533 MORTGAGORS: SCOTT DAVID REGION CODE ADDRESS : 521 TYNDALL STREET 01 CITY : LOS ALTOS STATE/ZIP : CA 94022 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 419,680.41 ANNUAL RATE ADJUST: MONTHLY P&I : 2,900.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031641624 MORTGAGORS: BROWN CHARLAINE REGION CODE ADDRESS : 25151 TERRACE LATERN STREET, #5 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 87,750.00 OPTION TO CONVERT : UNPAID BALANCE : 87,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 628.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 65.00000 ---------------------------------------------------------------- 0 0031642077 MORTGAGORS: LANCA EDSEL LANCA MARIA REGION CODE ADDRESS : 25315 DARLINGTON 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 155,000.00 OPTION TO CONVERT : UNPAID BALANCE : 154,866.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,005.33 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 56.36300 ---------------------------------------------------------------- 0 0031642119 MORTGAGORS: RUZICKA JOHN RUZICKA GAIL REGION CODE ADDRESS : 301 LA JOLLA AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 245,100.00 OPTION TO CONVERT : UNPAID BALANCE : 244,913.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 61.27500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,375,850.00 P & I AMT: 9,302.10 UPB AMT: 1,374,817.27 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 168 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031642150 MORTGAGORS: DOUGHERTY SHARON REGION CODE ADDRESS : 47 CALVADOS 01 CITY : NEWPORT COAST AREA STATE/ZIP : CA 92657 MORTGAGE AMOUNT : 344,000.00 OPTION TO CONVERT : UNPAID BALANCE : 343,757.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,464.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.30300 ---------------------------------------------------------------- 0 0031642234 MORTGAGORS: VALDES RICHARD VALDES SARAH REGION CODE ADDRESS : 35635 MEYER COURT 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,760.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,021.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.94930 ---------------------------------------------------------------- 0 0031642283 MORTGAGORS: AHMAD MUBASHAR AHMAD RASHIDA REGION CODE ADDRESS : 14571 SAWLEAF AVENUE 01 CITY : IRVINE STATE/ZIP : CA 92606 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,819.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,769.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.36500 ---------------------------------------------------------------- 0 0031642291 MORTGAGORS: ROYS LELAND CHENG JANUS REGION CODE ADDRESS : 3706 PIMLICO DRIVE 01 CITY : PLEASANTON STATE/ZIP : CA 94588 MORTGAGE AMOUNT : 295,200.00 OPTION TO CONVERT : UNPAID BALANCE : 294,958.02 ANNUAL RATE ADJUST: MONTHLY P&I : 1,963.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031642366 MORTGAGORS: SPEVAK EILEEN REGION CODE ADDRESS : 641 WHITE OAK WAY 01 CITY : YORKVILLE STATE/ZIP : IL 60560 MORTGAGE AMOUNT : 189,000.00 OPTION TO CONVERT : UNPAID BALANCE : 188,866.61 ANNUAL RATE ADJUST: MONTHLY P&I : 1,354.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 63.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,378,200.00 P & I AMT: 9,573.11 UPB AMT: 1,377,160.98 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 169 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031642671 MORTGAGORS: BULLION JUSTIN BULLION ANN REGION CODE ADDRESS : 249 WALNUT STREET 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,328.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031643182 MORTGAGORS: DOYLE STEPHEN DOYLE CAROLYN REGION CODE ADDRESS : 16 LEDGEHILL ROAD 01 CITY : SOUTHBOROUGH STATE/ZIP : MA 01772 MORTGAGE AMOUNT : 435,000.00 OPTION TO CONVERT : UNPAID BALANCE : 435,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,041.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031643356 MORTGAGORS: ABUNDO REYNALDO ABUNDO LILIA REGION CODE ADDRESS : 4427 WAWONA STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90065 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,797.35 ANNUAL RATE ADJUST: MONTHLY P&I : 1,981.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031643497 MORTGAGORS: VISNICK MITCHELL REGION CODE ADDRESS : 5497 VISTA DEL DIOS 01 CITY : SAN DIEGO STATE/ZIP : CA 92067 MORTGAGE AMOUNT : 456,000.00 OPTION TO CONVERT : UNPAID BALANCE : 456,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,465.93 OUTSIDE CONV DATE : LIFETIME RATE : 8.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.37500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031643604 MORTGAGORS: EBBINS GARRICK EBBINS LORAINE REGION CODE ADDRESS : 614 WOODLAWN AVENUE 01 CITY : VENICE STATE/ZIP : CA 90291 MORTGAGE AMOUNT : 310,250.00 OPTION TO CONVERT : UNPAID BALANCE : 310,019.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,169.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,831,250.00 P & I AMT: 12,987.21 UPB AMT: 1,830,817.10 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 170 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031643620 MORTGAGORS: NAVIDI ARSALAN REGION CODE ADDRESS : 6010 STONEHENGE PLACE 01 CITY : NORTH BETHESDA STATE/ZIP : MD 20852 MORTGAGE AMOUNT : 242,400.00 OPTION TO CONVERT : UNPAID BALANCE : 242,029.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,674.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.96400 ---------------------------------------------------------------- 0 0031643646 MORTGAGORS: ABISIA GLENN ABISIA JOCELYN REGION CODE ADDRESS : 8231 TANFORAN COURT 01 CITY : NEWARK STATE/ZIP : CA 94560 MORTGAGE AMOUNT : 356,454.00 OPTION TO CONVERT : UNPAID BALANCE : 356,182.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,461.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.99900 ---------------------------------------------------------------- 0 0031643760 MORTGAGORS: JAHAN MICHAEL JAHAN VALERIE REGION CODE ADDRESS : 218 MANZANITA AVENUE 01 CITY : SIERRA MADRE STATE/ZIP : CA 91024 MORTGAGE AMOUNT : 416,900.00 OPTION TO CONVERT : UNPAID BALANCE : 416,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,986.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.40900 ---------------------------------------------------------------- 0 0031643778 MORTGAGORS: DANNHAUSEN JOHN DANNHAUSEN LYNN REGION CODE ADDRESS : 717 WEST ALEGRIA AVENUE 01 CITY : SIERRA MADRE STATE/ZIP : CA 91024 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,262.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.16000 ---------------------------------------------------------------- 0 0031644024 MORTGAGORS: BRANDT JAMES BRANDT JACQUELYN REGION CODE ADDRESS : RT 77 BOX 76 01 CITY : PINE RIVER STATE/ZIP : MN 56474 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 253,806.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,754.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 54.38900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,609,754.00 P & I AMT: 11,139.21 UPB AMT: 1,608,919.46 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 171 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031644172 MORTGAGORS: SIMMEROK BERYL SIMMEROK BRUCE REGION CODE ADDRESS : 6739 SHERWOOD DRIVE 01 CITY : LA VERNE STATE/ZIP : CA 91750 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,818.90 ANNUAL RATE ADJUST: MONTHLY P&I : 1,643.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.55500 ---------------------------------------------------------------- 0 0031644255 MORTGAGORS: MAKOFF JOHN SEAVEY JUSTINE REGION CODE ADDRESS : 207 22ND STREET 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 423,200.00 OPTION TO CONVERT : UNPAID BALANCE : 422,877.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,922.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031644289 MORTGAGORS: HANSON LEE HANSON CORALY REGION CODE ADDRESS : 22 HOLLINS DRIVE 01 CITY : SANTA CRUZ STATE/ZIP : CA 95060 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 329,742.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,251.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 35.67500 ---------------------------------------------------------------- 0 0031644297 MORTGAGORS: KORDUNER DAVID KRIMSTON JOAN REGION CODE ADDRESS : 4105 RHODES AVENUE 01 CITY : STUDIO CITY AREA STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 238,800.00 OPTION TO CONVERT : UNPAID BALANCE : 238,627.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,690.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.47600 ---------------------------------------------------------------- 0 0031644388 MORTGAGORS: SCHLAUCH THOMAS MC CRUDEN SCHLAUCH LESLIE REGION CODE ADDRESS : 695 HAVANA AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90814 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,803.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,925.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,502,000.00 P & I AMT: 10,433.35 UPB AMT: 1,500,869.75 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 172 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031644404 MORTGAGORS: MORALES MAURICE MORALES MARILYN REGION CODE ADDRESS : 43855 AMITY PLACE 01 CITY : ASHBURN STATE/ZIP : VA 20147 MORTGAGE AMOUNT : 241,300.00 OPTION TO CONVERT : UNPAID BALANCE : 240,759.39 ANNUAL RATE ADJUST: MONTHLY P&I : 1,687.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031644446 MORTGAGORS: SPATAFORE GENE SPATAFORE DAWN REGION CODE ADDRESS : 262 RATTO ROAD 01 CITY : ALAMEDA STATE/ZIP : CA 94502 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,507.31 ANNUAL RATE ADJUST: MONTHLY P&I : 2,010.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.73600 ---------------------------------------------------------------- 0 0031644479 MORTGAGORS: BUTLER KAREN BUTLER ROBERT REGION CODE ADDRESS : 107 VYNE COURT 01 CITY : MORRISVILLE STATE/ZIP : NC 27560 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,564.34 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.92200 ---------------------------------------------------------------- 0 0031644826 MORTGAGORS: CARIATI JOHN CARIATI ALISON REGION CODE ADDRESS : 35 NORTH STREET 01 CITY : HINGHAM STATE/ZIP : MA 02043 MORTGAGE AMOUNT : 366,000.00 OPTION TO CONVERT : UNPAID BALANCE : 366,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,559.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.91200 ---------------------------------------------------------------- 0 0031644883 MORTGAGORS: CONN HOWARD CONN RITA REGION CODE ADDRESS : 464 SWEETZER AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90048 MORTGAGE AMOUNT : 345,600.00 OPTION TO CONVERT : UNPAID BALANCE : 345,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,446.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,536,900.00 P & I AMT: 10,826.01 UPB AMT: 1,535,431.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 173 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031645070 MORTGAGORS: KASHA WALTER REGION CODE ADDRESS : 601 1ST STREET #6 01 CITY : HERMOSA BEACH STATE/ZIP : CA 90254 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,808.21 ANNUAL RATE ADJUST: MONTHLY P&I : 1,875.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.71400 ---------------------------------------------------------------- 0 0031645138 MORTGAGORS: HOFFMAN MORLEY GAYNOR NANCY REGION CODE ADDRESS : 2346 MCCREA ROAD 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,747.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,970.79 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031645153 MORTGAGORS: PINSKER SETH GLEZERMAN DIANE REGION CODE ADDRESS : 23209 MARIANO STREET 01 CITY : LOS ANGELES WOODLAND HIL STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,777.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,809.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031645187 MORTGAGORS: FIELDS DENNIS FIELDS JENNIE REGION CODE ADDRESS : 5280 VIA MARIPOSA 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 241,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,825.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,705.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.01600 ---------------------------------------------------------------- 0 0031645229 MORTGAGORS: NELSON STANLEY CURTISS SHERRY REGION CODE ADDRESS : 716 ALABAMA STREET 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,734.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,778.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/23 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.33300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,316,000.00 P & I AMT: 9,140.04 UPB AMT: 1,314,892.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 174 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031645286 MORTGAGORS: COWEE BRUCE COWEE ANGELA REGION CODE ADDRESS : 112 HASLEMERE COURT 01 CITY : LAFAYETTE STATE/ZIP : CA 94549 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,786.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031645385 MORTGAGORS: CLAY JOHN CLAY BERNADETTE REGION CODE ADDRESS : 4390 EAST ROCKY POINT ROAD 01 CITY : ANAHEIM STATE/ZIP : CA 92807 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,782.48 ANNUAL RATE ADJUST: MONTHLY P&I : 1,832.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031645492 MORTGAGORS: SHARPE MICHAEL SHARPE MELAINEE REGION CODE ADDRESS : 5515 LEAFY MEADOW LANE 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,762.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031645799 MORTGAGORS: ROBINSON MICHAEL REGION CODE ADDRESS : 5017 PALMETTO AVENUE # 71 01 CITY : PACIFICA STATE/ZIP : CA 94044 MORTGAGE AMOUNT : 147,900.00 OPTION TO CONVERT : UNPAID BALANCE : 147,690.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,059.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.96700 ---------------------------------------------------------------- 0 0031645807 MORTGAGORS: SCHENK DOUGLAS SCHENK KIM REGION CODE ADDRESS : 145 WILLIS PLACE #145 BLDG 12 01 CITY : BEAVER CREEK STATE/ZIP : CO 81620 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,030.70 ANNUAL RATE ADJUST: MONTHLY P&I : 1,934.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 72.97200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,289,900.00 P & I AMT: 8,997.80 UPB AMT: 1,288,053.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 175 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031645815 MORTGAGORS: MOSS ERIC COHEN- MOSS CHERYL REGION CODE ADDRESS : 3320 WOODVIEW CT 01 CITY : LAFAYETTE STATE/ZIP : CA 94549 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 438,681.55 ANNUAL RATE ADJUST: MONTHLY P&I : 3,076.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031645823 MORTGAGORS: AMODEI JOHN KELLY JULI REGION CODE ADDRESS : 3662 GREYMONT DR 01 CITY : SAN JOSE STATE/ZIP : CA 95136 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,432.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,054.54 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 75.67500 ---------------------------------------------------------------- 0 0031645914 MORTGAGORS: COGGINS WADE COGGINS KAY REGION CODE ADDRESS : 5971 ARABIAN COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 296,100.00 OPTION TO CONVERT : UNPAID BALANCE : 295,419.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,045.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031646219 MORTGAGORS: GUYER ARCHIE GUYER BETTY REGION CODE ADDRESS : 7369 TOLL BRIDGE ROAD 01 CITY : BELTON STATE/ZIP : TX 76513 MORTGAGE AMOUNT : 181,000.00 OPTION TO CONVERT : UNPAID BALANCE : 180,750.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,312.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 71.25900 ---------------------------------------------------------------- 0 0031646235 MORTGAGORS: FRISCHLING JESSICA BULLARD WILLIAM REGION CODE ADDRESS : 2255 DRY CREEK RD 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 542,400.00 OPTION TO CONVERT : UNPAID BALANCE : 541,592.41 ANNUAL RATE ADJUST: MONTHLY P&I : 3,792.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 69.98700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,739,500.00 P & I AMT: 12,281.09 UPB AMT: 1,735,876.53 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 176 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031646243 MORTGAGORS: KAISER THOMAS KAISER SHERYL REGION CODE ADDRESS : 5594 HARVARD DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95118 MORTGAGE AMOUNT : 195,000.00 OPTION TO CONVERT : UNPAID BALANCE : 194,737.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,430.85 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 72.22222 ---------------------------------------------------------------- 0 0031646268 MORTGAGORS: FRIPP RAYMOND FRIPP LYNETTE REGION CODE ADDRESS : 7509 RIO GRANDE BLVD, NW 01 CITY : ALBUQUERQUE STATE/ZIP : NM 87107 MORTGAGE AMOUNT : 467,740.00 OPTION TO CONVERT : UNPAID BALANCE : 466,717.91 ANNUAL RATE ADJUST: MONTHLY P&I : 3,310.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 53.45600 ---------------------------------------------------------------- 0 0031646276 MORTGAGORS: ANKAITIS VYTAS NELSON MARILEE REGION CODE ADDRESS : 1935 ABINANTE LANE 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 318,316.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.29400 ---------------------------------------------------------------- 0 0031646334 MORTGAGORS: ZIEGLER DEAN ZIEGLER PENNY REGION CODE ADDRESS : 7640 TORBAY CIRCLE 01 CITY : INDIANAPOLIS STATE/ZIP : IN 46254 MORTGAGE AMOUNT : 315,100.00 OPTION TO CONVERT : UNPAID BALANCE : 311,938.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,176.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.80200 ---------------------------------------------------------------- 0 0031646342 MORTGAGORS: BRATSET DAVID BRATSET ALICIA REGION CODE ADDRESS : 56 SOTA PLACE 01 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 208,000.00 OPTION TO CONVERT : UNPAID BALANCE : 207,712.76 ANNUAL RATE ADJUST: MONTHLY P&I : 1,508.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,505,840.00 P & I AMT: 10,636.12 UPB AMT: 1,499,422.50 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 177 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031646383 MORTGAGORS: CASANOVAS GONZALO CASANOVAS VIRGINIA REGION CODE ADDRESS : 3416 TAPER AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,190.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,034.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031646433 MORTGAGORS: DOWEN ANDREW DOWEN TERRI REGION CODE ADDRESS : 122 CANYON ACRES DRIVE 01 CITY : SANTA BARBARA STATE/ZIP : CA 93105 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 392,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,640.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647142 MORTGAGORS: LOW JAMES LOW ROBIN REGION CODE ADDRESS : 19 LAUREL ROAD 01 CITY : SWAMPSCOTT STATE/ZIP : MA 01907 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,907.79 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 79.26800 ---------------------------------------------------------------- 0 0031647282 MORTGAGORS: KORBLER WALTER BALLIN PATRICIA REGION CODE ADDRESS : 424 VISTA PARADA 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 383,722.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,717.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647399 MORTGAGORS: FAUTT MARY FAUTT MICHAEL REGION CODE ADDRESS : 6300 SNOWBERRY COURT 01 CITY : GILROY STATE/ZIP : CA 95020 MORTGAGE AMOUNT : 249,500.00 OPTION TO CONVERT : UNPAID BALANCE : 249,328.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,809.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.96700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,569,500.00 P & I AMT: 11,110.36 UPB AMT: 1,568,240.79 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 178 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031647498 MORTGAGORS: CHONG RAYMOND CHONG MONICA REGION CODE ADDRESS : 5463 ORA STREET 01 CITY : SAN JOSE STATE/ZIP : CA 95129 MORTGAGE AMOUNT : 424,000.00 OPTION TO CONVERT : UNPAID BALANCE : 423,685.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,964.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647506 MORTGAGORS: SIMONSON CHARLES SIMONSON DONA REGION CODE ADDRESS : 29571 CROWN CREEK 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,806.53 ANNUAL RATE ADJUST: MONTHLY P&I : 1,691.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647530 MORTGAGORS: GIBBS SCOTT WINFREY PAMELA REGION CODE ADDRESS : 650 ARTHUR STREET 01 CITY : NOVATO STATE/ZIP : CA 94947 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,807.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,817.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.96500 ---------------------------------------------------------------- 0 0031647548 MORTGAGORS: ANDERSON ANTHONY ANDERSON DEBORA REGION CODE ADDRESS : 623 AZURE HILLS DRIVE 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 286,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,776.89 ANNUAL RATE ADJUST: MONTHLY P&I : 1,951.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.05500 ---------------------------------------------------------------- 0 0031647555 MORTGAGORS: SHELTON GEORGE SHELTON SUSAN REGION CODE ADDRESS : 38790 FENTON WAY 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,815.56 ANNUAL RATE ADJUST: MONTHLY P&I : 1,943.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,486,000.00 P & I AMT: 10,368.65 UPB AMT: 1,484,891.35 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 179 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031647563 MORTGAGORS: SAWICKI J. SAWICKI MARCELA REGION CODE ADDRESS : 5067 MOORPARK AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95129 MORTGAGE AMOUNT : 307,000.00 OPTION TO CONVERT : UNPAID BALANCE : 306,777.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,172.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.97500 ---------------------------------------------------------------- 0 0031647613 MORTGAGORS: ESTRADA RAY REGION CODE ADDRESS : 2056 WEST ELBERON STREET 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 234,000.00 OPTION TO CONVERT : UNPAID BALANCE : 233,826.33 ANNUAL RATE ADJUST: MONTHLY P&I : 1,636.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.12500 ---------------------------------------------------------------- 0 0031647639 MORTGAGORS: QUAN BRYAN REGION CODE ADDRESS : 1543 FRANKLIN STREET 01 CITY : SANTA CLARA STATE/ZIP : CA 95050 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 449,666.03 ANNUAL RATE ADJUST: MONTHLY P&I : 3,146.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.42800 ---------------------------------------------------------------- 0 0031647654 MORTGAGORS: LEHRER JOSEPH LEHRER REGINA REGION CODE ADDRESS : 29034 OLD CARRIAGE COURT 01 CITY : AGOURA HILLS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 290,500.00 OPTION TO CONVERT : UNPAID BALANCE : 290,273.37 ANNUAL RATE ADJUST: MONTHLY P&I : 1,981.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.84800 ---------------------------------------------------------------- 0 0031647688 MORTGAGORS: SULLIVAN TIMOTHY REGION CODE ADDRESS : 17 BIRDIE LANE 01 CITY : COTO DE CAZA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,811.81 ANNUAL RATE ADJUST: MONTHLY P&I : 1,840.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,541,500.00 P & I AMT: 10,777.57 UPB AMT: 1,540,355.34 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 180 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031647696 MORTGAGORS: SYLVESTER DONALD SYLVESTER CONSTANCE REGION CODE ADDRESS : 113 ROSE SKY COURT 01 CITY : CARY STATE/ZIP : NC 27513 MORTGAGE AMOUNT : 282,050.00 OPTION TO CONVERT : UNPAID BALANCE : 280,556.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,972.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.99800 ---------------------------------------------------------------- 0 0031647704 MORTGAGORS: GABEL RONALD REGION CODE ADDRESS : 30635 COUNTRY CLUB DRIVE 01 CITY : REDLANDS STATE/ZIP : CA 92373 MORTGAGE AMOUNT : 309,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,752.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,081.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 73.57100 ---------------------------------------------------------------- 0 0031647712 MORTGAGORS: LEMIEUX DOUGLAS LEMIEUX HEIDI REGION CODE ADDRESS : 1387 NORTH KENNYMEAD STREET 01 CITY : ORANGE STATE/ZIP : CA 92869 MORTGAGE AMOUNT : 381,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,710.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,631.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.53100 ---------------------------------------------------------------- 0 0031647738 MORTGAGORS: BASKIN ALEX BASKIN SHARON REGION CODE ADDRESS : 6417 & 6419 WEST 6TH STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90048 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 351,732.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,431.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647746 MORTGAGORS: SMITH CARL SMITH ELAINE REGION CODE ADDRESS : 5968 CALLE CAMPOSECO 01 CITY : RANCHO SANTA FE STATE/ZIP : CA 92067 MORTGAGE AMOUNT : 580,000.00 OPTION TO CONVERT : UNPAID BALANCE : 579,590.63 ANNUAL RATE ADJUST: MONTHLY P&I : 4,155.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 44.27400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,904,050.00 P & I AMT: 13,271.80 UPB AMT: 1,901,342.69 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 181 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031647753 MORTGAGORS: GOLBARI NEJATOLLAH MANOOCHEHRI BEHNAZ REGION CODE ADDRESS : 1719 ROXBURY DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90034 MORTGAGE AMOUNT : 444,500.00 OPTION TO CONVERT : UNPAID BALANCE : 444,153.24 ANNUAL RATE ADJUST: MONTHLY P&I : 3,032.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 69.78000 ---------------------------------------------------------------- 0 0031647894 MORTGAGORS: MOSBY CARL MOSBY YVONNE REGION CODE ADDRESS : 35065 SPENDER COURT 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,734.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,155.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.45000 ---------------------------------------------------------------- 0 0031647928 MORTGAGORS: JOHNSON ALAN JOHNSON THERESA REGION CODE ADDRESS : 32976 DANATEAK 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,782.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647977 MORTGAGORS: JUSTISON GEORGE FILIA RICHARD REGION CODE ADDRESS : 4322 OAK RIDGE ROAD 01 CITY : PENNGROVE STATE/ZIP : CA 94951 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,800.23 ANNUAL RATE ADJUST: MONTHLY P&I : 1,953.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648025 MORTGAGORS: ROSICA DANIEL ROSICA PATRICIA REGION CODE ADDRESS : 18647 SANTA MARIANA STREET 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 389,000.00 OPTION TO CONVERT : UNPAID BALANCE : 388,704.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,686.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,733,500.00 P & I AMT: 11,951.49 UPB AMT: 1,732,174.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 182 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648454 MORTGAGORS: CARARA STEVEN CARARA SUSAN REGION CODE ADDRESS : 146 13TH AVENUE 01 CITY : SAN MATEO STATE/ZIP : CA 94402 MORTGAGE AMOUNT : 335,500.00 OPTION TO CONVERT : UNPAID BALANCE : 335,257.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,374.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.84100 ---------------------------------------------------------------- 0 0031648496 MORTGAGORS: THIESSEN MITCHELL THIESSEN DONNA REGION CODE ADDRESS : 9 CALVADOS 01 CITY : NEWPORT COAST (AREA) STATE/ZIP : CA 92657 MORTGAGE AMOUNT : 252,100.00 OPTION TO CONVERT : UNPAID BALANCE : 251,926.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,827.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.27600 ---------------------------------------------------------------- 0 0031648546 MORTGAGORS: FORD FRANCIS FORD LORRAINE REGION CODE ADDRESS : 6319 EAST SMOKE TREE AVENUE 01 CITY : AGOURA AREA STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,797.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648553 MORTGAGORS: DANIEL SCOTT DANIEL BETH REGION CODE ADDRESS : 1020 SOUTH MILES COURT 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,799.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031648561 MORTGAGORS: SNYDER GREGORY SNYDER VICKY REGION CODE ADDRESS : 17722 ORNA DRIVE 01 CITY : GRANADA HILLS AREA LOS AN STATE/ZIP : CA 91344 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,813.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.56200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,362,600.00 P & I AMT: 9,556.25 UPB AMT: 1,361,594.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 183 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648579 MORTGAGORS: EBERLE MARK EBERLE BRIGETTE REGION CODE ADDRESS : 3332 NE 38TH STREET 01 CITY : FORT LAUDERDALE STATE/ZIP : FL 33308 MORTGAGE AMOUNT : 271,800.00 OPTION TO CONVERT : UNPAID BALANCE : 271,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,877.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031648587 MORTGAGORS: SURTI SHAFIQ SURTI YASMIN REGION CODE ADDRESS : 786 SOUTH ROCKVALE LANE 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,714.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,590.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031648595 MORTGAGORS: KELSO STEPHEN KELSO KELLIE REGION CODE ADDRESS : 23459 LOS ENCINOS WAY 01 CITY : WOODLAND HILLS STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 269,600.00 OPTION TO CONVERT : UNPAID BALANCE : 269,367.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,748.62 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 70.02500 ---------------------------------------------------------------- 0 0031648603 MORTGAGORS: BRIGGS DONALD BRIGGS EVALYN REGION CODE ADDRESS : 2350 OAKLEAF CANYON ROAD 01 CITY : WALNUT AREA STATE/ZIP : CA 91789 MORTGAGE AMOUNT : 377,000.00 OPTION TO CONVERT : UNPAID BALANCE : 376,720.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,636.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.14000 ---------------------------------------------------------------- 0 0031648611 MORTGAGORS: BROWN BLAZE BROWN MARY REGION CODE ADDRESS : 990 SOUTH CHAMPLAIN CIRCLE 01 CITY : ANAHEIM STATE/ZIP : CA 92807 MORTGAGE AMOUNT : 232,000.00 OPTION TO CONVERT : UNPAID BALANCE : 231,823.46 ANNUAL RATE ADJUST: MONTHLY P&I : 1,602.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.59800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,525,400.00 P & I AMT: 10,454.32 UPB AMT: 1,524,426.21 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 184 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648629 MORTGAGORS: LUCERO ROBERT LUCERO MARIA REGION CODE ADDRESS : 15816 EAST LA PENA AVENUE 01 CITY : LA MIRADA STATE/ZIP : CA 90638 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,819.06 ANNUAL RATE ADJUST: MONTHLY P&I : 1,769.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.42800 ---------------------------------------------------------------- 0 0031648645 MORTGAGORS: YUDELL KENNETH YUDELL SONIA REGION CODE ADDRESS : 85 CANDLEWOOD ROAD 01 CITY : SCARSDALE STATE/ZIP : NY 10583 MORTGAGE AMOUNT : 254,400.00 OPTION TO CONVERT : UNPAID BALANCE : 254,206.42 ANNUAL RATE ADJUST: MONTHLY P&I : 1,757.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648652 MORTGAGORS: WASSMAN PAUL REGION CODE ADDRESS : 18030 TWO BAR ROAD 01 CITY : BOULDER CREEK STATE/ZIP : CA 95006 MORTGAGE AMOUNT : 120,200.00 OPTION TO CONVERT : UNPAID BALANCE : 120,119.34 ANNUAL RATE ADJUST: MONTHLY P&I : 881.99 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 40.06600 ---------------------------------------------------------------- 0 0031648660 MORTGAGORS: RAPPAPORT FREDERICK REGION CODE ADDRESS : 2403 PILGRIMAGE TRAIL 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 341,250.00 OPTION TO CONVERT : UNPAID BALANCE : 340,990.34 ANNUAL RATE ADJUST: MONTHLY P&I : 2,356.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.83500 ---------------------------------------------------------------- 0 0031648678 MORTGAGORS: STRATMAN PATRICK STRATMAN DEBBY REGION CODE ADDRESS : 14812 HARTSOOK STREET 01 CITY : SHERMAN OAKS AREA, LOS AN STATE/ZIP : CA 91403 MORTGAGE AMOUNT : 266,900.00 OPTION TO CONVERT : UNPAID BALANCE : 266,706.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,889.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.13500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,232,750.00 P & I AMT: 8,654.59 UPB AMT: 1,231,841.99 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 185 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648686 MORTGAGORS: NICHOLSON BRIAN NICHOLSON CATHERYNE REGION CODE ADDRESS : 422 CLIFTON AVENUE 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 395,000.00 OPTION TO CONVERT : UNPAID BALANCE : 394,699.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,728.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.77200 ---------------------------------------------------------------- 0 0031648835 MORTGAGORS: WONG MICHAEL REGION CODE ADDRESS : 2113 PARK AVENUE 01 CITY : RICHMOND STATE/ZIP : VA 23220 MORTGAGE AMOUNT : 236,500.00 OPTION TO CONVERT : UNPAID BALANCE : 236,337.24 ANNUAL RATE ADJUST: MONTHLY P&I : 1,714.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.97900 ---------------------------------------------------------------- 0 0031648850 MORTGAGORS: SINKEY GREG REGION CODE ADDRESS : 1442 LAKE PARKER DRIVE 01 CITY : ODESSA STATE/ZIP : FL 33556 MORTGAGE AMOUNT : 373,100.00 OPTION TO CONVERT : UNPAID BALANCE : 372,849.65 ANNUAL RATE ADJUST: MONTHLY P&I : 2,737.68 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 89.98900 ---------------------------------------------------------------- 0 0031648868 MORTGAGORS: JORDAN JAMES JORDAN ANNE REGION CODE ADDRESS : 3504 BRIARS ROAD 01 CITY : BROOKEVILLE STATE/ZIP : MD 20833 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,089.89 ANNUAL RATE ADJUST: MONTHLY P&I : 1,540.43 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031648918 MORTGAGORS: PITTS JAMES PITTS LIESA REGION CODE ADDRESS : 703 MOCKINGBIRD PLACE 01 CITY : DAVIS STATE/ZIP : CA 95616 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 383,707.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,652.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,626,100.00 P & I AMT: 11,373.26 UPB AMT: 1,624,684.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 186 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648983 MORTGAGORS: SERVANTE MARTIN SERVANTE CINDI REGION CODE ADDRESS : 95 SAN CARLOS WAY 01 CITY : NOVATO STATE/ZIP : CA 94945 MORTGAGE AMOUNT : 249,600.00 OPTION TO CONVERT : UNPAID BALANCE : 249,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,681.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031649007 MORTGAGORS: MADISON HAROLD MADISON PATRICIA REGION CODE ADDRESS : 160 EAST SIDE DRIVE 01 CITY : REHOBETH BEACH STATE/ZIP : DE 19971 MORTGAGE AMOUNT : 259,200.00 OPTION TO CONVERT : UNPAID BALANCE : 259,017.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,856.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 63.21900 ---------------------------------------------------------------- 0 0031649015 MORTGAGORS: GIAMPETRONI JOSEPH GIAMPETRONI RAYMA REGION CODE ADDRESS : 4105 BEVERLY ROAD 01 CITY : ROCKVILLE STATE/ZIP : MD 20853 MORTGAGE AMOUNT : 341,250.00 OPTION TO CONVERT : UNPAID BALANCE : 340,741.90 ANNUAL RATE ADJUST: MONTHLY P&I : 2,386.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031649643 MORTGAGORS: PAYNE DANIEL TSENG EVELYN REGION CODE ADDRESS : 28675 VIA PASATIEMPO 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,638.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,826.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.27200 ---------------------------------------------------------------- 0 0031649692 MORTGAGORS: KIRSCH JOHN KIRSCH CHRISTI REGION CODE ADDRESS : 4354 DANT BOULEVARD 01 CITY : RENO STATE/ZIP : NV 89509 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 344,486.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,412.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,450,050.00 P & I AMT: 10,163.77 UPB AMT: 1,448,484.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 187 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031649726 MORTGAGORS: ROHR KARI ROHR RICHARD REGION CODE ADDRESS : 821 EAST WALNUT AVENUE 01 CITY : BURBANK STATE/ZIP : CA 91501 MORTGAGE AMOUNT : 327,500.00 OPTION TO CONVERT : UNPAID BALANCE : 327,012.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,289.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.77700 ---------------------------------------------------------------- 0 0031649734 MORTGAGORS: HOWARD DOUGLAS HOWARD MARY REGION CODE ADDRESS : 2891 WATERFALL LANE 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 247,950.00 OPTION TO CONVERT : UNPAID BALANCE : 247,380.50 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98600 ---------------------------------------------------------------- 0 0031649767 MORTGAGORS: HICKMAN FREDERICK HICKMAN SHERRY REGION CODE ADDRESS : 2966 WEST SNEAD PLACE 01 CITY : TUSTIN STATE/ZIP : CA 92782 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,811.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,847.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.37800 ---------------------------------------------------------------- 0 0031649775 MORTGAGORS: BROWN BONNIE REGION CODE ADDRESS : 828 PACIFIC STREET 01 CITY : MONTEREY STATE/ZIP : CA 93940 MORTGAGE AMOUNT : 244,150.00 OPTION TO CONVERT : UNPAID BALANCE : 243,777.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,686.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031649809 MORTGAGORS: DODGE WILLIAM DODGE PATTI REGION CODE ADDRESS : 23 TANGLEWOOD 01 CITY : ALISO VIEJO AREA STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,826.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,698.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.19000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,320,600.00 P & I AMT: 9,234.80 UPB AMT: 1,318,807.56 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 188 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031649825 MORTGAGORS: ALECKSON KEITH ALECKSON SEVDA REGION CODE ADDRESS : 57 TIMBERLAND 01 CITY : ORANGE COUNTY STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 314,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,761.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,168.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 83.73300 ---------------------------------------------------------------- 0 0031649841 MORTGAGORS: JOHNSON LEE ANN REGION CODE ADDRESS : 4818 CROWN AVE 01 CITY : LA CANADA - FLINTRIDGE STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 396,000.00 OPTION TO CONVERT : UNPAID BALANCE : 395,713.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,802.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031649916 MORTGAGORS: PRIDDY CAROL REGION CODE ADDRESS : 13518 MOCKINGBIRD WAY 01 CITY : CHINO HILLS STATE/ZIP : CA 91709 MORTGAGE AMOUNT : 246,300.00 OPTION TO CONVERT : UNPAID BALANCE : 246,121.73 ANNUAL RATE ADJUST: MONTHLY P&I : 1,743.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.56300 ---------------------------------------------------------------- 0 0031649957 MORTGAGORS: KHOSROWABADI G KHOSROWABADI APRIL REGION CODE ADDRESS : 9417 CATTARAUGUS AVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90034 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,815.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,804.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.27200 ---------------------------------------------------------------- 0 0031649973 MORTGAGORS: GAFFNEY CHARLES GAFFNEY NICOLE REGION CODE ADDRESS : 11737 GOSHEN AVENUE #201 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 291,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,789.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,059.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.61500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,502,300.00 P & I AMT: 10,579.45 UPB AMT: 1,501,200.99 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 189 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031649981 MORTGAGORS: JOHN STEPHEN MARTIN TINA REGION CODE ADDRESS : 1912 CHULA VISTA DRIVE 01 CITY : BELMONT STATE/ZIP : CA 94002 MORTGAGE AMOUNT : 302,600.00 OPTION TO CONVERT : UNPAID BALANCE : 302,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,089.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98900 ---------------------------------------------------------------- 0 0031649999 MORTGAGORS: CLARK DAVE CLARK DEBORAH REGION CODE ADDRESS : 764 DAISYFIELD COURT 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 292,800.00 OPTION TO CONVERT : UNPAID BALANCE : 292,577.20 ANNUAL RATE ADJUST: MONTHLY P&I : 2,022.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.97700 ---------------------------------------------------------------- 0 0031650005 MORTGAGORS: DUONG DAVID TU JENNIFER REGION CODE ADDRESS : 5423 ESQUIVEL AVENUE 01 CITY : LAKEWOOD STATE/ZIP : CA 90712 MORTGAGE AMOUNT : 233,500.00 OPTION TO CONVERT : UNPAID BALANCE : 233,331.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,652.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.84600 ---------------------------------------------------------------- 0 0031650013 MORTGAGORS: BUCKINGHAM THOMAS HENRY PATRICIA REGION CODE ADDRESS : 304 CALIFORNIA AVENUE 01 CITY : SANTA ROSA STATE/ZIP : CA 95405 MORTGAGE AMOUNT : 275,200.00 OPTION TO CONVERT : UNPAID BALANCE : 274,990.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,900.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031650021 MORTGAGORS: SOIBERG HENRIK SOIBERG LISA REGION CODE ADDRESS : 2220 HARRIMAN LANE NO. B 01 CITY : REDONDO BEACH STATE/ZIP : CA 90278 MORTGAGE AMOUNT : 296,800.00 OPTION TO CONVERT : UNPAID BALANCE : 296,574.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,049.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,400,900.00 P & I AMT: 9,715.65 UPB AMT: 1,400,072.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 190 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031650047 MORTGAGORS: KURATA MICHAEL KURATA ROSAMARIA REGION CODE ADDRESS : 25901 MATFIELD DRIVE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 246,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,817.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,720.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.54500 ---------------------------------------------------------------- 0 0031650096 MORTGAGORS: TURIGLIATTO JON TURIGLIATTO KARI REGION CODE ADDRESS : 5335 EAST CONANT STREET 01 CITY : LONG BEACH STATE/ZIP : CA 90808 MORTGAGE AMOUNT : 180,000.00 OPTION TO CONVERT : UNPAID BALANCE : 179,863.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,243.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.82200 ---------------------------------------------------------------- 0 0031651441 MORTGAGORS: TUDOR FREDERIC TUDOR MIRIAM REGION CODE ADDRESS : 715 BAY ROAD 01 CITY : MENLO PARK STATE/ZIP : CA 94025 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,698.36 ANNUAL RATE ADJUST: MONTHLY P&I : 2,448.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031651490 MORTGAGORS: STODDARD MARSHALL REGION CODE ADDRESS : 6007 CLEAR VALLEY ROAD 01 CITY : HIDDEN HILLS STATE/ZIP : CA 91302 MORTGAGE AMOUNT : 581,250.00 OPTION TO CONVERT : UNPAID BALANCE : 580,796.57 ANNUAL RATE ADJUST: MONTHLY P&I : 3,965.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031651573 MORTGAGORS: TAMANI SHARON TAMANI SCOTT REGION CODE ADDRESS : 28571 CHIMNEY ROCK CIRCLE 01 CITY : TRABUCO CANYON STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 255,900.00 OPTION TO CONVERT : UNPAID BALANCE : 255,700.37 ANNUAL RATE ADJUST: MONTHLY P&I : 1,745.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,631,150.00 P & I AMT: 11,122.45 UPB AMT: 1,629,875.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 191 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031651581 MORTGAGORS: KELLEY MARK BUTTERWORTH ANN REGION CODE ADDRESS : 2594 CUSTER DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95728 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,818.90 ANNUAL RATE ADJUST: MONTHLY P&I : 1,643.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 58.04800 ---------------------------------------------------------------- 0 0031651607 MORTGAGORS: LUNDIN LEONARD LUNDIN MARY REGION CODE ADDRESS : 16214 BIMINI LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92649 MORTGAGE AMOUNT : 396,900.00 OPTION TO CONVERT : UNPAID BALANCE : 396,605.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,775.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031651656 MORTGAGORS: GUNNETTE RORY GUNNETTE HOLLY REGION CODE ADDRESS : 8372 STARVIEW DRIVE 01 CITY : RIVERSIDE STATE/ZIP : CA 92509 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,804.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,583.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.86500 ---------------------------------------------------------------- 0 0031651664 MORTGAGORS: JONCZYK JOHN JONCZYK BOZENA REGION CODE ADDRESS : 9 LENAPE TRAIL 01 CITY : FREEHOLD STATE/ZIP : NJ 07728 MORTGAGE AMOUNT : 246,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,741.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031651722 MORTGAGORS: O BRIEN MICHAEL O BRIEN BARBARA REGION CODE ADDRESS : 4526 MAX DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92115 MORTGAGE AMOUNT : 250,200.00 OPTION TO CONVERT : UNPAID BALANCE : 249,999.91 ANNUAL RATE ADJUST: MONTHLY P&I : 1,685.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,369,100.00 P & I AMT: 9,429.25 UPB AMT: 1,368,229.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 192 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031651813 MORTGAGORS: OPRANDY JOHN REGION CODE ADDRESS : 17914 HICKMAN STREET 01 CITY : POOLESVILLE STATE/ZIP : MD 20837 MORTGAGE AMOUNT : 257,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,799.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,753.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.54700 ---------------------------------------------------------------- 0 0031651821 MORTGAGORS: OGAR T OGAR DENNISE REGION CODE ADDRESS : 3 SWAN LANE 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,819.31 ANNUAL RATE ADJUST: MONTHLY P&I : 1,834.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031651847 MORTGAGORS: KWONG KWOK KWONG YU REGION CODE ADDRESS : 19442 SIERRA NUEVO ROAD 01 CITY : IRVINE STATE/ZIP : CA 92612 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,712.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,510.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031651854 MORTGAGORS: FUHRMAN WILLIAM FUHRMAN KAYE REGION CODE ADDRESS : 1021 CLIPPER COURT 01 CITY : SOLANA BEACH STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,823.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,791.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 66.93400 ---------------------------------------------------------------- 0 0031651862 MORTGAGORS: FARAGO LASZLO FARAGO MARIA REGION CODE ADDRESS : 964 HURLSTONE LANE 01 CITY : SAN JOSE STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,777.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 61.85500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,431,000.00 P & I AMT: 9,986.32 UPB AMT: 1,429,932.63 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 193 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031651904 MORTGAGORS: SAFONOFF ALEXANDER SAFONOFF HELEN REGION CODE ADDRESS : 2060 HILLSBURY ROAD 01 CITY : WESTLAKE VILLAGE STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,719.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,541.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.97500 ---------------------------------------------------------------- 0 0031651938 MORTGAGORS: GARRITY JERRY GARRITY MARIE-CLAUDE REGION CODE ADDRESS : 1505 KOCH LANE 01 CITY : SAN JOSE STATE/ZIP : CA 95125 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 439,656.75 ANNUAL RATE ADJUST: MONTHLY P&I : 3,001.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 65.67100 ---------------------------------------------------------------- 0 0031651979 MORTGAGORS: ROSS ALAN ROSS PATRICIA REGION CODE ADDRESS : 64 GIRALDA WALK 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 572,000.00 OPTION TO CONVERT : UNPAID BALANCE : 571,564.75 ANNUAL RATE ADJUST: MONTHLY P&I : 3,950.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.61100 ---------------------------------------------------------------- 0 0031651995 MORTGAGORS: HACKETT DANIEL HACKETT GERALDINE REGION CODE ADDRESS : 5480 LOS ESTADOS 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 375,200.00 OPTION TO CONVERT : UNPAID BALANCE : 374,907.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,559.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031652050 MORTGAGORS: ROVEN ALFRED ROVEN MONA REGION CODE ADDRESS : 30605 LAS ESTRELLAS DRIVE 01 CITY : MALIBU STATE/ZIP : CA 90265 MORTGAGE AMOUNT : 306,600.00 OPTION TO CONVERT : UNPAID BALANCE : 306,372.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,143.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 60.75000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,061,800.00 P & I AMT: 14,197.27 UPB AMT: 2,060,221.23 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 194 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031652068 MORTGAGORS: SHAFFER JEANNE REGION CODE ADDRESS : 1932 SERGE AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95130 MORTGAGE AMOUNT : 265,500.00 OPTION TO CONVERT : UNPAID BALANCE : 265,302.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,856.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.73900 ---------------------------------------------------------------- 0 0031652092 MORTGAGORS: SPENCER PENNY REGION CODE ADDRESS : 190 RANCHITOS DEL SOL 01 CITY : APTOS STATE/ZIP : CA 95003 MORTGAGE AMOUNT : 267,000.00 OPTION TO CONVERT : UNPAID BALANCE : 266,791.71 ANNUAL RATE ADJUST: MONTHLY P&I : 1,821.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.21100 ---------------------------------------------------------------- 0 0031652167 MORTGAGORS: BUTLER JEFFREY BUTLER FAITH REGION CODE ADDRESS : 23 PORTMARNOCH 01 CITY : COTO DE CAZA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 410,000.00 OPTION TO CONVERT : UNPAID BALANCE : 409,680.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.71900 ---------------------------------------------------------------- 0 0031652183 MORTGAGORS: COPELAND ROBERT COPELAND CAMILLE REGION CODE ADDRESS : 9812 RAINER CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,795.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,663.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 67.20430 ---------------------------------------------------------------- 0 0031652191 MORTGAGORS: SHAWGER STEPHEN SHAWGER NANCI REGION CODE ADDRESS : 2631 CORAL RIDGE ROAD 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,674.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,956.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,620,500.00 P & I AMT: 11,094.12 UPB AMT: 1,619,244.23 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 195 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031652464 MORTGAGORS: CHAMBERS MICHAEL CHANBERS DIANA REGION CODE ADDRESS : 1627 CORTE LADERA 01 CITY : ESCONDIDO STATE/ZIP : CA 92025 MORTGAGE AMOUNT : 270,750.00 OPTION TO CONVERT : UNPAID BALANCE : 270,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,010.31 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031652928 MORTGAGORS: MONROE RICHARD MONROE MARIA REGION CODE ADDRESS : 19322 196TH AVENUE NORTHEAST 01 CITY : WOODINVILLE STATE/ZIP : WA 98072 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,807.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,817.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031652951 MORTGAGORS: FINKEL DAVID FINKEL MARIA REGION CODE ADDRESS : 1114 MERRIMAC DRIVE 01 CITY : SUNNYVALE STATE/ZIP : CA 94087 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,455.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031652969 MORTGAGORS: ADACHI ROBERT REGION CODE ADDRESS : 8 BLACKBIRD LANE 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,803.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,719.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031652985 MORTGAGORS: KANDASAMY VEERAIYAN REGION CODE ADDRESS : 1187 ALDERBROOK LANE 01 CITY : SAN JOSE STATE/ZIP : CA 95129 MORTGAGE AMOUNT : 393,200.00 OPTION TO CONVERT : UNPAID BALANCE : 392,885.56 ANNUAL RATE ADJUST: MONTHLY P&I : 2,649.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,535,950.00 P & I AMT: 10,652.26 UPB AMT: 1,535,246.01 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 196 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031653124 MORTGAGORS: SMITH REGINALD REGION CODE ADDRESS : 4225 NORTHRIDGE DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90043 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,142.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,706.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 50.83300 ---------------------------------------------------------------- 0 0031653132 MORTGAGORS: LINDEKENS RICHARD PEDERSEN RAELYNN REGION CODE ADDRESS : 1366 CIMARRON DRIVE 01 CITY : SANTA YNEZ STATE/ZIP : CA 93460 MORTGAGE AMOUNT : 283,700.00 OPTION TO CONVERT : UNPAID BALANCE : 283,499.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,032.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 78.80500 ---------------------------------------------------------------- 0 0031653165 MORTGAGORS: WIEBER DAVID WIEBER MICHELLE REGION CODE ADDRESS : 1189 CRESCENT DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95125 MORTGAGE AMOUNT : 322,000.00 OPTION TO CONVERT : UNPAID BALANCE : 321,748.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,196.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 56.19500 ---------------------------------------------------------------- 0 0031653181 MORTGAGORS: BRICKMAN BERNARD BRICKMAN PEARL REGION CODE ADDRESS : 971 LINDA FLORA DR 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 526,000.00 OPTION TO CONVERT : UNPAID BALANCE : 525,609.63 ANNUAL RATE ADJUST: MONTHLY P&I : 3,677.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 37.57142 ---------------------------------------------------------------- 0 0031653199 MORTGAGORS: BARNETT RODGER BARNETT MARY REGION CODE ADDRESS : 6 ARADO 01 CITY : RANCHO SANTA MARGARITA STATE/ZIP : CA 92688 MORTGAGE AMOUNT : 343,200.00 OPTION TO CONVERT : UNPAID BALANCE : 342,938.85 ANNUAL RATE ADJUST: MONTHLY P&I : 2,370.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,718,900.00 P & I AMT: 11,983.44 UPB AMT: 1,713,939.46 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 197 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031653207 MORTGAGORS: RAH ANDREW RAH MINA REGION CODE ADDRESS : 2823 GRAYSBY AVENUE 01 CITY : SAN PEDRO STATE/ZIP : CA 90732 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,703.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.88700 ---------------------------------------------------------------- 0 0031653223 MORTGAGORS: LANDKAMER MARK REPPOND FRED REGION CODE ADDRESS : 396 MARIETTA DRIVE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94127 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 364,708.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,459.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.49400 ---------------------------------------------------------------- 0 0031653231 MORTGAGORS: MC CARTHY MICHAEL MC CARTHY MOLLY ANN REGION CODE ADDRESS : 76 LLEWELLYN AVENUE 01 CITY : CAMPBELL STATE/ZIP : CA 95008 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,813.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031653256 MORTGAGORS: MANGOLD ELDON MANGOLD JANET REGION CODE ADDRESS : 6015 SANDBROOK DRIVE 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,793.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,807.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 44.16666 ---------------------------------------------------------------- 0 0031653272 MORTGAGORS: PESTELLO ROBERT PESTELLO JODI REGION CODE ADDRESS : 1916 PESCADORES 01 CITY : SAN PEDRO STATE/ZIP : CA 90732 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,802.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,535,000.00 P & I AMT: 10,551.63 UPB AMT: 1,533,820.25 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 198 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031653280 MORTGAGORS: CARVAJAL JORGE REGION CODE ADDRESS : 2465 WILD OAK DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,758.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,114.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 57.94300 ---------------------------------------------------------------- 0 0031653298 MORTGAGORS: VAN DUSEN DENNIS VAN DUSEN JULIE REGION CODE ADDRESS : 7905 WINDSOR KNOLL LANE 01 CITY : LAYTONSVILLE STATE/ZIP : MD 20882 MORTGAGE AMOUNT : 386,000.00 OPTION TO CONVERT : UNPAID BALANCE : 385,683.60 ANNUAL RATE ADJUST: MONTHLY P&I : 2,568.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.84200 ---------------------------------------------------------------- 0 0031653306 MORTGAGORS: SUBBIAH BALAMURUGAN SUBBIAH BHUVANESWARI REGION CODE ADDRESS : 8253 TANFORAN COURT 01 CITY : NEWARK STATE/ZIP : CA 94560 MORTGAGE AMOUNT : 348,250.00 OPTION TO CONVERT : UNPAID BALANCE : 347,991.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,435.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.99700 ---------------------------------------------------------------- 0 0031653348 MORTGAGORS: GARRETT STEVEN GARRETT KATHLEEN REGION CODE ADDRESS : 718 VALLEY WAY 01 CITY : SANTA CLARA STATE/ZIP : CA 95051 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,815.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,804.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.83300 ---------------------------------------------------------------- 0 0031653405 MORTGAGORS: DUTRA DOMINIC DUTRA LISA REGION CODE ADDRESS : 539 BARCELONA DRIVE 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 356,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,283.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,550.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/27 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,655,250.00 P & I AMT: 11,473.15 UPB AMT: 1,647,532.54 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 199 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031653470 MORTGAGORS: O'BEIRNE GERRARD O'BEIRNE DEIRDRE REGION CODE ADDRESS : 1022-1022A-1024-1026 GREENWIC ST. 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94133 MORTGAGE AMOUNT : 581,250.00 OPTION TO CONVERT : UNPAID BALANCE : 576,814.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,265.01 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 08/01/27 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 74.04400 ---------------------------------------------------------------- 0 0031653512 MORTGAGORS: HERMANS LOUIS HERMANS EILEEN REGION CODE ADDRESS : 5 BEAR COURT 01 CITY : HAMILTON STATE/ZIP : NJ 08620 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,563.83 ANNUAL RATE ADJUST: MONTHLY P&I : 2,206.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031653678 MORTGAGORS: HARPER JAMES HARPER SUSAN REGION CODE ADDRESS : 3351 MURILLO AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95148 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,517.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 55.38400 ---------------------------------------------------------------- 0 0031653777 MORTGAGORS: SOPKO ROBERT SOPKO LAURIE REGION CODE ADDRESS : 33 SANTA LUCIA 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 354,800.00 OPTION TO CONVERT : UNPAID BALANCE : 354,258.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,450.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031653793 MORTGAGORS: COYE WADE COYE JOAN REGION CODE ADDRESS : 1209 BRYN MAWR STREET 01 CITY : ORLANDO STATE/ZIP : FL 32804 MORTGAGE AMOUNT : 369,450.00 OPTION TO CONVERT : UNPAID BALANCE : 368,899.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,583.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.61500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,973,500.00 P & I AMT: 14,022.50 UPB AMT: 1,967,536.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 200 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031653801 MORTGAGORS: GEZALYAN MKRTYCH GEZALYAN LOUSIN REGION CODE ADDRESS : 1626 NEW YORK DRIVE 01 CITY : ALTADENA AREA STATE/ZIP : CA 91001 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,754.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,148.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 63.00000 ---------------------------------------------------------------- 0 0031654130 MORTGAGORS: CLOUTIER DAVID CLOUTIER LAURA REGION CODE ADDRESS : 15 SAN CARIN 01 CITY : IRVINE STATE/ZIP : CA 92606 MORTGAGE AMOUNT : 347,850.00 OPTION TO CONVERT : UNPAID BALANCE : 347,578.63 ANNUAL RATE ADJUST: MONTHLY P&I : 2,372.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99000 ---------------------------------------------------------------- 0 0031654221 MORTGAGORS: MANN RONALD MUELLER-MANN GINGER REGION CODE ADDRESS : 19916 BEAR VALLEY LANE 01 CITY : LOS ANGELES NORTHRIDGE A STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 344,000.00 OPTION TO CONVERT : UNPAID BALANCE : 343,751.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,434.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.35000 ---------------------------------------------------------------- 0 0031654288 MORTGAGORS: SIMMONS GERALD SIMMONS ESTHER REGION CODE ADDRESS : 13222 WHISTLER LANE 01 CITY : GRANADA HILLS AREA LOS AN STATE/ZIP : CA 91344 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 253,816.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,797.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.54900 ---------------------------------------------------------------- 0 0031654346 MORTGAGORS: TABACK GERALD TABACK BETTE REGION CODE ADDRESS : 8 HEATHERWOOD 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 251,200.00 OPTION TO CONVERT : UNPAID BALANCE : 251,013.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,756.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 68.82100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,512,050.00 P & I AMT: 10,510.86 UPB AMT: 1,510,913.65 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 201 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031655145 MORTGAGORS: MARVIN TODD MARVIN CHRISTINE REGION CODE ADDRESS : 1739 NW 100TH STREET 01 CITY : SEATTLE STATE/ZIP : WA 98177 MORTGAGE AMOUNT : 277,200.00 OPTION TO CONVERT : UNPAID BALANCE : 276,766.19 ANNUAL RATE ADJUST: MONTHLY P&I : 1,891.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031655160 MORTGAGORS: DENCE DAVID DENCE SUSAN REGION CODE ADDRESS : 71 CLIFF DRIVE 01 CITY : NARRAGANSETT STATE/ZIP : RI 02882 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 449,666.03 ANNUAL RATE ADJUST: MONTHLY P&I : 3,146.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 65.59700 ---------------------------------------------------------------- 0 0031655194 MORTGAGORS: RAPER ALBERT RAPER CLARA REGION CODE ADDRESS : 25 CHESAPEAKE LANDING 01 CITY : ANNAPOLIS STATE/ZIP : MD 21403 MORTGAGE AMOUNT : 289,800.00 OPTION TO CONVERT : UNPAID BALANCE : 289,584.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,026.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031655210 MORTGAGORS: LOWRY MARK REGION CODE ADDRESS : 14901 COBBLESTONE DRIVE 01 CITY : SILVER SPRING STATE/ZIP : MD 20905 MORTGAGE AMOUNT : 242,250.00 OPTION TO CONVERT : UNPAID BALANCE : 241,870.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,652.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031655400 MORTGAGORS: BARTT RUSSELL ORTIZ JOANNA REGION CODE ADDRESS : 618 SOUTH LAFLIN STREET 01 CITY : CHICAGO STATE/ZIP : IL 60607 MORTGAGE AMOUNT : 292,600.00 OPTION TO CONVERT : UNPAID BALANCE : 292,382.85 ANNUAL RATE ADJUST: MONTHLY P&I : 2,045.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,551,850.00 P & I AMT: 10,762.28 UPB AMT: 1,550,270.87 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 202 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031655616 MORTGAGORS: MCGURGAN VINCENT MCGURGAN GAIL REGION CODE ADDRESS : 36 MELROSE LANE 01 CITY : LINCOLNSHIRE STATE/ZIP : IL 60069 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,660.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 56.14000 ---------------------------------------------------------------- 0 0031655749 MORTGAGORS: LIVNE SAMUEL REGION CODE ADDRESS : 20030 MAYALL STREET 01 CITY : CHATSWORTH AREA) LOS ANGE STATE/ZIP : CA 91311 MORTGAGE AMOUNT : 216,000.00 OPTION TO CONVERT : UNPAID BALANCE : 216,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,510.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031655822 MORTGAGORS: PANOSSIAN MOVSES PANOSSIAN HASMIG REGION CODE ADDRESS : 2600 RISA DRIVE 01 CITY : GLENDALE STATE/ZIP : CA 91208 MORTGAGE AMOUNT : 262,000.00 OPTION TO CONVERT : UNPAID BALANCE : 261,800.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,809.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 65.50000 ---------------------------------------------------------------- 0 0031655848 MORTGAGORS: IBERT JAMES IBERT CARRIE REGION CODE ADDRESS : 9435 SWAN LAKE DRIVE 01 CITY : GRANITE BAY STATE/ZIP : CA 95746 MORTGAGE AMOUNT : 270,400.00 OPTION TO CONVERT : UNPAID BALANCE : 269,976.84 ANNUAL RATE ADJUST: MONTHLY P&I : 1,844.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.71500 ---------------------------------------------------------------- 0 0031656408 MORTGAGORS: ROCK WILLIAM ROCK SANDRA REGION CODE ADDRESS : 490 BEACHFRONT TRAIL 01 CITY : SANTA ROSA BEACH STATE/ZIP : FL 32459 MORTGAGE AMOUNT : 376,400.00 OPTION TO CONVERT : UNPAID BALANCE : 375,796.20 ANNUAL RATE ADJUST: MONTHLY P&I : 2,535.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 44.28200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,380,800.00 P & I AMT: 9,360.79 UPB AMT: 1,379,573.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 203 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031656416 MORTGAGORS: WESTON DAVID WESTON DIANN REGION CODE ADDRESS : 22949 NORTH 91ST WAY 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85255 MORTGAGE AMOUNT : 263,900.00 OPTION TO CONVERT : UNPAID BALANCE : 263,699.19 ANNUAL RATE ADJUST: MONTHLY P&I : 1,822.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031656424 MORTGAGORS: CORNWELL WILLIAM CORNWELL CHRISTY REGION CODE ADDRESS : 548 AMITY ROAD 01 CITY : GALLOWAY STATE/ZIP : OH 43119 MORTGAGE AMOUNT : 253,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,469.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,834.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 57.50000 ---------------------------------------------------------------- 0 0031656432 MORTGAGORS: TERRELL BETH DAUDT MICHAEL REGION CODE ADDRESS : 2108 N 38TH STREET 01 CITY : SEATTLE STATE/ZIP : WA 98103 MORTGAGE AMOUNT : 278,700.00 OPTION TO CONVERT : UNPAID BALANCE : 278,498.28 ANNUAL RATE ADJUST: MONTHLY P&I : 1,972.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.62800 ---------------------------------------------------------------- 0 0031656465 MORTGAGORS: WILLIAMS DEAN WILLIAMS SHARON REGION CODE ADDRESS : 25116 BARCLAY LANE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 234,000.00 OPTION TO CONVERT : UNPAID BALANCE : 233,830.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,656.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.28500 ---------------------------------------------------------------- 0 0031656671 MORTGAGORS: GUMM JAMES REGION CODE ADDRESS : 14483 SW AYNSLEY WAY 01 CITY : TIGARD STATE/ZIP : OR 97224 MORTGAGE AMOUNT : 243,200.00 OPTION TO CONVERT : UNPAID BALANCE : 242,655.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,700.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,272,800.00 P & I AMT: 8,986.49 UPB AMT: 1,271,153.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 204 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031656838 MORTGAGORS: MAY ROBERT MAY CHERYL REGION CODE ADDRESS : 2117 AVENIDA OLIVA 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92673 MORTGAGE AMOUNT : 387,000.00 OPTION TO CONVERT : UNPAID BALANCE : 387,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,705.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031656952 MORTGAGORS: SORENSEN LYLE SORENSEN GRETCHEN REGION CODE ADDRESS : 4120 MERIDAN AVENUE NORTH 01 CITY : SEATTLE STATE/ZIP : WA 98103 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,767.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,106.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 57.54700 ---------------------------------------------------------------- 0 0031657406 MORTGAGORS: PAKKALA MATTHEW PAKKALA TRACY REGION CODE ADDRESS : 11917 WOOD RANCH ROAD 01 CITY : GRANADA HILLS STATE/ZIP : CA 91344 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,455.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031657448 MORTGAGORS: BAUMEL KEITH BAUMEL DEBORAH REGION CODE ADDRESS : 371 BAYSIDE DRIVE 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 281,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,869.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 46.83300 ---------------------------------------------------------------- 0 0031657554 MORTGAGORS: TAKI MOHAMMED TAKI SAIRUL REGION CODE ADDRESS : 1902 FUMIA PLACE 01 CITY : SAN JOSE STATE/ZIP : CA 95131 MORTGAGE AMOUNT : 328,700.00 OPTION TO CONVERT : UNPAID BALANCE : 328,443.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,242.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99513 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,661,700.00 P & I AMT: 11,380.18 UPB AMT: 1,661,211.50 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 205 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031657588 MORTGAGORS: RIOS EPIFANIO RIOS ROSA REGION CODE ADDRESS : 2070 CAROUSEL DRIVE 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 232,450.00 OPTION TO CONVERT : UNPAID BALANCE : 232,277.48 ANNUAL RATE ADJUST: MONTHLY P&I : 1,625.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99077 ---------------------------------------------------------------- 0 0031657638 MORTGAGORS: WONG LAWRENCE ROESLER-WONG MARIA REGION CODE ADDRESS : 27004 FOND DU LAC ROAD 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 362,000.00 OPTION TO CONVERT : UNPAID BALANCE : 362,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,469.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.93700 ---------------------------------------------------------------- 0 0031657653 MORTGAGORS: GULLOTTI STEVEN GULLOTTI BRIANNE REGION CODE ADDRESS : 5932 HIGHLAND AVENUE 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,728.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.43100 ---------------------------------------------------------------- 0 0031658776 MORTGAGORS: LILES MICHAEL BOWMAN LILES CATHERINE REGION CODE ADDRESS : 327 UNION STREET 01 CITY : SANTA CRUZ STATE/ZIP : CA 95060 MORTGAGE AMOUNT : 357,000.00 OPTION TO CONVERT : UNPAID BALANCE : 357,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,496.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031658792 MORTGAGORS: MELKONIAN NINA REGION CODE ADDRESS : 7238 WOODROW WILSON DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,768.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,607,450.00 P & I AMT: 11,087.85 UPB AMT: 1,607,277.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 206 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031658800 MORTGAGORS: BOWMAN RICHARD REGION CODE ADDRESS : 2840 LUMBERT PLACE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 282,400.00 OPTION TO CONVERT : UNPAID BALANCE : 282,190.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,974.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031659816 MORTGAGORS: GRIFFITH RAYMOND GRIFFITH CINDY REGION CODE ADDRESS : 39593 POTOMAC AVENUE 01 CITY : LEONARDTOWN STATE/ZIP : MD 20650 MORTGAGE AMOUNT : 256,500.00 OPTION TO CONVERT : UNPAID BALANCE : 256,118.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,793.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031659824 MORTGAGORS: DEBAUFRE ANN MAY DENNIS REGION CODE ADDRESS : 11 SHEFFIELD COURT 01 CITY : VICTOR STATE/ZIP : NY 14564 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,618.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,789.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031659840 MORTGAGORS: WATTS MATTHEW REGION CODE ADDRESS : 2960 HABERSHAM WAY NW 01 CITY : ATLANTA STATE/ZIP : GA 30305 MORTGAGE AMOUNT : 401,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,702.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,803.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.90900 ---------------------------------------------------------------- 0 0031659865 MORTGAGORS: GAVIGAN EDWARD GAVIGAN MARIE REGION CODE ADDRESS : 46-120 IPUKA PLACE 01 CITY : KANEOHE STATE/ZIP : HI 96744 MORTGAGE AMOUNT : 383,700.00 OPTION TO CONVERT : UNPAID BALANCE : 383,415.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,682.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.78800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,579,600.00 P & I AMT: 11,044.82 UPB AMT: 1,578,044.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 207 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031659873 MORTGAGORS: CRAIG PETER CRAIG BARBARA REGION CODE ADDRESS : 17801 BLACK STALLION WAY 01 CITY : GERMANTOWN STATE/ZIP : MD 20874 MORTGAGE AMOUNT : 273,500.00 OPTION TO CONVERT : UNPAID BALANCE : 273,297.02 ANNUAL RATE ADJUST: MONTHLY P&I : 1,912.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.35400 ---------------------------------------------------------------- 0 0031659899 MORTGAGORS: GILLASPIE R. GILLASPIE NORMA REGION CODE ADDRESS : 13316 E. PLACITA EL ALGODON 01 CITY : TUCSON STATE/ZIP : AZ 85749 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 339,747.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,377.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031659980 MORTGAGORS: GMITTER RICHARD GMITTER CHRISTIA REGION CODE ADDRESS : 6606 DELMONICO DRIVE 01 CITY : AUSTIN STATE/ZIP : TX 78759 MORTGAGE AMOUNT : 296,400.00 OPTION TO CONVERT : UNPAID BALANCE : 296,180.03 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031660111 MORTGAGORS: EGAN HOWARD EGAN JEANETTE REGION CODE ADDRESS : 219 ELINOR STREET 01 CITY : CAPITOLA STATE/ZIP : CA 95010 MORTGAGE AMOUNT : 271,600.00 OPTION TO CONVERT : UNPAID BALANCE : 271,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,875.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031660129 MORTGAGORS: TRUDEAU ROBERT TRUDEAU CLAUDIA REGION CODE ADDRESS : 2573 BARCELONA DRIVE 01 CITY : PISMO BEACH STATE/ZIP : CA 93449 MORTGAGE AMOUNT : 322,300.00 OPTION TO CONVERT : UNPAID BALANCE : 322,048.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,198.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.83500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,503,800.00 P & I AMT: 10,436.68 UPB AMT: 1,502,873.30 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 208 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031660178 MORTGAGORS: SOLVE ERIC SHEEHAN BRIDGET REGION CODE ADDRESS : 325 BRIMBLECOM ROAD 01 CITY : BOULDER CREEK STATE/ZIP : CA 95006 MORTGAGE AMOUNT : 157,600.00 OPTION TO CONVERT : UNPAID BALANCE : 157,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,088.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031660194 MORTGAGORS: PINKERTON THOMAS PINKERTON JEANNETTE REGION CODE ADDRESS : 288 ALLEN LANE 01 CITY : WATSONVILLE STATE/ZIP : CA 95076 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,765.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.58800 ---------------------------------------------------------------- 0 0031660376 MORTGAGORS: GANGLE JEFFREY GANGLE KELLEY REGION CODE ADDRESS : 2423 NORFOLK ROAD 01 CITY : ORLANDO STATE/ZIP : FL 32803 MORTGAGE AMOUNT : 256,500.00 OPTION TO CONVERT : UNPAID BALANCE : 256,118.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,793.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031660384 MORTGAGORS: DEIGHAN CHRISTINE DEIGHAN CLIFFORD REGION CODE ADDRESS : 1574 MILLER AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95129 MORTGAGE AMOUNT : 397,500.00 OPTION TO CONVERT : UNPAID BALANCE : 397,205.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,779.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031660392 MORTGAGORS: GARVEY JEROLD GARVEY KATHLEEN REGION CODE ADDRESS : 57 MARLBOROUGH STREET, UNIT # 3 01 CITY : BOSTON STATE/ZIP : MA 02116 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 365,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,397.80 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 64.60100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,476,600.00 P & I AMT: 10,105.70 UPB AMT: 1,475,689.05 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 209 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031660400 MORTGAGORS: BRENNAN MICHEAL BRENNAN JUDITH REGION CODE ADDRESS : 6 CHANNEL DR 01 CITY : CORTE MADERA STATE/ZIP : CA 94925 MORTGAGE AMOUNT : 285,300.00 OPTION TO CONVERT : UNPAID BALANCE : 284,875.21 ANNUAL RATE ADJUST: MONTHLY P&I : 1,994.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.34800 ---------------------------------------------------------------- 0 0031660467 MORTGAGORS: MILLER ARLINGTON MILLER MARY REGION CODE ADDRESS : 440 WILDWOOD ROAD 01 CITY : CARLISLE STATE/ZIP : PA 17013 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,501.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,342.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.12500 ---------------------------------------------------------------- 0 0031660483 MORTGAGORS: ROBINSON EDWARD ROBINSON ASHLEY REGION CODE ADDRESS : 500 STONECLIFFE PLACE 01 CITY : PORT MATILDA STATE/ZIP : PA 16870 MORTGAGE AMOUNT : 235,000.00 OPTION TO CONVERT : UNPAID BALANCE : 234,650.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,643.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 55.55500 ---------------------------------------------------------------- 0 0031660509 MORTGAGORS: VOLGENAU DOUGLAS VOLGENAU SUSAN REGION CODE ADDRESS : 120 EAST SHORE AVENUE 01 CITY : GROTON STATE/ZIP : CT 06340 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,781.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,055.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 55.47100 ---------------------------------------------------------------- 0 0031660525 MORTGAGORS: HERRINGTON JAMES HERRINGTON ELLEN REGION CODE ADDRESS : 6 CROSS STREET 01 CITY : BARNSTABLE STATE/ZIP : MA 02672 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,618.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,789.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,405,300.00 P & I AMT: 9,826.08 UPB AMT: 1,403,427.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 210 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031660541 MORTGAGORS: FITZGERALD JOHN FITZGERALD ARLEEN REGION CODE ADDRESS : 5490 TAMARACK CIRCLE 01 CITY : MINNETONKA STATE/ZIP : MN 55345 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,441.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,622.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.25700 ---------------------------------------------------------------- 0 0031660756 MORTGAGORS: AZIM FAROOQ AZIM ABIDA REGION CODE ADDRESS : 32473 RED MAPLE STREET 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 264,800.00 OPTION TO CONVERT : UNPAID BALANCE : 264,598.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.97583 ---------------------------------------------------------------- 0 0031660814 MORTGAGORS: BACKSTROM BRYAN BACKSTROM KATHLEEN REGION CODE ADDRESS : 7747 BROADACRE PLACE 01 CITY : RIVERSIDE STATE/ZIP : CA 92504 MORTGAGE AMOUNT : 285,500.00 OPTION TO CONVERT : UNPAID BALANCE : 285,282.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,278.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/18 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.13100 ---------------------------------------------------------------- 0 0031660871 MORTGAGORS: LAU HENRY LAU MARIE REGION CODE ADDRESS : 1247-1249 MANET DRIVE 01 CITY : SUNNYVALE STATE/ZIP : CA 94087 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,704.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,395.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 64.05600 ---------------------------------------------------------------- 0 0031660897 MORTGAGORS: SPIKER WILLIAM SPIKER ISABEL REGION CODE ADDRESS : 1175 GALVEZ DRIVE 01 CITY : PACIFICA STATE/ZIP : CA 94044 MORTGAGE AMOUNT : 253,500.00 OPTION TO CONVERT : UNPAID BALANCE : 253,311.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,772.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.41600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,538,800.00 P & I AMT: 10,896.77 UPB AMT: 1,537,339.69 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 211 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031660905 MORTGAGORS: WENIG ROBERT WENIG DONNA REGION CODE ADDRESS : 181 BUENA VISTA AVE 01 CITY : MILL VALLEY STATE/ZIP : CA 94941 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,703.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 59.25900 ---------------------------------------------------------------- 0 0031661192 MORTGAGORS: ANNIS STEVEN ANNIS LYNN REGION CODE ADDRESS : 25552 CREEK DRIVE 01 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 249,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,810.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,719.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.61500 ---------------------------------------------------------------- 0 0031661200 MORTGAGORS: HARDESTY KATHIE REGION CODE ADDRESS : 163 WIMBLEDON COURT 01 CITY : PALM DESERT STATE/ZIP : CA 92260 MORTGAGE AMOUNT : 78,000.00 OPTION TO CONVERT : UNPAID BALANCE : 77,940.65 ANNUAL RATE ADJUST: MONTHLY P&I : 538.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 57.77700 ---------------------------------------------------------------- 0 0031661218 MORTGAGORS: CORINI NICKOLAS CORINI SHARON REGION CODE ADDRESS : 200 FOOTHILL ROAD 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 409,000.00 OPTION TO CONVERT : UNPAID BALANCE : 408,711.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,930.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.60900 ---------------------------------------------------------------- 0 0031661523 MORTGAGORS: LIAW NADINE LIAW YI-SHINN REGION CODE ADDRESS : 6476 ERIN DRIVE 01 CITY : CLARKSVILLE STATE/ZIP : MD 21029 MORTGAGE AMOUNT : 268,600.00 OPTION TO CONVERT : UNPAID BALANCE : 268,395.61 ANNUAL RATE ADJUST: MONTHLY P&I : 1,855.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,404,600.00 P & I AMT: 9,840.67 UPB AMT: 1,403,561.25 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 212 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031662380 MORTGAGORS: STEWART LINDON STEWART CAROL REGION CODE ADDRESS : 19292 LEAL TRAIL 01 CITY : TRABUCO CANYON AREA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 412,500.00 OPTION TO CONVERT : UNPAID BALANCE : 412,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,813.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031662638 MORTGAGORS: AGNEW JASON AGNEW JENNIFER REGION CODE ADDRESS : 27 PINE STREET 01 CITY : PEPPERELL STATE/ZIP : MA 01463 MORTGAGE AMOUNT : 119,200.00 OPTION TO CONVERT : UNPAID BALANCE : 119,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 833.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031663347 MORTGAGORS: LEONARD MILFORD LEONARD LARHONDA REGION CODE ADDRESS : 5500 SAMANTHA AVENUE 01 CITY : LAKEWOOD STATE/ZIP : CA 90712 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,992.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.90500 ---------------------------------------------------------------- 0 0031663412 MORTGAGORS: PLYMELL BRIAN PLYMELL KAREN REGION CODE ADDRESS : 2016 BELMONT LANE # A 01 CITY : REDONDO BEACH STATE/ZIP : CA 90278 MORTGAGE AMOUNT : 271,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,788.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,848.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.55000 ---------------------------------------------------------------- 0 0031663537 MORTGAGORS: BALLEW SUSAN REGION CODE ADDRESS : 28852 TOP OF THE WORLD DRIVE 01 CITY : LAGUNA BEACH STATE/ZIP : CA 92651 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 55.68000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,435,700.00 P & I AMT: 9,922.17 UPB AMT: 1,435,488.59 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 213 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031663875 MORTGAGORS: CRAVENS NORMAN CRAVENS NANCY REGION CODE ADDRESS : 5212 SENFORD AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90056 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 383,700.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,619.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.85300 ---------------------------------------------------------------- 0 0031664386 MORTGAGORS: MASSINI PAUL REGION CODE ADDRESS : 1131 ABINGDON ROAD 01 CITY : VIRGINIA BEACH STATE/ZIP : VA 23451 MORTGAGE AMOUNT : 251,750.00 OPTION TO CONVERT : UNPAID BALANCE : 251,558.44 ANNUAL RATE ADJUST: MONTHLY P&I : 1,738.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031664402 MORTGAGORS: TORRES LORENZO REGION CODE ADDRESS : 3224 THE ALAMEDA 01 CITY : CONCORD STATE/ZIP : CA 94519 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,332.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,701.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031664436 MORTGAGORS: RICHARD RONALD RICHARD DEBORAH REGION CODE ADDRESS : 31769 POOLE COURT 01 CITY : TEMECULA STATE/ZIP : CA 92591 MORTGAGE AMOUNT : 261,250.00 OPTION TO CONVERT : UNPAID BALANCE : 261,065.61 ANNUAL RATE ADJUST: MONTHLY P&I : 1,871.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031664485 MORTGAGORS: METERSKY NEAL METERSKY TAMMY REGION CODE ADDRESS : 15245 S.W.L MORAINE COURT 01 CITY : BEAVERTON STATE/ZIP : OR 97007 MORTGAGE AMOUNT : 244,500.00 OPTION TO CONVERT : UNPAID BALANCE : 244,335.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,794.05 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 94.96900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,379,000.00 P & I AMT: 9,725.49 UPB AMT: 1,377,992.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 214 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031664576 MORTGAGORS: ABAD LARRY ABAD JOYCE REGION CODE ADDRESS : 2 SKYGATE 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,925.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.55500 ---------------------------------------------------------------- 0 0031664691 MORTGAGORS: MORRISON ROGER MORRISON CHARLA REGION CODE ADDRESS : 4512 CROWN KNOLL CIRCLE 01 CITY : FLOWER MOUND STATE/ZIP : TX 75028 MORTGAGE AMOUNT : 379,300.00 OPTION TO CONVERT : UNPAID BALANCE : 379,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,652.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 83.54600 ---------------------------------------------------------------- 0 0031664725 MORTGAGORS: RAIG DAVID REGION CODE ADDRESS : 727 S. BROADWAY #A 01 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,797.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031664923 MORTGAGORS: NYMAN SHARI NYMAN DAVID REGION CODE ADDRESS : 127 ROTARY DRIVE 01 CITY : SUMMIT STATE/ZIP : NJ 07901 MORTGAGE AMOUNT : 385,000.00 OPTION TO CONVERT : UNPAID BALANCE : 385,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,659.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 50.72400 ---------------------------------------------------------------- 0 0031665250 MORTGAGORS: FLEMING CASEY FLEMING SUSAN REGION CODE ADDRESS : 33432 DOSINIA DRIVE 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 323,700.00 OPTION TO CONVERT : UNPAID BALANCE : 323,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,263.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.95100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,620,000.00 P & I AMT: 11,273.44 UPB AMT: 1,619,797.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 215 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031666381 MORTGAGORS: GHALLAB GHALIB GHALLAB TOYA REGION CODE ADDRESS : 6984 STONE MEADOWS AVENUE 01 CITY : LAS VEGAS STATE/ZIP : NV 89122 MORTGAGE AMOUNT : 242,304.00 OPTION TO CONVERT : UNPAID BALANCE : 242,124.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,694.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031667520 MORTGAGORS: KENT CRAIG SPRINGMAN RICHARD REGION CODE ADDRESS : 23 WARNER ROAD 01 CITY : EAST HADDAM STATE/ZIP : CT 06423 MORTGAGE AMOUNT : 281,600.00 OPTION TO CONVERT : UNPAID BALANCE : 280,903.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,873.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031668155 MORTGAGORS: JOHNSON J JOHNSON RENEE REGION CODE ADDRESS : 1524 GROMMON ROAD 01 CITY : NAPERVILLE STATE/ZIP : IL 60564 MORTGAGE AMOUNT : 262,500.00 OPTION TO CONVERT : UNPAID BALANCE : 262,035.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,680.82 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031669260 MORTGAGORS: YU RANDALL YUE ALICE REGION CODE ADDRESS : 164 18TH AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94121 MORTGAGE AMOUNT : 318,750.00 OPTION TO CONVERT : UNPAID BALANCE : 318,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,311.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031669419 MORTGAGORS: HASSELHOFF JOSEPH HASSELHOFF DOLORES REGION CODE ADDRESS : 1026 NORUMBEGA DRIVE 01 CITY : MONROVIA STATE/ZIP : CA 91016 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,793.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,405,154.00 P & I AMT: 9,734.91 UPB AMT: 1,403,606.72 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 216 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031669633 MORTGAGORS: HAAS SCOTT GOLDMAN LAURA REGION CODE ADDRESS : 27 GIBSON STREET 01 CITY : CAMBRIDGE STATE/ZIP : MA 02138 MORTGAGE AMOUNT : 289,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,020.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 33.02800 ---------------------------------------------------------------- 0 0031669732 MORTGAGORS: MISUMI JOHN LIM MINNIE REGION CODE ADDRESS : 1513 WALNUT AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90291 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031669773 MORTGAGORS: PERRY BRIAN PERRY DIANE REGION CODE ADDRESS : 7310 BLACK SWAN PLACE 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 271,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,788.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,848.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 49.27200 ---------------------------------------------------------------- 0 0031669781 MORTGAGORS: CAMERON HERBERT CAMERON JEANNE REGION CODE ADDRESS : 21215 SILENT SPRING LANE 01 CITY : TRABUCO CANYON STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,838.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,761.04 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031669799 MORTGAGORS: CURUKCUYAN YERVANT CURUKCUYAN HASMIK REGION CODE ADDRESS : 18406 CHATHAM LANE 01 CITY : LOS ANGELES STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,387.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.97436 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,390,000.00 P & I AMT: 9,675.72 UPB AMT: 1,389,627.55 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 217 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031670177 MORTGAGORS: BATEMAN DAVID BATEMAN MARSCHELLE REGION CODE ADDRESS : 536 GRANITE HILLS STREET 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 296,700.00 OPTION TO CONVERT : UNPAID BALANCE : 296,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,024.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99900 ---------------------------------------------------------------- 0 0031670235 MORTGAGORS: MOHSENI-ABYANE ALI MOHSENI-ABYANE SOHEILA REGION CODE ADDRESS : 1707 GREENBRIAR ROAD 01 CITY : GLENDALE STATE/ZIP : CA 91207 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 352,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,461.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031670250 MORTGAGORS: TEBELEV IGOR TEBELEVA RIMMA REGION CODE ADDRESS : 9 VIA GRANADA 01 CITY : ROLLING HILLS ESTATE STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,817.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031670326 MORTGAGORS: TUCKER THOMAS ROYSTER KIM REGION CODE ADDRESS : 1945 MAVERICK LANE 01 CITY : SANTA ANA STATE/ZIP : CA 92705 MORTGAGE AMOUNT : 471,900.00 OPTION TO CONVERT : UNPAID BALANCE : 471,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,299.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.90400 ---------------------------------------------------------------- 0 0031670359 MORTGAGORS: MURAKAMI NEAL NAKAGAWA GUY REGION CODE ADDRESS : 1800 YOSEMITE ROAD 01 CITY : BERKELEY STATE/ZIP : CA 94707 MORTGAGE AMOUNT : 382,600.00 OPTION TO CONVERT : UNPAID BALANCE : 382,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,481.54 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 75.76200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,763,200.00 P & I AMT: 12,084.36 UPB AMT: 1,763,200.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 218 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031670417 MORTGAGORS: LEE ANDREW REGION CODE ADDRESS : 1206 MARINERS DRIVE 01 CITY : NEW PORT BEACH STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 338,000.00 OPTION TO CONVERT : UNPAID BALANCE : 338,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,334.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.82300 ---------------------------------------------------------------- 0 0031670474 MORTGAGORS: FALK JOANNE REGION CODE ADDRESS : 2753 NORTH BEACHWOOD DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 388,400.00 OPTION TO CONVERT : UNPAID BALANCE : 388,111.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,715.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.15600 ---------------------------------------------------------------- 0 0031670508 MORTGAGORS: KORST LISA REGION CODE ADDRESS : 5039 WHITSETT AVENUE 01 CITY : LOS ANGELES NORTH HOLLYWO STATE/ZIP : CA 91607 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 93.75000 ---------------------------------------------------------------- 0 0031671514 MORTGAGORS: SCHMIDT MICHAEL SCHMIDT JILL REGION CODE ADDRESS : 7174 SOUTH NIAGARA CIRCLE 01 CITY : ENGLEWOOD STATE/ZIP : CO 80112 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,759.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,265.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.43400 ---------------------------------------------------------------- 0 0031673361 MORTGAGORS: PERON ANDRE PERON LOUISE REGION CODE ADDRESS : 27261 LOST COLT DRIVE 01 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,624.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,730,400.00 P & I AMT: 11,986.79 UPB AMT: 1,729,871.29 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 219 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673379 MORTGAGORS: WAMBAUGH JOHN WAMBAUGH DEBRA REGION CODE ADDRESS : 11910 CLEAR CREEK ROAD 01 CITY : BROOKDALE STATE/ZIP : CA 95007 MORTGAGE AMOUNT : 489,000.00 OPTION TO CONVERT : UNPAID BALANCE : 489,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,503.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.31600 ---------------------------------------------------------------- 0 0031673502 MORTGAGORS: BISHOP MICHAEL BISHOP MICHELE REGION CODE ADDRESS : 412 COUNTRYSIDE CIRCLE 01 CITY : SANTA ROSA STATE/ZIP : CA 95401 MORTGAGE AMOUNT : 293,600.00 OPTION TO CONVERT : UNPAID BALANCE : 293,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,002.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031673692 MORTGAGORS: KORDAHI ELIAS KORDAHI MARY REGION CODE ADDRESS : 4807 MARICOPA STREET 01 CITY : TORRANCE STATE/ZIP : CA 90503 MORTGAGE AMOUNT : 319,000.00 OPTION TO CONVERT : UNPAID BALANCE : 318,751.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,176.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 82.85700 ---------------------------------------------------------------- 0 0031673734 MORTGAGORS: TORREY DONALD HILL JODIE REGION CODE ADDRESS : 9063 TARMAC WAY 01 CITY : FAIR OAKS STATE/ZIP : CA 95628 MORTGAGE AMOUNT : 258,500.00 OPTION TO CONVERT : UNPAID BALANCE : 258,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,763.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.85700 ---------------------------------------------------------------- 0 0031673775 MORTGAGORS: MIKASA CLIFFORD MIKASA ELLEN REGION CODE ADDRESS : 2254 SANTA FE AVENUE 01 CITY : TORRANCE STATE/ZIP : CA 90501 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,155.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,680,100.00 P & I AMT: 11,601.60 UPB AMT: 1,679,851.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 220 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673825 MORTGAGORS: JOHNSON LANE JOHNSON JILL REGION CODE ADDRESS : 911 MIDPINE WAY 01 CITY : SEBASTOPOL STATE/ZIP : CA 95472 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,910.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031673908 MORTGAGORS: MAR WELLINGTON MAR CV REGION CODE ADDRESS : 969 HENDERSON AVENUE 01 CITY : SUNNYVALE STATE/ZIP : CA 94086 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 379,745.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,788.31 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 79.16600 ---------------------------------------------------------------- 0 0031674252 MORTGAGORS: EHLE RICHARD EHLE YVONNE REGION CODE ADDRESS : 52 TUYSHTAK COURT 01 CITY : CLAYTON STATE/ZIP : CA 94517 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 68.18900 ---------------------------------------------------------------- 0 0031674328 MORTGAGORS: ORNDORFF GRAHAM REGION CODE ADDRESS : 208 VALENCIA AVENUE 01 CITY : APTOS STATE/ZIP : CA 95003 MORTGAGE AMOUNT : 257,600.00 OPTION TO CONVERT : UNPAID BALANCE : 257,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,845.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031674369 MORTGAGORS: APPLEGARTH ALEXANDER APPLEGARTH KATHERINE REGION CODE ADDRESS : 72 MARS STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94114 MORTGAGE AMOUNT : 314,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,276.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 66.80900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,531,600.00 P & I AMT: 10,816.52 UPB AMT: 1,531,345.02 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 221 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031674401 MORTGAGORS: BANNA IMAD BANNA OLA REGION CODE ADDRESS : 10 NARBONNE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,678.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.58800 ---------------------------------------------------------------- 0 0031674450 MORTGAGORS: GIRAGOS WILLIAM REGION CODE ADDRESS : 2894 EVESHAM AVENUE 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 286,000.00 OPTION TO CONVERT : UNPAID BALANCE : 286,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,999.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.67300 ---------------------------------------------------------------- 0 0031674476 MORTGAGORS: BATA AMER BATA MARAM REGION CODE ADDRESS : 2441 AVENIDA OTONO 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,762.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.36300 ---------------------------------------------------------------- 0 0031674542 MORTGAGORS: SCOTT DANIEL REGION CODE ADDRESS : 221 SOUTH FOREST STREET 01 CITY : DENVER STATE/ZIP : CO 80246 MORTGAGE AMOUNT : 279,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,903.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.94200 ---------------------------------------------------------------- 0 0031675283 MORTGAGORS: SHANNON PAIGE SHANNON KEITH REGION CODE ADDRESS : 31 DARTMOUTH LANE 01 CITY : COTO DE CAZA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,880.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.78900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,326,000.00 P & I AMT: 9,224.06 UPB AMT: 1,326,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 222 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031675291 MORTGAGORS: MC VEIGH CAROLE MC VEIGH SCOTT REGION CODE ADDRESS : 10460 CHEVIOT DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 487,500.00 OPTION TO CONVERT : UNPAID BALANCE : 487,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,408.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031675309 MORTGAGORS: HISSONG JAMES FORMAN BETH REGION CODE ADDRESS : 7957 CALLE COZUMEL 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,826.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.01400 ---------------------------------------------------------------- 0 0031675317 MORTGAGORS: LEFFERMAN ELIAS O'LEARY LEFFERMAN KATHLEEN REGION CODE ADDRESS : 7917 VICKSBURG AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 241,400.00 OPTION TO CONVERT : UNPAID BALANCE : 241,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,687.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031675358 MORTGAGORS: BAILEY JACKIE BAILEY CHRISTOPHER REGION CODE ADDRESS : 6235 ASPINWALL ROAD 01 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 251,300.00 OPTION TO CONVERT : UNPAID BALANCE : 251,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,714.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.80000 ---------------------------------------------------------------- 0 0031675457 MORTGAGORS: KING PETER KING MARY REGION CODE ADDRESS : 6473 WYNKOOP STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 247,500.00 OPTION TO CONVERT : UNPAID BALANCE : 247,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,709.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.83800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,485,700.00 P & I AMT: 10,346.42 UPB AMT: 1,485,700.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 223 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031675499 MORTGAGORS: MURPHY ANDREW MURPHY MARTHA REGION CODE ADDRESS : 1 CALLE GAZAPO 01 CITY : RANCHO SANTA MARGARITA STATE/ZIP : CA 92688 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,069.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031675523 MORTGAGORS: WONG LAWRENCE WONG CHRISTINE REGION CODE ADDRESS : 328 MAGELLAN DRIVE 01 CITY : PACIFICA STATE/ZIP : CA 94044 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,748.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.12500 ---------------------------------------------------------------- 0 0031675705 MORTGAGORS: BRYANT JOHN BRYANT CINDY REGION CODE ADDRESS : 11232 WEMBLEY ROAD 01 CITY : LOS ALAMITOS STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 304,500.00 OPTION TO CONVERT : UNPAID BALANCE : 304,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,129.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.08800 ---------------------------------------------------------------- 0 0031675820 MORTGAGORS: SCHMIDT RICHARD SCHMIDT PATRICIA REGION CODE ADDRESS : 12 PALMATUM 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 321,900.00 OPTION TO CONVERT : UNPAID BALANCE : 321,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,250.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.84000 ---------------------------------------------------------------- 0 0031675903 MORTGAGORS: LAKRITZ MICHAEL LAKRITZ LISA REGION CODE ADDRESS : 5917 EAST BLUEBONNET COURT 01 CITY : ORANGE STATE/ZIP : CA 92869 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,796.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,442,400.00 P & I AMT: 9,993.92 UPB AMT: 1,442,400.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 224 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031675945 MORTGAGORS: COFFEE P. COFFEE MARILYN REGION CODE ADDRESS : 1904 DOUGLAS DRIVE 01 CITY : ARNOLD STATE/ZIP : CA 95223 MORTGAGE AMOUNT : 270,800.00 OPTION TO CONVERT : UNPAID BALANCE : 270,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,893.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.38900 ---------------------------------------------------------------- 0 0031675952 MORTGAGORS: ARJANG SHAHROKH AFSHANI MINOO REGION CODE ADDRESS : 534 SOUTH LAURELTREE DRIVE 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,727.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031675986 MORTGAGORS: DODSON GLEN DODSON CYNTHIA REGION CODE ADDRESS : 21275 TWIN OAK 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 422,000.00 OPTION TO CONVERT : UNPAID BALANCE : 422,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,914.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676026 MORTGAGORS: MERCHANT TERRI MERCHANT CHRISTOPHER REGION CODE ADDRESS : 6762 RED COACH DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92647 MORTGAGE AMOUNT : 317,200.00 OPTION TO CONVERT : UNPAID BALANCE : 317,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,217.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.30000 ---------------------------------------------------------------- 0 0031676042 MORTGAGORS: GREAVES JOHN GREAVES JERRI REGION CODE ADDRESS : 3664 MAY STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,776.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.63700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,508,000.00 P & I AMT: 10,529.06 UPB AMT: 1,508,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 225 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676141 MORTGAGORS: GOENA CHRISTOPHER BURY DIANE REGION CODE ADDRESS : 28 WEST RIANDA ROAD 01 CITY : WATSONVILLE STATE/ZIP : CA 95076 MORTGAGE AMOUNT : 248,800.00 OPTION TO CONVERT : UNPAID BALANCE : 248,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,697.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676166 MORTGAGORS: MAYO GAIL KAPLAN SHERWIN REGION CODE ADDRESS : 1200 CAPITOLA ROAD #11 01 CITY : SANTA CRUZ STATE/ZIP : CA 95062 MORTGAGE AMOUNT : 112,800.00 OPTION TO CONVERT : UNPAID BALANCE : 112,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 779.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676208 MORTGAGORS: KOPEL DAVID KOPEL HANA REGION CODE ADDRESS : 6066 LAKE LINDERO DRIVE 01 CITY : AGOURA HILLS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 386,000.00 OPTION TO CONVERT : UNPAID BALANCE : 386,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,698.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.82500 ---------------------------------------------------------------- 0 0031676216 MORTGAGORS: SOROKO MARK SOROKO BELLA REGION CODE ADDRESS : 30040 SAN FRANCISQUITO CANYON ROAD 01 CITY : SAUGUS STATE/ZIP : CA 92150 MORTGAGE AMOUNT : 377,500.00 OPTION TO CONVERT : UNPAID BALANCE : 377,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,639.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.48200 ---------------------------------------------------------------- 0 0031676224 MORTGAGORS: SERNIAK GEORGE REGION CODE ADDRESS : 23282 PALAWAN CIRCLE 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 437,700.00 OPTION TO CONVERT : UNPAID BALANCE : 437,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,060.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.95000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,562,800.00 P & I AMT: 10,875.30 UPB AMT: 1,562,800.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 226 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676315 MORTGAGORS: WAKUTA DARYL WAKUTA ALISON REGION CODE ADDRESS : 21326 MILDRED AVENUE 01 CITY : TORRANCE STATE/ZIP : CA 90503 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,538.01 ANNUAL RATE ADJUST: MONTHLY P&I : 1,940.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 66.97600 ---------------------------------------------------------------- 0 0031676687 MORTGAGORS: TRADEWELL RICHARD TRADEWELL MARILYN REGION CODE ADDRESS : 418 MAGNOLIA STREET 01 CITY : COSTA MESA STATE/ZIP : CA 92627 MORTGAGE AMOUNT : 476,000.00 OPTION TO CONVERT : UNPAID BALANCE : 475,609.83 ANNUAL RATE ADJUST: MONTHLY P&I : 3,166.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676786 MORTGAGORS: BATISTA VINCENT BATISTA ELISABETH REGION CODE ADDRESS : 821 CANYON ROAD 01 CITY : REDWOOD CITY STATE/ZIP : CA 94062 MORTGAGE AMOUNT : 338,000.00 OPTION TO CONVERT : UNPAID BALANCE : 337,722.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,248.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.52900 ---------------------------------------------------------------- 0 0031676810 MORTGAGORS: DUTCH DANIEL VENEMAN NANCY REGION CODE ADDRESS : 320 SOUTH OLD BRIDGE ROAD 01 CITY : ANAHEIHM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 367,000.00 OPTION TO CONVERT : UNPAID BALANCE : 366,365.55 ANNUAL RATE ADJUST: MONTHLY P&I : 2,410.93 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.40000 ---------------------------------------------------------------- 0 0031676851 MORTGAGORS: LEFF ROBERT LEFF VIRGINIA REGION CODE ADDRESS : 4635 BALBOA AVENUE 01 CITY : ENCINO STATE/ZIP : CA 91316 MORTGAGE AMOUNT : 431,250.00 OPTION TO CONVERT : UNPAID BALANCE : 430,937.87 ANNUAL RATE ADJUST: MONTHLY P&I : 3,052.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,900,250.00 P & I AMT: 12,819.18 UPB AMT: 1,898,174.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 227 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676885 MORTGAGORS: GROSS LOUIS GROSS JUDITH REGION CODE ADDRESS : 7100 ARRAN PLACE 01 CITY : BETHESDA STATE/ZIP : MD 20817 MORTGAGE AMOUNT : 472,500.00 OPTION TO CONVERT : UNPAID BALANCE : 471,703.81 ANNUAL RATE ADJUST: MONTHLY P&I : 3,103.99 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031676901 MORTGAGORS: MILDNER JOHN REGION CODE ADDRESS : 1863 CHEROKEE ROSE CIRCLE 01 CITY : MT PLEASANT STATE/ZIP : SC 29464 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 257,346.01 ANNUAL RATE ADJUST: MONTHLY P&I : 1,694.88 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.65900 ---------------------------------------------------------------- 0 0031676935 MORTGAGORS: DIRVIANSKIS JONATHAN DIRVIANSKIS PHYLLIS REGION CODE ADDRESS : 595 GLASGOW CIRCLE 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 320,600.00 OPTION TO CONVERT : UNPAID BALANCE : 317,454.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,106.12 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 72.86300 ---------------------------------------------------------------- 0 0031676943 MORTGAGORS: COLEMAN MICHAEL COLEMAN AGNES REGION CODE ADDRESS : 115 BROOKDALE STREET 01 CITY : KINGSTON STATE/ZIP : MA 02364 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,578.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,642.33 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.52900 ---------------------------------------------------------------- 0 0031676950 MORTGAGORS: GROGAN CHRISTOPHER REGION CODE ADDRESS : 128 SUFFOLK ROAD 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 517,500.00 OPTION TO CONVERT : UNPAID BALANCE : 516,188.21 ANNUAL RATE ADJUST: MONTHLY P&I : 3,399.61 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,818,600.00 P & I AMT: 11,946.93 UPB AMT: 1,812,271.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 228 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676968 MORTGAGORS: FORCIER STEVEN REGION CODE ADDRESS : 7841 WASHBURN ROAD 01 CITY : LAS VEGAS STATE/ZIP : NV 89129 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,761.40 ANNUAL RATE ADJUST: MONTHLY P&I : 1,865.68 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031677172 MORTGAGORS: LUECK THERESA HOGAN TIMOTHY REGION CODE ADDRESS : 1054 SAN ANTONIO CREEK ROAD 01 CITY : SANTA BARBARA STATE/ZIP : CA 93111 MORTGAGE AMOUNT : 435,000.00 OPTION TO CONVERT : UNPAID BALANCE : 434,660.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,967.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 51.47900 ---------------------------------------------------------------- 0 0031677230 MORTGAGORS: OWENS JUDY REGION CODE ADDRESS : 730 DALEHURST AVE 01 CITY : SAN MATEO STATE/ZIP : CA 94403 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,328.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 66.66600 ---------------------------------------------------------------- 0 0031677248 MORTGAGORS: YOUNG TERENCE YOUNG KAREN REGION CODE ADDRESS : 1400 SALMON CREEK ROAD 01 CITY : BODEGA STATE/ZIP : CA 94922 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 35.29400 ---------------------------------------------------------------- 0 0031677263 MORTGAGORS: TOMASSINI MASSIMO TOMASSINI EARLYN REGION CODE ADDRESS : 6831 AITKEN DRIVE 01 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 389,600.00 OPTION TO CONVERT : UNPAID BALANCE : 389,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,657.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,758,600.00 P & I AMT: 11,815.38 UPB AMT: 1,758,022.06 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 229 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031677289 MORTGAGORS: SHAH RAHUL REGION CODE ADDRESS : 2 LEXINGTON 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,889.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031677354 MORTGAGORS: TRANG TAI LUONG LIEN REGION CODE ADDRESS : 6371 ROYAL GROVE DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 364,700.00 OPTION TO CONVERT : UNPAID BALANCE : 364,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,581.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.50700 ---------------------------------------------------------------- 0 0031677396 MORTGAGORS: HAMILTON EDWIN HAMILTON KAREN REGION CODE ADDRESS : 3099 LAS MESITAS DRIVE 01 CITY : SANTA ROSA STATE/ZIP : CA 95405 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,099.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 71.46300 ---------------------------------------------------------------- 0 0031678097 MORTGAGORS: LUO WENDY LUO KAREN REGION CODE ADDRESS : 220 LADERA STREET 01 CITY : MONTEREY PARK STATE/ZIP : CA 91754 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,006.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.56700 ---------------------------------------------------------------- 0 0031678147 MORTGAGORS: LEVIN THOMAS LEVIN CARA REGION CODE ADDRESS : 6074 SUNNYCREST DRIVE 01 CITY : AGOUROA STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 352,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,371.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,580,700.00 P & I AMT: 10,948.12 UPB AMT: 1,580,700.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 230 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031678428 MORTGAGORS: BLANCHETTE JARONE BLANCHETTE MARY REGION CODE ADDRESS : 8937 SUMMERHILL POINT 01 CITY : ALPINE STATE/ZIP : CA 91901 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 236,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,570.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031678923 MORTGAGORS: OTREMBA RONALD OTREMBA DIANE REGION CODE ADDRESS : 1852 RED FOX ROAD 01 CITY : EAGAN STATE/ZIP : MN 55122 MORTGAGE AMOUNT : 298,150.00 OPTION TO CONVERT : UNPAID BALANCE : 297,683.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,033.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.80400 ---------------------------------------------------------------- 0 0031678972 MORTGAGORS: EL-DAKHAKHNI MOHAMED REGION CODE ADDRESS : 47-326 MAWAENA STREET 01 CITY : KANEOHE STATE/ZIP : HI 96744 MORTGAGE AMOUNT : 371,000.00 OPTION TO CONVERT : UNPAID BALANCE : 370,710.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,530.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031678998 MORTGAGORS: EFIRD ROBERT EFIRD EMILY REGION CODE ADDRESS : 11815 N. SUNDOWN DRIVE 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85260 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,811.81 ANNUAL RATE ADJUST: MONTHLY P&I : 1,840.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 62.65000 ---------------------------------------------------------------- 0 0031679012 MORTGAGORS: KURAMOTO RANDAL CHAN JASMINE REGION CODE ADDRESS : 1634 SAINT FRANCIS WAY 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,706.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,564.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,541,150.00 P & I AMT: 10,540.14 UPB AMT: 1,539,912.51 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 231 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031679103 MORTGAGORS: BLACKINGTON BLANCHE BREITENBAUCH CHARLES REGION CODE ADDRESS : 3639 MT. ARIANE DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92111 MORTGAGE AMOUNT : 237,400.00 OPTION TO CONVERT : UNPAID BALANCE : 237,232.45 ANNUAL RATE ADJUST: MONTHLY P&I : 1,700.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.99800 ---------------------------------------------------------------- 0 0031679301 MORTGAGORS: PAVLETIC THOMAS RAMOS NERISSA REGION CODE ADDRESS : 3 DOW COURT 01 CITY : ALAMEDA STATE/ZIP : CA 94501 MORTGAGE AMOUNT : 275,950.00 OPTION TO CONVERT : UNPAID BALANCE : 275,745.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,929.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.97994 ---------------------------------------------------------------- 0 0031679343 MORTGAGORS: DOWNS TIMOTHY DOWNS CATHERINE REGION CODE ADDRESS : 415 DEER RUN ROAD 01 CITY : FELTON STATE/ZIP : CA 95018 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031679442 MORTGAGORS: CATO ANTHONY SEARS-CATO KAREN REGION CODE ADDRESS : 6175 PARK CREST DRIVE 01 CITY : CHINO HILLS STATE/ZIP : CA 91709 MORTGAGE AMOUNT : 269,921.00 OPTION TO CONVERT : UNPAID BALANCE : 269,921.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.99900 ---------------------------------------------------------------- 0 0031680697 MORTGAGORS: CUTAIA DOMENIC CUTAIA JODY REGION CODE ADDRESS : 30751 OXFORD WAY 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 263,950.00 OPTION TO CONVERT : UNPAID BALANCE : 263,758.95 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,371,221.00 P & I AMT: 9,596.06 UPB AMT: 1,370,657.60 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 232 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031681000 MORTGAGORS: OSOFSKY RAYMOND OSOFSKY JILL REGION CODE ADDRESS : 1977 LEIGH ANN PLACE 01 CITY : SAN JOSE STATE/ZIP : CA 95125 MORTGAGE AMOUNT : 394,000.00 OPTION TO CONVERT : UNPAID BALANCE : 394,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,687.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 60.61500 ---------------------------------------------------------------- 0 0031681034 MORTGAGORS: JAKOBSEN BO JAKOBSEN ANGELETTE REGION CODE ADDRESS : 30246 VIA VICTORIA 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 356,250.00 OPTION TO CONVERT : UNPAID BALANCE : 356,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,400.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031681067 MORTGAGORS: HEARN JEFFREY HEARN DOREEN REGION CODE ADDRESS : 21626 REDBEAM AVENUE 01 CITY : TORRANCE STATE/ZIP : CA 90503 MORTGAGE AMOUNT : 279,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,903.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031681083 MORTGAGORS: ALLEN RONALD CAMMAROTA ALLEN FRANCES REGION CODE ADDRESS : 2770 CASA GRANDE COURT 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 267,200.00 OPTION TO CONVERT : UNPAID BALANCE : 267,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 64.38500 ---------------------------------------------------------------- 0 0031681455 MORTGAGORS: DOSHI SAMIR DOSHI SHEFALI REGION CODE ADDRESS : 37 WHISPERING PINE 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,824.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,776.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,544,450.00 P & I AMT: 10,636.21 UPB AMT: 1,544,274.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 233 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031682347 MORTGAGORS: EBERLE PAUL EBERLE NICOLETTE REGION CODE ADDRESS : 22006 CANON DRIVE 01 CITY : TOPANGA STATE/ZIP : CA 90290 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 379,710.85 ANNUAL RATE ADJUST: MONTHLY P&I : 2,624.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 52.05400 ---------------------------------------------------------------- 0 0031682354 MORTGAGORS: CASE SUE ELLEN FOSTER SUSAN REGION CODE ADDRESS : 8054 TERRACE DR 01 CITY : EL CERRITO STATE/ZIP : CA 94530 MORTGAGE AMOUNT : 334,400.00 OPTION TO CONVERT : UNPAID BALANCE : 334,151.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,338.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031682396 MORTGAGORS: COPPA CHRISTOPHER COPPA CATHY REGION CODE ADDRESS : 3212 DIANORA DRIVE 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 460,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,177.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070011242 MORTGAGORS: MCLAUGHLIN MICHAEL MCLAUGHLIN UNA REGION CODE ADDRESS : 22 EAST 24TH AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90291 MORTGAGE AMOUNT : 332,100.00 OPTION TO CONVERT : UNPAID BALANCE : 332,100.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,350.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 66.42000 ---------------------------------------------------------------- 0 0070032362 MORTGAGORS: HAHN BILLY HAHN LINDA REGION CODE ADDRESS : 8309 POTTERS ROAD 01 CITY : WEDDINGTON STATE/ZIP : NC 28173 MORTGAGE AMOUNT : 126,450.00 OPTION TO CONVERT : UNPAID BALANCE : 126,450.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,018.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.50000 PRODUCT CODE : 001 LTV : 66.55263 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,632,950.00 P & I AMT: 11,509.11 UPB AMT: 1,632,412.67 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 234 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070033683 MORTGAGORS: ROSEN MICHAEL ROSEN NANCY REGION CODE ADDRESS : 20 PEACH DRIVE 01 CITY : EAST HILLS STATE/ZIP : NY 11576 MORTGAGE AMOUNT : 492,000.00 OPTION TO CONVERT : UNPAID BALANCE : 491,634.86 ANNUAL RATE ADJUST: MONTHLY P&I : 3,440.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070045117 MORTGAGORS: PARK CHANG PARK SALLY REGION CODE ADDRESS : 13756 SAN GABRIEL CIRCLE 01 CITY : FONTANA STATE/ZIP : CA 92336 MORTGAGE AMOUNT : 128,000.00 OPTION TO CONVERT : UNPAID BALANCE : 128,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 884.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070054630 MORTGAGORS: MERAZ RICHARD REGION CODE ADDRESS : 1070 EAST LEADORA AVENUE 01 CITY : GLENDORA STATE/ZIP : CA 91741 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.82353 ---------------------------------------------------------------- 0 0070056635 MORTGAGORS: MENDEL GREGORY MENDEL NANCY REGION CODE ADDRESS : 354 HARTSHORN DRIVE 01 CITY : MILLBURN STATE/ZIP : NJ 07078 MORTGAGE AMOUNT : 366,150.00 OPTION TO CONVERT : UNPAID BALANCE : 365,266.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,466.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 56.15798 ---------------------------------------------------------------- 0 0070061999 MORTGAGORS: GAINES ROBERT GAINES SANDRA REGION CODE ADDRESS : 1032 WEST 55TH STREET 01 CITY : KANSAS CITY STATE/ZIP : MO 64113 MORTGAGE AMOUNT : 532,250.00 OPTION TO CONVERT : UNPAID BALANCE : 532,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,630.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 44.35417 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,786,400.00 P & I AMT: 12,250.13 UPB AMT: 1,785,151.23 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 235 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070062237 MORTGAGORS: GROTH JOHN GROTH COLLEEN REGION CODE ADDRESS : 4264 COUNTY ROAD 117 01 CITY : GLENWOOD SP STATE/ZIP : CO 81601 MORTGAGE AMOUNT : 259,400.00 OPTION TO CONVERT : UNPAID BALANCE : 259,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,769.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 63.26829 ---------------------------------------------------------------- 0 0070064795 MORTGAGORS: RUTLEDGE RICHARD RUTLEDGE BRENDA REGION CODE ADDRESS : 8852 TAMARISK CIRCLE 01 CITY : WESTMINSTER STATE/ZIP : CA 92683 MORTGAGE AMOUNT : 222,500.00 OPTION TO CONVERT : UNPAID BALANCE : 222,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,499.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 94.68085 ---------------------------------------------------------------- 0 0070066352 MORTGAGORS: KOPTI DANIEL ENTESSAR KATAYOON REGION CODE ADDRESS : 4560 RIVER BOTTOM DRIVE 01 CITY : NORCROSS STATE/ZIP : GA 30092 MORTGAGE AMOUNT : 253,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,797.68 ANNUAL RATE ADJUST: MONTHLY P&I : 1,704.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 67.46667 ---------------------------------------------------------------- 0 0070066402 MORTGAGORS: ROWSELL ARTHUR ROWSELL SANDRA REGION CODE ADDRESS : 3398 ROCKING HORSE CIRCLE 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 234,700.00 OPTION TO CONVERT : UNPAID BALANCE : 234,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,581.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 26.82286 ---------------------------------------------------------------- 0 0070067384 MORTGAGORS: ROSENSTEIN DANIEL SHOR MELISSA REGION CODE ADDRESS : 17804 CRICKET HILL DRIVE 01 CITY : GERMANTOWN STATE/ZIP : MD 20874 MORTGAGE AMOUNT : 270,700.00 OPTION TO CONVERT : UNPAID BALANCE : 270,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,823.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.61765 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,240,300.00 P & I AMT: 8,378.08 UPB AMT: 1,240,097.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 236 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070081328 MORTGAGORS: DOLTON ROBERT DOLTON BARBARA REGION CODE ADDRESS : 4410 NORTH LAKE BOULEVARD 01 CITY : CARNELIAN B STATE/ZIP : CA 96140 MORTGAGE AMOUNT : 343,300.00 OPTION TO CONVERT : UNPAID BALANCE : 343,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,283.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 13.46275 ---------------------------------------------------------------- 0 0070081351 MORTGAGORS: HUSTED WILLIAM DE CAMPS JEANNE REGION CODE ADDRESS : 6207 SOUTH VIRGINIA DARE 01 CITY : NAGS HEAD STATE/ZIP : NC 27959 MORTGAGE AMOUNT : 345,350.00 OPTION TO CONVERT : UNPAID BALANCE : 345,093.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,414.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 56.61475 ---------------------------------------------------------------- 0 0070081427 MORTGAGORS: HUSTED WILLIAM DE CAMPS JEANNE REGION CODE ADDRESS : 4131 SOUTH VIRGINIA DARE T 01 CITY : NAGS HEAD STATE/ZIP : NC 27959 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,750.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,349.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070082862 MORTGAGORS: SWATHWOOD DANIEL SWATHWOOD SUSAN REGION CODE ADDRESS : 570 WEST WILLOW COURT 01 CITY : LOUISVILLE STATE/ZIP : CO 80027 MORTGAGE AMOUNT : 257,500.00 OPTION TO CONVERT : UNPAID BALANCE : 257,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,756.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 68.66667 ---------------------------------------------------------------- 0 0070084561 MORTGAGORS: RUSSELL DAVID RUSSELL GLENYCE REGION CODE ADDRESS : 12570 PATHOS LANE 01 CITY : SAN DIEGO STATE/ZIP : CA 92129 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,030.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 84.97110 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,576,150.00 P & I AMT: 10,835.26 UPB AMT: 1,575,644.34 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 237 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070085808 MORTGAGORS: RICHARDSON ROGER RICHARDSON BURNETTA REGION CODE ADDRESS : 14900 JENKINS RIDGE ROAD 01 CITY : BOWIE STATE/ZIP : MD 20721 MORTGAGE AMOUNT : 261,500.00 OPTION TO CONVERT : UNPAID BALANCE : 261,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 88.64407 ---------------------------------------------------------------- 0 0070086301 MORTGAGORS: HAMILTON WENDY REGION CODE ADDRESS : 7 MAGNOLIA DRIVE 01 CITY : RYE BROOK STATE/ZIP : NY 10573 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,784.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,819.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 46.55172 ---------------------------------------------------------------- 0 0070103734 MORTGAGORS: BRUSCHI FRANK BRUSCHI RITA REGION CODE ADDRESS : 23 CATHLEEN DRIVE 01 CITY : RICHBORO STATE/ZIP : PA 18954 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,153.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070104062 MORTGAGORS: LOUGHMAN ROBERT LOUGHMAN SUSAN REGION CODE ADDRESS : 5106 DUVALL DRIVE 01 CITY : BETHESDA STATE/ZIP : MD 20816 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,817.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 60.46512 ---------------------------------------------------------------- 0 0070108188 MORTGAGORS: HOOVER ROBERT HOOVER SUSAN REGION CODE ADDRESS : 66 VAN RIPPER LANE 01 CITY : ORINDA STATE/ZIP : CA 94563 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 365,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,428.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 67.59259 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,464,500.00 P & I AMT: 10,047.38 UPB AMT: 1,464,284.09 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 238 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070109541 MORTGAGORS: KOPPE ROBERT SAVAGE CAROLYN REGION CODE ADDRESS : 2806 CAMERON ROAD 01 CITY : FALLS CHURC STATE/ZIP : VA 22042 MORTGAGE AMOUNT : 233,800.00 OPTION TO CONVERT : UNPAID BALANCE : 233,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,654.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.63780 ---------------------------------------------------------------- 0 0070111984 MORTGAGORS: MACKLIN JOHN MACKLIN EFFIE REGION CODE ADDRESS : 2203 SOLMAR DRIVE 01 CITY : SILVER SPRI STATE/ZIP : MD 20904 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 87.00000 ---------------------------------------------------------------- 0 0070112701 MORTGAGORS: WITHEM BRIAN WITHEM ARLENE REGION CODE ADDRESS : 13130 AVENIDA GRANADA 01 CITY : POWAY STATE/ZIP : CA 92064 MORTGAGE AMOUNT : 324,200.00 OPTION TO CONVERT : UNPAID BALANCE : 324,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,266.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.39535 ---------------------------------------------------------------- 0 0070113139 MORTGAGORS: UHER GARY CENTER SUSAN REGION CODE ADDRESS : 15 GRAY ROCK DRIVE 01 CITY : GREENWICH STATE/ZIP : CT 06831 MORTGAGE AMOUNT : 291,900.00 OPTION TO CONVERT : UNPAID BALANCE : 291,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 83.40000 ---------------------------------------------------------------- 0 0070113402 MORTGAGORS: CORCORAN JON CORCORAN KATHLEEN REGION CODE ADDRESS : 16790 HIGHLAND VALLEY ROAD 01 CITY : RAMONA STATE/ZIP : CA 92065 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,467,900.00 P & I AMT: 10,234.09 UPB AMT: 1,467,900.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 239 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070116850 MORTGAGORS: COLANTONI RINALDO GREENE GABRIELLA REGION CODE ADDRESS : 4535 BEN AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 91607 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 316,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,209.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.00000 ---------------------------------------------------------------- 0 0070119987 MORTGAGORS: YOUNG HARRY OSBORNE YOUN NANCY REGION CODE ADDRESS : 1569 SHADOWGLEN COURT 01 CITY : WESTLAKE VI STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 264,100.00 OPTION TO CONVERT : UNPAID BALANCE : 263,696.85 ANNUAL RATE ADJUST: MONTHLY P&I : 1,824.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.42667 ---------------------------------------------------------------- 0 0070122601 MORTGAGORS: SCHMATZ EVA REGION CODE ADDRESS : 1331 CERRO GORDO ROAD 01 CITY : SANTA FE STATE/ZIP : NM 87501 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,624.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070122999 MORTGAGORS: KEES THOMAS KEES DEBORAH REGION CODE ADDRESS : 304 CANYON FALLS DRIVE 01 CITY : FOLSOM STATE/ZIP : CA 95630 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 365,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,520.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 82.02247 ---------------------------------------------------------------- 0 0070129028 MORTGAGORS: MILLER MICHAEL CLYBURN MILL ARLENE REGION CODE ADDRESS : 15508 CLAYBURN DRIVE 01 CITY : LAUREL STATE/ZIP : MD 20707 MORTGAGE AMOUNT : 248,150.00 OPTION TO CONVERT : UNPAID BALANCE : 247,961.18 ANNUAL RATE ADJUST: MONTHLY P&I : 1,713.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 88.62500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,573,250.00 P & I AMT: 10,893.03 UPB AMT: 1,572,658.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 240 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070133152 MORTGAGORS: MORRIS JONES DONALD MORRIS JONES DANA REGION CODE ADDRESS : 279 FAIRTREE PLAZA 01 CITY : SEVERNA PAR STATE/ZIP : MD 21146 MORTGAGE AMOUNT : 250,800.00 OPTION TO CONVERT : UNPAID BALANCE : 250,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,753.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 69.66667 ---------------------------------------------------------------- 0 0070134556 MORTGAGORS: PINKETT MARTIN PINKETT SHELLY REGION CODE ADDRESS : 8103 CEDARGATE PLACE 01 CITY : GLENN DALE STATE/ZIP : MD 20769 MORTGAGE AMOUNT : 235,000.00 OPTION TO CONVERT : UNPAID BALANCE : 235,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,893.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 88.67925 ---------------------------------------------------------------- 0 0070142732 MORTGAGORS: WILSON HUGUETTE REGION CODE ADDRESS : 4809A 4809B RIVER AVE 01 CITY : NEWPORT BCH STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 326,300.00 OPTION TO CONVERT : UNPAID BALANCE : 326,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,253.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.32727 ---------------------------------------------------------------- 0 0070144050 MORTGAGORS: LALONDE CHARLES COMEAU MONA REGION CODE ADDRESS : 730 PALOMAR LANE 01 CITY : COLORADO SP STATE/ZIP : CO 80906 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.61843 ---------------------------------------------------------------- 0 0070148838 MORTGAGORS: CALUWAERTS DANIELLE REED BRETT REGION CODE ADDRESS : 1375 JOURNEYS END DRIVE 01 CITY : LA CANADA F STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 387,950.00 OPTION TO CONVERT : UNPAID BALANCE : 387,950.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,712.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.06863 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,464,050.00 P & I AMT: 10,481.62 UPB AMT: 1,464,050.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 241 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070156195 MORTGAGORS: RUSSELL DAVID RUSSELL LESLEE REGION CODE ADDRESS : 2669 REGENT ROAD 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 242,100.00 OPTION TO CONVERT : UNPAID BALANCE : 242,100.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.17391 ---------------------------------------------------------------- 0 0070159710 MORTGAGORS: PARRELLA BARNEY PARRELLA CHERYL REGION CODE ADDRESS : 2919 SOUTH COURT 01 CITY : ANNAPOLIS STATE/ZIP : MD 21401 MORTGAGE AMOUNT : 398,550.00 OPTION TO CONVERT : UNPAID BALANCE : 398,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,820.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 83.90526 ---------------------------------------------------------------- 0 0070163357 MORTGAGORS: SMITH SANDRA REGION CODE ADDRESS : 10110 EAST DOUBLETREE RANC 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85258 MORTGAGE AMOUNT : 240,890.00 OPTION TO CONVERT : UNPAID BALANCE : 240,890.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,684.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.98033 ---------------------------------------------------------------- 0 0070164215 MORTGAGORS: PANELLI VINCENT PANELLI SUSAN REGION CODE ADDRESS : 1 BUCCANEER LANE 01 CITY : REDWOOD CIT STATE/ZIP : CA 94065 MORTGAGE AMOUNT : 266,000.00 OPTION TO CONVERT : UNPAID BALANCE : 266,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,769.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 66.50000 ---------------------------------------------------------------- 0 0070164264 MORTGAGORS: BENNYWORTH NADYA BENNYWORTH WILLIAM REGION CODE ADDRESS : 21522 KANEOHE LANE 01 CITY : HUNTINGTON STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,407,540.00 P & I AMT: 9,763.51 UPB AMT: 1,407,540.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 242 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070166012 MORTGAGORS: DAO TUYE TRAN DAVID REGION CODE ADDRESS : 2229 AVENIDA OLIVA 01 CITY : SAN CLEMENT STATE/ZIP : CA 92673 MORTGAGE AMOUNT : 265,450.00 OPTION TO CONVERT : UNPAID BALANCE : 265,450.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,856.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.84286 ---------------------------------------------------------------- 0 0070167077 MORTGAGORS: BEALL LAWRENCE BEALL RICKIE REGION CODE ADDRESS : 10002 FOUNDERS WAY 01 CITY : DAMASCUS STATE/ZIP : MD 20872 MORTGAGE AMOUNT : 266,200.00 OPTION TO CONVERT : UNPAID BALANCE : 266,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,861.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 84.50794 ---------------------------------------------------------------- 0 0070167804 MORTGAGORS: DAVIDSON WILLIAM DAVIDSON MARILYN REGION CODE ADDRESS : 1030 DALTON SPRINGS LANE 01 CITY : GLENDORA STATE/ZIP : CA 91741 MORTGAGE AMOUNT : 256,400.00 OPTION TO CONVERT : UNPAID BALANCE : 256,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,792.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.41176 ---------------------------------------------------------------- 0 0070170196 MORTGAGORS: KELLEGREW KENT KELLEGREW DIANE REGION CODE ADDRESS : 418 HILLSBOROUGH STREET 01 CITY : THOUSAND OA STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,002.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.31579 ---------------------------------------------------------------- 0 0070171111 MORTGAGORS: RICHARDS JAMES AMES FRANCES REGION CODE ADDRESS : 1904 WEST GORDON AVENUE 01 CITY : LAYTON STATE/ZIP : UT 84041 MORTGAGE AMOUNT : 343,000.00 OPTION TO CONVERT : UNPAID BALANCE : 343,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,369.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,421,050.00 P & I AMT: 9,882.14 UPB AMT: 1,421,050.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 243 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070171145 MORTGAGORS: FELDMAN JEFFREY FELDMAN DENISE REGION CODE ADDRESS : 5 MORGAN COURT 01 CITY : MONTVALE STATE/ZIP : NJ 07645 MORTGAGE AMOUNT : 378,800.00 OPTION TO CONVERT : UNPAID BALANCE : 378,511.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,616.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 66.45614 ---------------------------------------------------------------- 0 0070171319 MORTGAGORS: PAGE LEE REGION CODE ADDRESS : 68 THOMAS STREET 01 CITY : NEW YORK STATE/ZIP : NY 10013 MORTGAGE AMOUNT : 338,950.00 OPTION TO CONVERT : UNPAID BALANCE : 338,950.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,341.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.88660 ---------------------------------------------------------------- 0 0070171939 MORTGAGORS: DRAA TYLER DRAA LINDA REGION CODE ADDRESS : 17775 VISTA AVENUE 01 CITY : MONTE SEREN STATE/ZIP : CA 95030 MORTGAGE AMOUNT : 575,000.00 OPTION TO CONVERT : UNPAID BALANCE : 575,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,971.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.19355 ---------------------------------------------------------------- 0 0070174578 MORTGAGORS: COFFIN JOHN COFFIN LYNNE REGION CODE ADDRESS : 146 BRANBURY DRIVE 01 CITY : CAMPBELL STATE/ZIP : CA 95008 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0070177480 MORTGAGORS: RICHTER RONALD MILANE LYNNE REGION CODE ADDRESS : 11515 ISABELLE RD 01 CITY : LAFAYETTE STATE/ZIP : CO 80026 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.03226 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,852,750.00 P & I AMT: 12,796.48 UPB AMT: 1,852,461.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 244 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070178397 MORTGAGORS: JONES GEORGE JONES CYNTHIA REGION CODE ADDRESS : 2571 BABCOCK ROAD 01 CITY : VIENNA STATE/ZIP : VA 22181 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,796.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,851.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.03084 ---------------------------------------------------------------- 0 0070182431 MORTGAGORS: WIN TIN WIN KHIN REGION CODE ADDRESS : 1389 S LEMON AVE 01 CITY : WALNUT STATE/ZIP : CA 91789 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 87.97654 ---------------------------------------------------------------- 0 0070183512 MORTGAGORS: MARTINI SPIRO MARTINI SUSAN REGION CODE ADDRESS : 18 PARKER COURT 01 CITY : MORGAN STATE/ZIP : NJ 08879 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0070186598 MORTGAGORS: COUFAL MICHAEL COUFAL NANCY REGION CODE ADDRESS : 3470 WELD COUNTY ROAD 01 CITY : ERIE STATE/ZIP : CO 80516 MORTGAGE AMOUNT : 137,000.00 OPTION TO CONVERT : UNPAID BALANCE : 137,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,072.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 47.24138 ---------------------------------------------------------------- 0 0070187463 MORTGAGORS: BERRY RALPH BERRY SUZETTE REGION CODE ADDRESS : 5126 CORTE PLAYA SAN JUAN 01 CITY : SAN DIEGO STATE/ZIP : CA 92124 MORTGAGE AMOUNT : 227,150.00 OPTION TO CONVERT : UNPAID BALANCE : 227,150.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,549.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 001 LTV : 79.70175 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,177,150.00 P & I AMT: 8,262.82 UPB AMT: 1,176,946.07 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 245 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070188875 MORTGAGORS: WERTZ KERRY WERTZ MARGARET REGION CODE ADDRESS : 4609 VALLEY FORGE DR 01 CITY : ROCKVILLE STATE/ZIP : MD 20853 MORTGAGE AMOUNT : 231,400.00 OPTION TO CONVERT : UNPAID BALANCE : 231,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,846.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/18 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 83.08797 ---------------------------------------------------------------- 0 0070189246 MORTGAGORS: LINDHEIM JERRY LINDHEIM CAROLYN REGION CODE ADDRESS : 729 SUSSEX ROAD 01 CITY : WYNNEWOOD STATE/ZIP : PA 19096 MORTGAGE AMOUNT : 253,600.00 OPTION TO CONVERT : UNPAID BALANCE : 253,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,751.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.08207 ---------------------------------------------------------------- 0 0070194881 MORTGAGORS: PARK CRAIG PARK KIMIKO REGION CODE ADDRESS : 4603 MACAFEE ROAD 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 239,400.00 OPTION TO CONVERT : UNPAID BALANCE : 239,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,673.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.22581 ---------------------------------------------------------------- 0 0070195276 MORTGAGORS: BANKS MICHAEL STERN BANKS LONES REGION CODE ADDRESS : 5386 CONESTOGA WAY 01 CITY : RICHMOND STATE/ZIP : CA 94803 MORTGAGE AMOUNT : 247,500.00 OPTION TO CONVERT : UNPAID BALANCE : 247,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,730.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0070196043 MORTGAGORS: LATIFI AMIR LATIFI KATHY REGION CODE ADDRESS : 20111 CAVERN COURT 01 CITY : SAUGUS STATE/ZIP : CA 91350 MORTGAGE AMOUNT : 274,500.00 OPTION TO CONVERT : UNPAID BALANCE : 274,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,919.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 91.50000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,246,400.00 P & I AMT: 8,921.87 UPB AMT: 1,246,400.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 246 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070200852 MORTGAGORS: STAPLETON THOMAS STAPLETON MARTHA REGION CODE ADDRESS : 2225 WANDERER DRIVE 01 CITY : SAN PEDRO STATE/ZIP : CA 90732 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,643.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 60.98765 ---------------------------------------------------------------- 0 0070205273 MORTGAGORS: BETTJER FRITZ SALL JENI REGION CODE ADDRESS : 2005 ROCKY RIDGE ROAD 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 357,500.00 OPTION TO CONVERT : UNPAID BALANCE : 357,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,348.52 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 72.95918 ---------------------------------------------------------------- 0 0070212972 MORTGAGORS: BIANCHI DARREN WOLF DIANA REGION CODE ADDRESS : 4810-4812 17TH STREET 01 CITY : San Francisco STATE/ZIP : CA 94117 MORTGAGE AMOUNT : 461,000.00 OPTION TO CONVERT : UNPAID BALANCE : 461,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,067.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 69.85000 ---------------------------------------------------------------- 0 0070215207 MORTGAGORS: TODD MICHAEL TODD SHARON REGION CODE ADDRESS : 251 TIERRA DEL SOL 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 289,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,996.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.06494 ---------------------------------------------------------------- 0 0070215843 MORTGAGORS: DEMARCHI ERNEST DEMARCHI SHARON REGION CODE ADDRESS : 8227 EAST HILLSDALE DRIVE 01 CITY : ORANGE STATE/ZIP : CA 92869 MORTGAGE AMOUNT : 382,200.00 OPTION TO CONVERT : UNPAID BALANCE : 382,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,607.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.66160 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,736,700.00 P & I AMT: 11,662.19 UPB AMT: 1,736,700.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 247 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070220678 MORTGAGORS: GODLEWSKI WAYNE GODLEWSKI CAROLYN REGION CODE ADDRESS : 6446 WYNKOOP STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 303,750.00 OPTION TO CONVERT : UNPAID BALANCE : 303,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.63953 ---------------------------------------------------------------- 0 0070221627 MORTGAGORS: MATYCZYNSKI ANDREZJ MATYCZYNSKI JUDITH REGION CODE ADDRESS : 8031 EAST SAN LUIS DRIVE 01 CITY : ORANGE STATE/ZIP : CA 92869 MORTGAGE AMOUNT : 272,600.00 OPTION TO CONVERT : UNPAID BALANCE : 272,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,836.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 66.48780 ---------------------------------------------------------------- 0 0070221957 MORTGAGORS: SIMPSON JOSEPH SIMPSON MARITZA REGION CODE ADDRESS : C/O MARITZA SIMPSON 01 CITY : RANCHO PALO STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 271,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,894.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 47.54386 ---------------------------------------------------------------- 0 0070222062 MORTGAGORS: COPLEN RICHARD COPLEN RHONDA REGION CODE ADDRESS : 2112 TUSCANY CIRCLE 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 459,000.00 OPTION TO CONVERT : UNPAID BALANCE : 459,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,131.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.86598 ---------------------------------------------------------------- 0 0070222724 MORTGAGORS: MEISTER ROBERT MEISTER SHAWN REGION CODE ADDRESS : 2341 NABAL STREET 01 CITY : ESCONDIDO STATE/ZIP : CA 92025 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,992.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.60733 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,591,350.00 P & I AMT: 10,901.80 UPB AMT: 1,591,350.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 248 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070230735 MORTGAGORS: STANFORD PETER STANFORD MARJORIE REGION CODE ADDRESS : 17401 DELLHAVEN CT. 01 CITY : CASTRO VALLEY STATE/ZIP : CA 94552 MORTGAGE AMOUNT : 311,920.00 OPTION TO CONVERT : UNPAID BALANCE : 311,920.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,075.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070233077 MORTGAGORS: TETZLAFF SCOTT TETZLAFF ELIZABETH REGION CODE ADDRESS : 2493 TEQUESTRA STREET 01 CITY : Tustin STATE/ZIP : CA 92680 MORTGAGE AMOUNT : 239,400.00 OPTION TO CONVERT : UNPAID BALANCE : 239,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,653.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0070234927 MORTGAGORS: HOWELL RICHARD HOWELL CINDY REGION CODE ADDRESS : 15945 FOOTHILL AVENUE 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,013.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 64.00000 ---------------------------------------------------------------- 0 0070240833 MORTGAGORS: LEVINSON GALINA REGION CODE ADDRESS : 1423 1425 24TH AVENUE 01 CITY : SAN FRANCIS STATE/ZIP : CA 94122 MORTGAGE AMOUNT : 330,300.00 OPTION TO CONVERT : UNPAID BALANCE : 330,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,253.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.06000 ---------------------------------------------------------------- 0 0070243050 MORTGAGORS: YOUNG ROBERT YOUNG KIMBERLY REGION CODE ADDRESS : 40 SUNSET COURT 01 CITY : Danville STATE/ZIP : CA 94506 MORTGAGE AMOUNT : 408,000.00 OPTION TO CONVERT : UNPAID BALANCE : 408,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,817.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,577,620.00 P & I AMT: 10,813.61 UPB AMT: 1,577,620.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 249 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070244959 MORTGAGORS: MAROUFKHANI FARIBORZ HADDADZADEH ZOHREH REGION CODE ADDRESS : 1050 CHANTILLY ROAD 01 CITY : BEL AIR STATE/ZIP : CA 90077 MORTGAGE AMOUNT : 548,000.00 OPTION TO CONVERT : UNPAID BALANCE : 548,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,831.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 60.88889 ---------------------------------------------------------------- 0 0070245253 MORTGAGORS: WILLIAMS GREGORY REGION CODE ADDRESS : 33082 CHRISTINA DRIVE 01 CITY : Dana Point STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070249230 MORTGAGORS: KLEYWEG JAMES HARRINGTON LISA REGION CODE ADDRESS : 2053 PLUM STREET 01 CITY : SAN DIEGO STATE/ZIP : CA 92106 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,732.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.84211 ---------------------------------------------------------------- 0 0070249537 MORTGAGORS: RAMEREZ MELESO Ramerez RACHAEL REGION CODE ADDRESS : 1516 PEPPERTREE DRIVE 01 CITY : La Habra Heights STATE/ZIP : CA 90631 MORTGAGE AMOUNT : 291,500.00 OPTION TO CONVERT : UNPAID BALANCE : 291,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,963.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 64.78000 ---------------------------------------------------------------- 0 0070255633 MORTGAGORS: BOYLE MATTHEW ARAGO-BOYLE CAROLINE REGION CODE ADDRESS : 895 TAMARACK AVENUE 01 CITY : San Jose STATE/ZIP : CA 95128 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.41000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,603,500.00 P & I AMT: 11,053.42 UPB AMT: 1,603,500.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 250 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070262688 MORTGAGORS: DERMAN HOWARD DERMAN LORI REGION CODE ADDRESS : 1 FAITH 01 CITY : Irvine STATE/ZIP : CA 92612 MORTGAGE AMOUNT : 452,900.00 OPTION TO CONVERT : UNPAID BALANCE : 452,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,128.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 54.90000 ---------------------------------------------------------------- 0 0070262837 MORTGAGORS: FOOTE WILLIAM FOOTE KATHLEEN REGION CODE ADDRESS : 114 JUNEBERRY COURT 01 CITY : San Jose STATE/ZIP : CA 95136 MORTGAGE AMOUNT : 252,500.00 OPTION TO CONVERT : UNPAID BALANCE : 252,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,808.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 71.73000 ---------------------------------------------------------------- 0 0070267125 MORTGAGORS: DE COUDRES RICHARD DE COUDRES JUDITH REGION CODE ADDRESS : 2951 EDGELEY PLACE 01 CITY : LOS ALAMITOS STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,202.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0070267216 MORTGAGORS: RICKER KENNETH REGION CODE ADDRESS : 5026 MERRIMAC COURT 01 CITY : SAN DIEGO STATE/ZIP : CA 92117 MORTGAGE AMOUNT : 155,500.00 OPTION TO CONVERT : UNPAID BALANCE : 155,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,074.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.04762 ---------------------------------------------------------------- 0 0070268495 MORTGAGORS: FINICAL SCOTT STRUNK SARAH REGION CODE ADDRESS : 255 B AVENUE 01 CITY : CORONADO STATE/ZIP : CA 92118 MORTGAGE AMOUNT : 336,600.00 OPTION TO CONVERT : UNPAID BALANCE : 336,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,353.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.27907 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,512,500.00 P & I AMT: 10,567.10 UPB AMT: 1,512,500.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 251 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070269378 MORTGAGORS: MORLEY PETER MORLEY MARY REGION CODE ADDRESS : 6 SAROS 01 CITY : Irvine STATE/ZIP : CA 92612 MORTGAGE AMOUNT : 550,000.00 OPTION TO CONVERT : UNPAID BALANCE : 550,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,705.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.97000 ---------------------------------------------------------------- 0 0070269675 MORTGAGORS: MELLIBOSKY CHRISTIAN MELLIBOSKY MARIA REGION CODE ADDRESS : 19573 PINEVALLEY AVE 01 CITY : NORTHRIDGE STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 253,300.00 OPTION TO CONVERT : UNPAID BALANCE : 253,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,871.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/23 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 68.83152 ---------------------------------------------------------------- 0 0070272430 MORTGAGORS: CANFIELD GREGORY CANFIELD LAURA REGION CODE ADDRESS : 507 BURNS CIRCLE 01 CITY : San Ramon STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 330,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,279.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 62.86000 ---------------------------------------------------------------- 0 0070272950 MORTGAGORS: ALLISON MICHAEL HAM CHERYL REGION CODE ADDRESS : 4429 GUILFORD PLACE 01 CITY : Livermore STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,763.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 55.79000 ---------------------------------------------------------------- 0 0070273636 MORTGAGORS: BELIAKOFF DOUGLAS BELIAKOFF ROSEMARY REGION CODE ADDRESS : 319 E. 20TH STREET 01 CITY : Costa Mesa STATE/ZIP : CA 92627 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 316,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,128.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,714,300.00 P & I AMT: 11,748.54 UPB AMT: 1,714,300.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 252 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070274824 MORTGAGORS: GHOSHEH RAJAI GHOSHEH RAYA REGION CODE ADDRESS : 28422 VIA ALFONSE 01 CITY : Laguna Niguel STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 334,400.00 OPTION TO CONVERT : UNPAID BALANCE : 334,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,338.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 69.67000 ---------------------------------------------------------------- 0 0070276993 MORTGAGORS: LEWIS KEVIN LEWIS CAROLINE REGION CODE ADDRESS : 2778 CALLE DE LA LOMA 01 CITY : Pleasanton STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 435,000.00 OPTION TO CONVERT : UNPAID BALANCE : 435,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,041.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.82000 ---------------------------------------------------------------- 0 0070280870 MORTGAGORS: SAFARIK JOHN SAFARIK BARBARA REGION CODE ADDRESS : 1716 GASCONY ROAD 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,989.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.80000 ---------------------------------------------------------------- 0 0070281316 MORTGAGORS: STILL TIMOTHY STILL MICHELLE REGION CODE ADDRESS : 6750 PASEO SAN LEON 01 CITY : Pleasanton STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,851.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 58.26000 ---------------------------------------------------------------- 0 0070283940 MORTGAGORS: FRANCO MICHAEL FRANCO SOPHIA REGION CODE ADDRESS : 338 LA MARINA DRIVE 01 CITY : Santa Barbara STATE/ZIP : CA 93109 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,019.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,621,400.00 P & I AMT: 11,239.14 UPB AMT: 1,621,400.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 253 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070284583 MORTGAGORS: DEASY WARREN REGION CODE ADDRESS : 7793 SKYHILL DRIVE 01 CITY : Los Angeles STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 310,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,141.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 62.00000 ---------------------------------------------------------------- 0 0070286265 MORTGAGORS: COTE RICHARD COTE ANNE REGION CODE ADDRESS : 911 HILTS AVENUE 01 CITY : Los Angeles STATE/ZIP : CA 90024 MORTGAGE AMOUNT : 591,000.00 OPTION TO CONVERT : UNPAID BALANCE : 591,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,183.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 58.51000 ---------------------------------------------------------------- 0 0070289111 MORTGAGORS: UTZ MICHAEL UTZ DEBORAH REGION CODE ADDRESS : 140 SHELTER COVE DRIVE 01 CITY : El Granada STATE/ZIP : CA 94018 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,762.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070291554 MORTGAGORS: MARGOLIS STEVEN REGION CODE ADDRESS : 132 BECKYS PATH 01 CITY : BRIDGEHAMPTON STATE/ZIP : NY 00000 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,857.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070294434 MORTGAGORS: RIVIN JAMES RIVIN ANTONIA REGION CODE ADDRESS : 62 BUCKSKIN ROAD 01 CITY : Bell Canyon STATE/ZIP : CA 91307 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 650,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,379.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 68.42000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,072,000.00 P & I AMT: 14,323.26 UPB AMT: 2,072,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG0004981230 01 PAGE: 254 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070303862 MORTGAGORS: VINCENT LAURENCE REGION CODE ADDRESS : 250 EL CHICO LANE 01 CITY : Coronado STATE/ZIP : CA 92118 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,781.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.38000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 1 LOAN AMT: 258,000.00 P & I AMT: 1,781.94 UPB AMT: 258,000.00 0 TOTAL NUM OF LOANS: 1266 LOAN AMT: 401,050,775.03 P & I AMT: 2,775,397.20 UPB AMT: 400,661,895.62 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 1 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007610538 MORTGAGORS: HORGAN DANIEL HORGAN LARA REGION CODE ADDRESS : 4802 NEPTUNE AVENUE 00 CITY : NEWPORT BEACH STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 381,916.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,652.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 12/01/27 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007616170 MORTGAGORS: VAN NORTWICK LISA VAN NORTWICK GERALD REGION CODE ADDRESS : 1030 AVENUE A 00 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 253,550.00 OPTION TO CONVERT : UNPAID BALANCE : 250,934.70 ANNUAL RATE ADJUST: MONTHLY P&I : 1,894.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 10/01/22 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 85.08389 ---------------------------------------------------------------- 0 0007666274 MORTGAGORS: SANCHEZ ARTHUR SANCHEZ ELENA REGION CODE ADDRESS : 507 DEL CORRO COURT 01 CITY : CHULA VISTA STATE/ZIP : CA 91910 MORTGAGE AMOUNT : 279,200.00 OPTION TO CONVERT : UNPAID BALANCE : 277,589.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,904.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007666316 MORTGAGORS: LIPINSKI RICHARD JACKSON DONNA REGION CODE ADDRESS : 2814 LAMBERT DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,883.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,675.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.40000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.40000 PRODUCT CODE : 002 LTV : 78.82700 ---------------------------------------------------------------- 0 0007666324 MORTGAGORS: DUDUM GEORGE DUDUM ANTIONETTE REGION CODE ADDRESS : 4 HEARTWOOD COURT 01 CITY : SAN RAFAEL STATE/ZIP : CA 94912 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,609.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,060.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.15000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.15000 PRODUCT CODE : 002 LTV : 69.01200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,463,750.00 P & I AMT: 10,186.78 UPB AMT: 1,454,933.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 2 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007666332 MORTGAGORS: HENDRICKS CHARLES HENDRICKS KEUPEE REGION CODE ADDRESS : 20187 VIA SANTA TERESA 01 CITY : SAN JOSE STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,012.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,705.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 41.66600 ---------------------------------------------------------------- 0 0007666340 MORTGAGORS: GO LINDA KINSELLA KATHERINE REGION CODE ADDRESS : 844 14TH STREET 01 CITY : MENLO PARK STATE/ZIP : CA 94025 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,756.02 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007666464 MORTGAGORS: MEISENHEIMER MARK MEISENHEIMER LORI REGION CODE ADDRESS : 1323 ANTIGUA WAY 01 CITY : NEWPORT BEA STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 448,423.20 ANNUAL RATE ADJUST: MONTHLY P&I : 3,255.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.85000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.85000 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- 0 0007666472 MORTGAGORS: ROCHE JOHN ROCHE GRACE REGION CODE ADDRESS : 4801 SURREY DRIVE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92625 MORTGAGE AMOUNT : 520,000.00 OPTION TO CONVERT : UNPAID BALANCE : 518,103.57 ANNUAL RATE ADJUST: MONTHLY P&I : 3,689.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.65000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.65000 PRODUCT CODE : 002 LTV : 56.52100 ---------------------------------------------------------------- 0 0007666506 MORTGAGORS: SAUNDERS JEFFREY REGION CODE ADDRESS : 627 11TH STREET 01 CITY : HERMOSA BEACH STATE/ZIP : CA 90254 MORTGAGE AMOUNT : 312,800.00 OPTION TO CONVERT : UNPAID BALANCE : 311,636.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,197.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.55000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.55000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,832,800.00 P & I AMT: 12,843.72 UPB AMT: 1,825,932.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 3 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007666779 MORTGAGORS: FRIEDMAN MARK FRIEDMAN GALE REGION CODE ADDRESS : 2001 PORT PROVINCE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 393,700.00 OPTION TO CONVERT : UNPAID BALANCE : 392,205.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,739.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.45000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.45000 PRODUCT CODE : 002 LTV : 74.99000 ---------------------------------------------------------------- 0 0007666787 MORTGAGORS: KENNA TIMOTHY KENNA KATHLEEN REGION CODE ADDRESS : 1519 RIENDO LANE LACANADA-FLINTRIDG 01 CITY : LOS ANGELES STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 448,292.28 ANNUAL RATE ADJUST: MONTHLY P&I : 3,131.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.45000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.45000 PRODUCT CODE : 002 LTV : 78.26000 ---------------------------------------------------------------- 0 0007666795 MORTGAGORS: SINCLAIR PETER SCHAUWECKER PAULA REGION CODE ADDRESS : 28419 CAYUSE LANE 01 CITY : RANCHO PALO VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 478,400.00 OPTION TO CONVERT : UNPAID BALANCE : 476,584.54 ANNUAL RATE ADJUST: MONTHLY P&I : 3,328.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.45000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.45000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007666803 MORTGAGORS: WITH-SEIDELIN ANNELISE REGION CODE ADDRESS : 5121 SUISUN VALLEY DRIVE 01 CITY : SUISUN CITY STATE/ZIP : CA 94585 MORTGAGE AMOUNT : 313,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,788.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,156.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.35000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.35000 PRODUCT CODE : 002 LTV : 74.52300 ---------------------------------------------------------------- 0 0007666829 MORTGAGORS: REEVES DOUGLAS REEVES CARLA REGION CODE ADDRESS : 1006 VIA LOS PADRES 01 CITY : SANTA BARBARA STATE/ZIP : CA 93111 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,511.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,810.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.55000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.55000 PRODUCT CODE : 002 LTV : 47.61900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,035,100.00 P & I AMT: 14,166.17 UPB AMT: 2,027,383.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 4 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007667926 MORTGAGORS: BEACHAM DAVID BEACHAM DARLENE REGION CODE ADDRESS : 3304 JARVIS AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95118 MORTGAGE AMOUNT : 216,000.00 OPTION TO CONVERT : UNPAID BALANCE : 215,032.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,517.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.55000 MATURITY DATE : 01/01/28 CURRENT INT RATE: 7.55000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007670656 MORTGAGORS: CORDES LINUS CORDES JANET REGION CODE ADDRESS : 245 TOURMALINE AVE 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 364,000.00 OPTION TO CONVERT : UNPAID BALANCE : 363,224.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,607.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007670664 MORTGAGORS: MARTIN BILLY MARTIN MEGAN REGION CODE ADDRESS : 1895 ZENATO PL 01 CITY : PLEASANTON STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 825,000.00 OPTION TO CONVERT : UNPAID BALANCE : 823,197.26 ANNUAL RATE ADJUST: MONTHLY P&I : 5,839.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 68.75000 ---------------------------------------------------------------- 0 0007670680 MORTGAGORS: HART JACK REGION CODE ADDRESS : 5886 ARLENE WAY 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 287,500.00 OPTION TO CONVERT : UNPAID BALANCE : 286,738.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,010.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.76700 ---------------------------------------------------------------- 0 0007670706 MORTGAGORS: WURTZEL HARVEY WURTZEL SUSAN REGION CODE ADDRESS : 3165 GALLOWAY DR 01 CITY : SAN DIEGO STATE/ZIP : CA 92122 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,391.35 ANNUAL RATE ADJUST: MONTHLY P&I : 1,830.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.81100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,957,500.00 P & I AMT: 13,805.30 UPB AMT: 1,952,584.42 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 5 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007670714 MORTGAGORS: FRANTZ WILLIAM FRANTZ HAZEL REGION CODE ADDRESS : 1694 PEMBROKE CT 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,286.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,399.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 44.66600 ---------------------------------------------------------------- 0 0007670722 MORTGAGORS: LOCKHEIMER ROBERT LOCKHEIMER KIMBERLY REGION CODE ADDRESS : 1355 SPARROW RD 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,309.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,153.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.00000 ---------------------------------------------------------------- 0 0007670748 MORTGAGORS: SABA LEOPOLDO SABA INGRID REGION CODE ADDRESS : 1751 CRESCENT KNOLLS GL 01 CITY : ESCONDIDO STATE/ZIP : CA 92029 MORTGAGE AMOUNT : 289,900.00 OPTION TO CONVERT : UNPAID BALANCE : 289,132.35 ANNUAL RATE ADJUST: MONTHLY P&I : 1,953.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 85.28900 ---------------------------------------------------------------- 0 0007670755 MORTGAGORS: CARROLL KEITH CARROLL ALEXANDRA REGION CODE ADDRESS : 3131 VIA CALIENTE DEL SOL 01 CITY : JAMUL STATE/ZIP : CA 91935 MORTGAGE AMOUNT : 234,000.00 OPTION TO CONVERT : UNPAID BALANCE : 233,421.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,556.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007670763 MORTGAGORS: PONTARELLI MARK PONTARELLI KIRSTEN REGION CODE ADDRESS : 1703 CRESCENT KNOLLS GL 01 CITY : ESCONDIDO STATE/ZIP : CA 92029 MORTGAGE AMOUNT : 269,900.00 OPTION TO CONVERT : UNPAID BALANCE : 268,858.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.99300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,436,800.00 P & I AMT: 9,859.17 UPB AMT: 1,433,008.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 6 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007670771 MORTGAGORS: FERREIRA MICHAEL FERREIRA KELLY REGION CODE ADDRESS : 2024 ACACIA DR 01 CITY : SAN MARCOS STATE/ZIP : CA 92069 MORTGAGE AMOUNT : 245,300.00 OPTION TO CONVERT : UNPAID BALANCE : 244,750.42 ANNUAL RATE ADJUST: MONTHLY P&I : 1,715.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.98500 ---------------------------------------------------------------- 0 0007671332 MORTGAGORS: ZIERING-KOFMAN AMY KOFMAN GIL REGION CODE ADDRESS : 11922 SALTAIR TER 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 625,000.00 OPTION TO CONVERT : UNPAID BALANCE : 623,564.49 ANNUAL RATE ADJUST: MONTHLY P&I : 4,316.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 55.55500 ---------------------------------------------------------------- 0 0007671357 MORTGAGORS: HEBER ROBERT REGION CODE ADDRESS : 22222 ANTHONY DR. 01 CITY : LAKE FOREST STATE/ZIP : CA 92630 MORTGAGE AMOUNT : 302,850.00 OPTION TO CONVERT : UNPAID BALANCE : 301,761.23 ANNUAL RATE ADJUST: MONTHLY P&I : 2,065.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007671365 MORTGAGORS: ENGEL ROBERT REGION CODE ADDRESS : 19950 JOHN DR 01 CITY : CASTRO VALLEY STATE/ZIP : CA 94546 MORTGAGE AMOUNT : 247,800.00 OPTION TO CONVERT : UNPAID BALANCE : 247,258.50 ANNUAL RATE ADJUST: MONTHLY P&I : 1,753.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.99500 ---------------------------------------------------------------- 0 0007675606 MORTGAGORS: WONG WAI WONG SUSAN REGION CODE ADDRESS : 2472-2474 CHESTNUT STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94123 MORTGAGE AMOUNT : 412,000.00 OPTION TO CONVERT : UNPAID BALANCE : 411,371.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,845.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 44.30100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,832,950.00 P & I AMT: 12,697.38 UPB AMT: 1,828,705.72 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 7 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007675614 MORTGAGORS: BANN PETER BANN EILEEN REGION CODE ADDRESS : 644 BARCELONA DRIVE 01 CITY : SONOMA STATE/ZIP : CA 95476 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,535.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,181.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007675622 MORTGAGORS: HUNTER MARK HUNTER YUDELIA REGION CODE ADDRESS : 109 MEADOWBROOK DRIVE 01 CITY : LOS GATOS STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 404,000.00 OPTION TO CONVERT : UNPAID BALANCE : 403,383.29 ANNUAL RATE ADJUST: MONTHLY P&I : 2,790.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007675648 MORTGAGORS: KIESSIG JOEL KIESSIG REBECCA REGION CODE ADDRESS : 4607 DICKENS DRIVE 01 CITY : GRANITE BAY STATE/ZIP : CA 95746 MORTGAGE AMOUNT : 317,900.00 OPTION TO CONVERT : UNPAID BALANCE : 317,426.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,222.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 74.80000 ---------------------------------------------------------------- 0 0007675655 MORTGAGORS: COYLE JOHN COYLE SUSAN REGION CODE ADDRESS : 1104 PINEWOOD DRIVE 01 CITY : CAMBRIA STATE/ZIP : CA 93428 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,566.47 ANNUAL RATE ADJUST: MONTHLY P&I : 1,961.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 71.89800 ---------------------------------------------------------------- 0 0007675663 MORTGAGORS: YAMIN KAMAL YAMIN SOUDABEH REGION CODE ADDRESS : 2748 ANGELO DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90077 MORTGAGE AMOUNT : 370,000.00 OPTION TO CONVERT : UNPAID BALANCE : 369,449.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,587.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 70.47600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,687,900.00 P & I AMT: 11,743.29 UPB AMT: 1,685,360.99 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 8 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007675671 MORTGAGORS: GROSSMAN PHILLIP GROSSMAN NESHE REGION CODE ADDRESS : 366 NORTH CITRUS AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90036 MORTGAGE AMOUNT : 366,000.00 OPTION TO CONVERT : UNPAID BALANCE : 365,427.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,496.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.20000 ---------------------------------------------------------------- 0 0007675689 MORTGAGORS: ELDER ROBERT ELDER ANNE REGION CODE ADDRESS : 2448 GLENDOWER AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90027 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 648,957.33 ANNUAL RATE ADJUST: MONTHLY P&I : 4,379.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 67.99100 ---------------------------------------------------------------- 0 0007675705 MORTGAGORS: CEDERCREUTZ MONS CEDERCREUTZ PAMELA REGION CODE ADDRESS : 110 MESA AVENUE 01 CITY : PIEDMONT STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 612,500.00 OPTION TO CONVERT : UNPAID BALANCE : 611,517.47 ANNUAL RATE ADJUST: MONTHLY P&I : 4,126.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0007675713 MORTGAGORS: SHUBERT JEFFREY SHUBERT TSUYAKO REGION CODE ADDRESS : 401 WOODLAND ROAD 01 CITY : KENTFIELD STATE/ZIP : CA 94904 MORTGAGE AMOUNT : 395,000.00 OPTION TO CONVERT : UNPAID BALANCE : 394,422.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,795.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 60.30500 ---------------------------------------------------------------- 0 0007675721 MORTGAGORS: VAISMAN IOSIF VAISMAN LUBA REGION CODE ADDRESS : 5915 RIDGEMOOR DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92120 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,553.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 68.18100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,323,500.00 P & I AMT: 15,895.90 UPB AMT: 2,319,877.53 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 9 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007675739 MORTGAGORS: MASCOVICH JOSEPH MASCOVICH SARA REGION CODE ADDRESS : 1657 WATERTROUGH ROAD 01 CITY : SEBASTOPOL STATE/ZIP : CA 95472 MORTGAGE AMOUNT : 297,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,579.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,127.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 64.56500 ---------------------------------------------------------------- 0 0007675747 MORTGAGORS: HABCHI TOUFIC WELLINGTON JO LOU REGION CODE ADDRESS : 602 SINGING VISTA COURT 01 CITY : EL CAJON AREA STATE/ZIP : CA 92019 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,534.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,443.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 54.79600 ---------------------------------------------------------------- 0 0007675754 MORTGAGORS: OXANDABOURE NORMA REGION CODE ADDRESS : 18990 VISTA DE MONTANAS 01 CITY : MURRIETA STATE/ZIP : CA 92562 MORTGAGE AMOUNT : 282,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,481.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,923.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 57.84600 ---------------------------------------------------------------- 0 0007675762 MORTGAGORS: SORNBORGER JON SORNBORGER SUZETTE REGION CODE ADDRESS : 1783 STONE CREEK DRIVE 01 CITY : PETALUMA STATE/ZIP : CA 94954 MORTGAGE AMOUNT : 239,850.00 OPTION TO CONVERT : UNPAID BALANCE : 239,474.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,636.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007675770 MORTGAGORS: PEREZ JOSE PEREZ IRAIDA REGION CODE ADDRESS : 6706 MONTFORD DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 649,007.76 ANNUAL RATE ADJUST: MONTHLY P&I : 4,489.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.76400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,805,850.00 P & I AMT: 12,620.55 UPB AMT: 1,803,078.44 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 10 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007675788 MORTGAGORS: LAI JOHN LAI JESSIE REGION CODE ADDRESS : 28391 SHERIDAN DRIVE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,571.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,013.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007675796 MORTGAGORS: HUNTER MARTIN CHANT HOLLEY REGION CODE ADDRESS : 2752 BELDEN DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,511.52 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007675804 MORTGAGORS: FIKSDAL CATO REGION CODE ADDRESS : 165 SOUTH ANITA AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,438.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,358.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 51.09400 ---------------------------------------------------------------- 0 0007675812 MORTGAGORS: SOBEL STEVEN SOBEL KAREN REGION CODE ADDRESS : 4036 PULIDO COURT 01 CITY : CALABASAS STATE/ZIP : CA 91302 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,517.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,265.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007675820 MORTGAGORS: MILLER LORENE REGION CODE ADDRESS : 3508 ORINDA DRIVE 01 CITY : SAN MATEO STATE/ZIP : CA 94403 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,615.32 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.22300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,534,000.00 P & I AMT: 10,587.87 UPB AMT: 1,531,654.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 11 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007675846 MORTGAGORS: VENTURA FRED VENTURA MARNE REGION CODE ADDRESS : 2780 SEVADA LANE 01 CITY : ARROYO GRANDE STATE/ZIP : CA 93420 MORTGAGE AMOUNT : 648,500.00 OPTION TO CONVERT : UNPAID BALANCE : 647,604.47 ANNUAL RATE ADJUST: MONTHLY P&I : 4,702.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 58.95400 ---------------------------------------------------------------- 0 0007675853 MORTGAGORS: PORTNOFF JEFFREY PORTNOFF MARIA REGION CODE ADDRESS : 59 BYRON DRIVE 01 CITY : PLEASANT HILL STATE/ZIP : CA 94523 MORTGAGE AMOUNT : 301,500.00 OPTION TO CONVERT : UNPAID BALANCE : 301,039.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,082.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007675879 MORTGAGORS: KLEMENT GREGORY KLEMENT VALERIE REGION CODE ADDRESS : 5320 GYMKHANA COURT 01 CITY : PLACERVILLE STATE/ZIP : CA 95667 MORTGAGE AMOUNT : 350,900.00 OPTION TO CONVERT : UNPAID BALANCE : 350,390.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,483.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.97400 ---------------------------------------------------------------- 0 0007675887 MORTGAGORS: FLEMING JOSEPH FLEMING THERESE REGION CODE ADDRESS : 11717 CAMINITO VANTANA 01 CITY : SAN DIEGO STATE/ZIP : CA 92131 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,569.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,177.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007675895 MORTGAGORS: ROSENBERG DAVID ROSENBERG DEBBIE REGION CODE ADDRESS : 541 FARNHAM PLACE 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,445.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,242.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 72.62900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,941,900.00 P & I AMT: 13,688.08 UPB AMT: 1,939,050.07 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 12 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007675903 MORTGAGORS: DUBNOFF MICHAEL REGION CODE ADDRESS : 1933 SPRINGRIDGE COURT 01 CITY : CONCORD STATE/ZIP : CA 94521 MORTGAGE AMOUNT : 313,000.00 OPTION TO CONVERT : UNPAID BALANCE : 312,545.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,215.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.28300 ---------------------------------------------------------------- 0 0007675911 MORTGAGORS: RYAN KEVIN RYAN ANNE REGION CODE ADDRESS : 1824 LAKE STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94121 MORTGAGE AMOUNT : 470,000.00 OPTION TO CONVERT : UNPAID BALANCE : 469,317.50 ANNUAL RATE ADJUST: MONTHLY P&I : 3,326.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 55.95238 ---------------------------------------------------------------- 0 0007675929 MORTGAGORS: ZAKHOUR-BACCIOCCO KARENA BACCIOCCO JEFFREY REGION CODE ADDRESS : 33 MONCADA WAY 01 CITY : SAN RAFAEL STATE/ZIP : CA 94901 MORTGAGE AMOUNT : 995,000.00 OPTION TO CONVERT : UNPAID BALANCE : 993,518.52 ANNUAL RATE ADJUST: MONTHLY P&I : 6,957.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 015 LTV : 67.22900 ---------------------------------------------------------------- 0 0007675945 MORTGAGORS: NG CHI FANG FANG REGION CODE ADDRESS : 1226 TOWNSEND PARK CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95131 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,536.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,436.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 73.68400 ---------------------------------------------------------------- 0 0007675952 MORTGAGORS: LADAO ALFREDO LADAO LORENZA REGION CODE ADDRESS : 4131 SNOWBANK COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95135 MORTGAGE AMOUNT : 258,750.00 OPTION TO CONVERT : UNPAID BALANCE : 258,046.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,876.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,372,750.00 P & I AMT: 16,811.55 UPB AMT: 2,368,964.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 13 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007675960 MORTGAGORS: ARANA JORGE ARANA MAYELA REGION CODE ADDRESS : 32249 DEVONSHIRE STREET 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,658.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,790.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0007675978 MORTGAGORS: BAIR EVA CAVANNA PETER REGION CODE ADDRESS : 2501 EAST OCEAN BOULEVARD 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 475,000.00 OPTION TO CONVERT : UNPAID BALANCE : 474,274.90 ANNUAL RATE ADJUST: MONTHLY P&I : 3,280.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 61.29000 ---------------------------------------------------------------- 0 0007675994 MORTGAGORS: PRESTON JOHN PRESTON VIRGINIA REGION CODE ADDRESS : 1101 WEST DONINGTON STREET 01 CITY : GLENDORA STATE/ZIP : CA 91741 MORTGAGE AMOUNT : 278,000.00 OPTION TO CONVERT : UNPAID BALANCE : 277,414.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,920.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.42800 ---------------------------------------------------------------- 0 0007676000 MORTGAGORS: CHUN YOUNG CHUN SOO REGION CODE ADDRESS : 3005 ANNITA DRIVE 01 CITY : GLENDALE STATE/ZIP : CA 91206 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,595.48 ANNUAL RATE ADJUST: MONTHLY P&I : 1,830.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 67.94800 ---------------------------------------------------------------- 0 0007676018 MORTGAGORS: SHETH AKSHAYA SHETH ARCHANA REGION CODE ADDRESS : 17125 MARIPOSA AVENUE 01 CITY : RIVERSIDE STATE/ZIP : CA 92504 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,499.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,182.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,585,000.00 P & I AMT: 11,004.96 UPB AMT: 1,582,443.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 14 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007676026 MORTGAGORS: POPOVICH MICHAEL POPOVICH SONYA REGION CODE ADDRESS : 4811 ABBEYVILLE AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 91365 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,610.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,896.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007676034 MORTGAGORS: POLLARD MARK POLLARD LAURIE REGION CODE ADDRESS : 32 PANORAMA 01 CITY : COTO DE CAZA AREA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 499,063.02 ANNUAL RATE ADJUST: MONTHLY P&I : 3,453.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 73.39600 ---------------------------------------------------------------- 0 0007676042 MORTGAGORS: MULLIGAN JEFFERY MULLIGAN DEBORAH REGION CODE ADDRESS : 681 BAYVIEW PLACE 01 CITY : LAGUNA BEACH STATE/ZIP : CA 92651 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,569.66 ANNUAL RATE ADJUST: MONTHLY P&I : 1,875.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 50.92500 ---------------------------------------------------------------- 0 0007676059 MORTGAGORS: LEE LEON LEE JENNY REGION CODE ADDRESS : 3165 BARRY AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,529.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,127.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.12100 ---------------------------------------------------------------- 0 0007676067 MORTGAGORS: DEMMERT JAMES REGION CODE ADDRESS : 15 HARBOR OAK #22 01 CITY : TIBURON STATE/ZIP : CA 94920 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,546.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,292.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,671,000.00 P & I AMT: 11,646.05 UPB AMT: 1,668,320.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 15 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007676083 MORTGAGORS: APPEL HOWARD COLLINS LOREEN REGION CODE ADDRESS : 1561 WEST VIA RANCHO PARKWAY 01 CITY : ESCONDIDO STATE/ZIP : CA 92029 MORTGAGE AMOUNT : 432,000.00 OPTION TO CONVERT : UNPAID BALANCE : 431,340.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,983.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007676091 MORTGAGORS: DRING KARL DRING MARY REGION CODE ADDRESS : 4335 ORCHARD AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92107 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,549.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,194.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.94100 ---------------------------------------------------------------- 0 0007676109 MORTGAGORS: IRELAND JOHN REGION CODE ADDRESS : 6820 LUCIERNAGA COURT 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 235,200.00 OPTION TO CONVERT : UNPAID BALANCE : 234,840.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,624.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.57100 ---------------------------------------------------------------- 0 0007676117 MORTGAGORS: RIVIERE GEORGE RIVIERE SUSAN REGION CODE ADDRESS : 38980 WATERVIEW DRIVE 01 CITY : BIG BEAR LAKE STATE/ZIP : CA 92315 MORTGAGE AMOUNT : 464,000.00 OPTION TO CONVERT : UNPAID BALANCE : 463,291.71 ANNUAL RATE ADJUST: MONTHLY P&I : 3,204.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007676125 MORTGAGORS: KYLSTRA HARKE CARPENTER BARBARA REGION CODE ADDRESS : 333 SOUTH COAST BOULEVARD UNIT #15 01 CITY : SAN DIEGO STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 431,250.00 OPTION TO CONVERT : UNPAID BALANCE : 430,654.49 ANNUAL RATE ADJUST: MONTHLY P&I : 3,126.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,872,450.00 P & I AMT: 13,133.94 UPB AMT: 1,869,677.54 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 16 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0030901169 MORTGAGORS: DICKSON ROBERT DICKSON JANET REGION CODE ADDRESS : 28058 NORTH LIANA LANE 01 CITY : VALENCIA STATE/ZIP : CA 91355 MORTGAGE AMOUNT : 227,900.00 OPTION TO CONVERT : UNPAID BALANCE : 225,877.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,652.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/27 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0030924559 MORTGAGORS: BROWN SCOTT BROWN DEBBIE REGION CODE ADDRESS : 10487 SALINAS RIVER CIRCLE 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 236,800.00 OPTION TO CONVERT : UNPAID BALANCE : 234,853.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,676.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 08/01/27 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031016819 MORTGAGORS: PARKS JAY HOGAN PARKS JUDITH REGION CODE ADDRESS : 1518 47TH AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94122 MORTGAGE AMOUNT : 345,321.20 OPTION TO CONVERT : UNPAID BALANCE : 344,890.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,624.69 OUTSIDE CONV DATE : LIFETIME RATE : 8.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.37500 PRODUCT CODE : 002 LTV : 84.01900 ---------------------------------------------------------------- 0 0031075625 MORTGAGORS: BARR SCOTT BARR DENISE REGION CODE ADDRESS : 22616 CALIFA STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 105,000.00 OPTION TO CONVERT : UNPAID BALANCE : 104,298.42 ANNUAL RATE ADJUST: MONTHLY P&I : 743.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 10/01/27 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 48.83721 ---------------------------------------------------------------- 0 0031124316 MORTGAGORS: JEFFREY PHILIP JEFFREY MARISELA REGION CODE ADDRESS : 1832 SANTA RENA DR 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 228,000.00 OPTION TO CONVERT : UNPAID BALANCE : 226,476.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,613.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 10/01/27 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,143,021.20 P & I AMT: 8,310.14 UPB AMT: 1,136,396.64 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 17 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031126576 MORTGAGORS: HOLDEFER BARRY REGION CODE ADDRESS : 3407 227TH PLACE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 230,000.00 OPTION TO CONVERT : UNPAID BALANCE : 228,378.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,627.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.19300 ---------------------------------------------------------------- 0 0031131584 MORTGAGORS: MITCHELL JOHN MITCHELL VEENA REGION CODE ADDRESS : 1893 FALCON RIDGE DRIVE 01 CITY : PETALUMA STATE/ZIP : CA 94954 MORTGAGE AMOUNT : 271,900.00 OPTION TO CONVERT : UNPAID BALANCE : 271,676.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,808.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.98200 ---------------------------------------------------------------- 0 0031142557 MORTGAGORS: LARSEN HAROLD LARSON JEANETTE REGION CODE ADDRESS : 778, 780 & 780-3 NORTH HOLLISTON AV 01 CITY : PASADENA STATE/ZIP : CA 91104 MORTGAGE AMOUNT : 216,000.00 OPTION TO CONVERT : UNPAID BALANCE : 214,656.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,491.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031209158 MORTGAGORS: SHUTE APARNA SHUTE SCOTT REGION CODE ADDRESS : 4499 LAHAINA WAY 01 CITY : SAN JOSE STATE/ZIP : CA 95118 MORTGAGE AMOUNT : 267,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,100.53 ANNUAL RATE ADJUST: MONTHLY P&I : 1,798.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 76.28500 ---------------------------------------------------------------- 0 0031308273 MORTGAGORS: FRIEDRICH MATTHEW TOURTLOTTE CHRISTINA REGION CODE ADDRESS : 7213 ADAMS GRAVEL PLANT ROAD 01 CITY : OAKDALE STATE/ZIP : CA 95361 MORTGAGE AMOUNT : 412,500.00 OPTION TO CONVERT : UNPAID BALANCE : 409,182.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,813.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,397,400.00 P & I AMT: 9,541.56 UPB AMT: 1,388,995.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 18 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031328958 MORTGAGORS: HELDMAN MICHAEL HELDMAN TANYA REGION CODE ADDRESS : 3270 WOODBINE STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 660,000.00 OPTION TO CONVERT : UNPAID BALANCE : 659,065.35 ANNUAL RATE ADJUST: MONTHLY P&I : 4,728.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 015 LTV : 79.51800 ---------------------------------------------------------------- 0 0031344112 MORTGAGORS: KLINESTIVER JOHN KLINESTIVER BEVERLY REGION CODE ADDRESS : 400 MIRAMONTE AVENUE 01 CITY : PALO ALTO STATE/ZIP : CA 94306 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 648,543.77 ANNUAL RATE ADJUST: MONTHLY P&I : 4,544.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 61.90400 ---------------------------------------------------------------- 0 0031355050 MORTGAGORS: BRANT RAYMOND BRANT ANN REGION CODE ADDRESS : 41 PALMA VISTA 01 CITY : DIABLO STATE/ZIP : CA 94528 MORTGAGE AMOUNT : 415,000.00 OPTION TO CONVERT : UNPAID BALANCE : 414,412.31 ANNUAL RATE ADJUST: MONTHLY P&I : 2,973.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 72.17300 ---------------------------------------------------------------- 0 0031372972 MORTGAGORS: PERRY ROBERT PERRY JULIE REGION CODE ADDRESS : 48 AMIGO LANE 01 CITY : WALNUT CREEK STATE/ZIP : CA 94596 MORTGAGE AMOUNT : 279,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,374.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,950.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031376908 MORTGAGORS: MARTINEZ ARTHUR DI RUSCIO DENISE REGION CODE ADDRESS : 2893 MORGAN DRIVE 01 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 318,400.00 OPTION TO CONVERT : UNPAID BALANCE : 317,650.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,172.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,322,400.00 P & I AMT: 16,369.18 UPB AMT: 2,318,046.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 19 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031377658 MORTGAGORS: KAN TOM KAN KAREN REGION CODE ADDRESS : 6900 SANDTRACK ROAD 01 CITY : RIVERSIDE STATE/ZIP : CA 92506 MORTGAGE AMOUNT : 355,000.00 OPTION TO CONVERT : UNPAID BALANCE : 354,277.03 ANNUAL RATE ADJUST: MONTHLY P&I : 2,543.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.73600 ---------------------------------------------------------------- 0 0031383235 MORTGAGORS: MCCALLA PATRICK MCCALLA ALICIA REGION CODE ADDRESS : 2107 WINDWARD LANE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92662 MORTGAGE AMOUNT : 435,000.00 OPTION TO CONVERT : UNPAID BALANCE : 434,335.96 ANNUAL RATE ADJUST: MONTHLY P&I : 3,004.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031413297 MORTGAGORS: DICK CRAIG DICK ROCHELLE REGION CODE ADDRESS : 18124 ABBEY ROAD 01 CITY : TARZANA STATE/ZIP : CA 91335 MORTGAGE AMOUNT : 185,000.00 OPTION TO CONVERT : UNPAID BALANCE : 184,859.23 ANNUAL RATE ADJUST: MONTHLY P&I : 1,277.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 61.66600 ---------------------------------------------------------------- 0 0031413560 MORTGAGORS: PHAM SON PHAM HAHN REGION CODE ADDRESS : 1 GALLERY PLACE 01 CITY : NEWPORT COAST STATE/ZIP : CA 92657 MORTGAGE AMOUNT : 1,100,000.00 OPTION TO CONVERT : UNPAID BALANCE : 1,098,320.83 ANNUAL RATE ADJUST: MONTHLY P&I : 7,597.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 015 LTV : 42.30700 ---------------------------------------------------------------- 0 0031416332 MORTGAGORS: PORDUM KAREN REGION CODE ADDRESS : 6 FLEET STREET #203 01 CITY : MARINA DEL REY STATE/ZIP : CA 90292 MORTGAGE AMOUNT : 364,000.00 OPTION TO CONVERT : UNPAID BALANCE : 363,163.95 ANNUAL RATE ADJUST: MONTHLY P&I : 2,514.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,439,000.00 P & I AMT: 16,936.95 UPB AMT: 2,434,957.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 20 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031416936 MORTGAGORS: SCHWARTZ JOHN SCHWARTZ MARILYN REGION CODE ADDRESS : 5285 APENNINES CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95138 MORTGAGE AMOUNT : 490,500.00 OPTION TO CONVERT : UNPAID BALANCE : 489,428.18 ANNUAL RATE ADJUST: MONTHLY P&I : 3,471.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031418239 MORTGAGORS: ANDERSON ANDREW ANDERSON NICOLE REGION CODE ADDRESS : 5 CHEYENNE 01 CITY : FOOTHILL RANCH AREA STATE/ZIP : CA 92610 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,226.46 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031422165 MORTGAGORS: GIRARD MICHAEL GIRARD YOLANDA REGION CODE ADDRESS : 26334 THUNDERBIRD DRIVE 01 CITY : LAKE ARROWHEAD STATE/ZIP : CA 92352 MORTGAGE AMOUNT : 254,200.00 OPTION TO CONVERT : UNPAID BALANCE : 254,016.01 ANNUAL RATE ADJUST: MONTHLY P&I : 1,799.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 63.55000 ---------------------------------------------------------------- 0 0031427966 MORTGAGORS: ZIVIC WILLIAM REGION CODE ADDRESS : 2001 WESTOVER DRIVE 01 CITY : PLEASANT HILL STATE/ZIP : CA 94523 MORTGAGE AMOUNT : 238,500.00 OPTION TO CONVERT : UNPAID BALANCE : 238,313.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,627.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031432743 MORTGAGORS: SHARAFI SIMIN REGION CODE ADDRESS : 1422 SOUTH BENTLEY AVENUE #202 01 CITY : LOS ANGELES STATE/ZIP : CA 90025 MORTGAGE AMOUNT : 135,000.00 OPTION TO CONVERT : UNPAID BALANCE : 134,705.02 ANNUAL RATE ADJUST: MONTHLY P&I : 955.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 65.85300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,442,200.00 P & I AMT: 10,063.73 UPB AMT: 1,439,689.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 21 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031443740 MORTGAGORS: WHARTON JENNIFER REGION CODE ADDRESS : 4253 SHADYLADE AVENUE 01 CITY : STUDIO CITY STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,064.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,264.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031446347 MORTGAGORS: DINNING KIM LOYST DENNIS REGION CODE ADDRESS : 5019 DEL MONACO DRIVE 01 CITY : SANTA BARBARA STATE/ZIP : CA 93111 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,812.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,762.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031451206 MORTGAGORS: OLSEN EDWARD OLSEN CHERYL REGION CODE ADDRESS : 11812 MARIPOSA BAY LANE 01 CITY : NORTHRIDGE STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,433.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,207.28 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 74.55400 ---------------------------------------------------------------- 0 0031461247 MORTGAGORS: HUI TONY HUI SUSAN REGION CODE ADDRESS : 1940 PEWTER COURT 01 CITY : HACIENA HEIGHTS STATE/ZIP : CA 91745 MORTGAGE AMOUNT : 168,000.00 OPTION TO CONVERT : UNPAID BALANCE : 167,723.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,117.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031461551 MORTGAGORS: ELLIS EUGENE JOHANNI JAY REGION CODE ADDRESS : 1385 HOLLOWAY AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94132 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,517.63 ANNUAL RATE ADJUST: MONTHLY P&I : 2,182.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,392,000.00 P & I AMT: 9,534.48 UPB AMT: 1,389,552.91 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 22 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031461999 MORTGAGORS: LESTI MARK LESTI CHRISTINE REGION CODE ADDRESS : 409 ST ANDREWS DRIVE 01 CITY : NAPA STATE/ZIP : CA 94558 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,436.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,455.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.26000 ---------------------------------------------------------------- 0 0031462880 MORTGAGORS: LEININGER HAROLD LEININGER BARBARA REGION CODE ADDRESS : 4869 RIDGEVIEW DRIVE 01 CITY : ANTIOCH STATE/ZIP : CA 94509 MORTGAGE AMOUNT : 213,750.00 OPTION TO CONVERT : UNPAID BALANCE : 213,462.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,568.42 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031464092 MORTGAGORS: MARCINKUS JAMES REGION CODE ADDRESS : 7917 BERGER AVE 01 CITY : PLAYA DEL REY STATE/ZIP : CA 90293 MORTGAGE AMOUNT : 662,500.00 OPTION TO CONVERT : UNPAID BALANCE : 661,956.95 ANNUAL RATE ADJUST: MONTHLY P&I : 4,407.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 015 LTV : 68.83100 ---------------------------------------------------------------- 0 0031469489 MORTGAGORS: ALANO TERESITA ALANO TOMAS REGION CODE ADDRESS : 120 HIGATE 01 CITY : DALY CITY STATE/ZIP : CA 94015 MORTGAGE AMOUNT : 273,600.00 OPTION TO CONVERT : UNPAID BALANCE : 272,964.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,936.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031470438 MORTGAGORS: MITTLEMAN JO ANNE SUBRAMANIAN KUMAR REGION CODE ADDRESS : 6833 CORTE MUNRAS 01 CITY : PLEASANTON, STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 390,000.00 OPTION TO CONVERT : UNPAID BALANCE : 389,419.31 ANNUAL RATE ADJUST: MONTHLY P&I : 2,726.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,899,850.00 P & I AMT: 13,095.34 UPB AMT: 1,897,239.74 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 23 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031473689 MORTGAGORS: HAEGGLUND CHRIS HAEGGLUND KELLY REGION CODE ADDRESS : 66 SYCAMORE AVENUE 01 CITY : MILL VALLEY STATE/ZIP : CA 94941 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,465.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,417.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031474943 MORTGAGORS: WRIGHT THOMAS WRIGHT CAROLYNN REGION CODE ADDRESS : 6420 WEST 85TH PLACE 01 CITY : LOS ANGELES STATE/ZIP : CA 90043 MORTGAGE AMOUNT : 268,200.00 OPTION TO CONVERT : UNPAID BALANCE : 267,599.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,875.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031479280 MORTGAGORS: PILKINGTON KENNETH DUNCAN PAULA REGION CODE ADDRESS : 9525 BONNIE LYNN WAY 01 CITY : LA MESA STATE/ZIP : CA 91941 MORTGAGE AMOUNT : 282,150.00 OPTION TO CONVERT : UNPAID BALANCE : 281,517.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,972.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031480569 MORTGAGORS: TUCHOLSKI THEODORE CANINO DEBORAH REGION CODE ADDRESS : 1482 HOLLY COURT 01 CITY : GILROY STATE/ZIP : CA 95020 MORTGAGE AMOUNT : 204,000.00 OPTION TO CONVERT : UNPAID BALANCE : 203,526.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,408.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031480593 MORTGAGORS: FORTUNA FERNANDO CORTEZ LILIBETH REGION CODE ADDRESS : 2262 REGATTA COURT 01 CITY : SAN LEANDRO STATE/ZIP : CA 94579 MORTGAGE AMOUNT : 266,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,792.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,814.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,370,350.00 P & I AMT: 9,489.06 UPB AMT: 1,367,902.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 24 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031481229 MORTGAGORS: TANDOG OSCAR TANDOG MERLINDA REGION CODE ADDRESS : 3505 DIVISION STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90065 MORTGAGE AMOUNT : 165,000.00 OPTION TO CONVERT : UNPAID BALANCE : 164,883.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,182.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 84.61500 ---------------------------------------------------------------- 0 0031484793 MORTGAGORS: RAPAICH ELI RAPAICH EVELYN REGION CODE ADDRESS : 10866 CORONEL ROAD 01 CITY : SANTA ANA STATE/ZIP : CA 92705 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 439,328.32 ANNUAL RATE ADJUST: MONTHLY P&I : 3,038.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.84100 ---------------------------------------------------------------- 0 0031489032 MORTGAGORS: CROWE WILLIAM CROWE PATRICIA REGION CODE ADDRESS : 1094 KARINA WAY 01 CITY : ARROYO GRANDE STATE/ZIP : CA 93420 MORTGAGE AMOUNT : 393,000.00 OPTION TO CONVERT : UNPAID BALANCE : 392,414.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,747.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 61.40600 ---------------------------------------------------------------- 0 0031492127 MORTGAGORS: GOLDEN MARIA REGION CODE ADDRESS : 6609 EAST SMOKE TREE AVENUE 01 CITY : AGOURA STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 60,000.00 OPTION TO CONVERT : UNPAID BALANCE : 59,908.40 ANNUAL RATE ADJUST: MONTHLY P&I : 414.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 23.07600 ---------------------------------------------------------------- 0 0031495575 MORTGAGORS: VAN DER COLFF RASMUS VAN DER COLFF ANITA REGION CODE ADDRESS : 23709 WINGATE COURT 01 CITY : SANTA CLARITA STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,794.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,800.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,322,000.00 P & I AMT: 9,184.34 UPB AMT: 1,320,329.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 25 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031496235 MORTGAGORS: WALTOS ROBERT WALTOS CAROL REGION CODE ADDRESS : 1660 FRAMBUESA DRIVE 01 CITY : SAN LUIS OBISPO STATE/ZIP : CA 93405 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,771.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,153.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031500044 MORTGAGORS: HANLON NELLIE REGION CODE ADDRESS : 16916 SAINT ANDREWS DRIVE 01 CITY : POWAY STATE/ZIP : CA 92064 MORTGAGE AMOUNT : 268,800.00 OPTION TO CONVERT : UNPAID BALANCE : 268,026.18 ANNUAL RATE ADJUST: MONTHLY P&I : 1,948.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031500358 MORTGAGORS: HEALEY GERALD HEALEY JUDITH REGION CODE ADDRESS : 4802 BURGOYNE LANE 01 CITY : LA CANADA-FLINTRIDGE STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,633.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 67.60500 ---------------------------------------------------------------- 0 0031503014 MORTGAGORS: STEINBERG DAVID STEINBERG STACY REGION CODE ADDRESS : 3427 WHITE ROSE WAY 01 CITY : LOS ANGELES ENCINO AREA STATE/ZIP : CA 91436 MORTGAGE AMOUNT : 520,000.00 OPTION TO CONVERT : UNPAID BALANCE : 519,584.16 ANNUAL RATE ADJUST: MONTHLY P&I : 3,503.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031504723 MORTGAGORS: ETTER BRADLEY ETTER DWIGHT REGION CODE ADDRESS : 8518 EAST DEERSHIRE COURT 01 CITY : ORANGE STATE/ZIP : CA 92869 MORTGAGE AMOUNT : 200,156.00 OPTION TO CONVERT : UNPAID BALANCE : 199,556.23 ANNUAL RATE ADJUST: MONTHLY P&I : 1,399.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,536,956.00 P & I AMT: 10,663.06 UPB AMT: 1,534,571.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 26 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031505597 MORTGAGORS: BROWNFIELD GEORGE REGION CODE ADDRESS : 9883 CARMELITA AVENUE 01 CITY : BEVERLY HILLS STATE/ZIP : CA 90210 MORTGAGE AMOUNT : 342,000.00 OPTION TO CONVERT : UNPAID BALANCE : 341,271.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,450.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 22.80000 ---------------------------------------------------------------- 0 0031513153 MORTGAGORS: WYCKOFF WINSTON WYCKOFF JULIA REGION CODE ADDRESS : 1362 GENEA AVENUE 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 391,723.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,808.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031515398 MORTGAGORS: RANDELL JAMES RANDELL KARIN REGION CODE ADDRESS : 9053 LARAMIE DRIVE 01 CITY : RANCHO CUCAMONGA STATE/ZIP : CA 91737 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 498,275.57 ANNUAL RATE ADJUST: MONTHLY P&I : 3,453.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031515844 MORTGAGORS: WARNER SAMUEL DONSBACH JAN REGION CODE ADDRESS : 1521 RAMILLO AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90815 MORTGAGE AMOUNT : 423,200.00 OPTION TO CONVERT : UNPAID BALANCE : 422,569.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,959.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.84900 ---------------------------------------------------------------- 0 0031516586 MORTGAGORS: BISHOP DONALD REGION CODE ADDRESS : 3661 DESANIE CIRCLE 01 CITY : BAY POINT STATE/ZIP : CA 94565 MORTGAGE AMOUNT : 107,825.00 OPTION TO CONVERT : UNPAID BALANCE : 107,668.42 ANNUAL RATE ADJUST: MONTHLY P&I : 763.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,765,025.00 P & I AMT: 12,434.11 UPB AMT: 1,761,508.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 27 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031516818 MORTGAGORS: BASH JO ANNE REGION CODE ADDRESS : 295 LETTON STREET 01 CITY : RAMONA STATE/ZIP : CA 92065 MORTGAGE AMOUNT : 158,000.00 OPTION TO CONVERT : UNPAID BALANCE : 157,885.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,118.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.00000 ---------------------------------------------------------------- 0 0031517113 MORTGAGORS: ANDERSEN JAMES ANDERSEN KIMBERLY REGION CODE ADDRESS : 1510 BRENTFORD AVENUE 01 CITY : WESTLAKE VILLAGE STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,768.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,264.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031517717 MORTGAGORS: SIMONEAU L REGION CODE ADDRESS : 843 LAKESHORE DRIVE 01 CITY : REDWOOD CITY STATE/ZIP : CA 94065 MORTGAGE AMOUNT : 324,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,480.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,182.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031517808 MORTGAGORS: CAMPBELL ROBERT CAMPBELL MARIE REGION CODE ADDRESS : 80 19TH STREET 01 CITY : HERMOSA BEACH STATE/ZIP : CA 90254 MORTGAGE AMOUNT : 354,500.00 OPTION TO CONVERT : UNPAID BALANCE : 353,665.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,418.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 57.17700 ---------------------------------------------------------------- 0 0031518178 MORTGAGORS: TRAN TRUNG TRAN LOAN REGION CODE ADDRESS : 220 WINDSOR DR 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,726.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,486.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,516,500.00 P & I AMT: 10,470.86 UPB AMT: 1,514,525.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 28 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031519382 MORTGAGORS: DIMATTEO JAMES DIMATTEO KATHY REGION CODE ADDRESS : 100 HARBOR DRIVE #1904 01 CITY : SAN DIEGO STATE/ZIP : CA 92101 MORTGAGE AMOUNT : 436,000.00 OPTION TO CONVERT : UNPAID BALANCE : 435,684.43 ANNUAL RATE ADJUST: MONTHLY P&I : 3,085.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031519622 MORTGAGORS: SIU SIMON LUK KATHY REGION CODE ADDRESS : 1139 YALE STREET #3 01 CITY : SANTA MONICA STATE/ZIP : CA 90403 MORTGAGE AMOUNT : 287,200.00 OPTION TO CONVERT : UNPAID BALANCE : 286,981.46 ANNUAL RATE ADJUST: MONTHLY P&I : 1,983.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.77700 ---------------------------------------------------------------- 0 0031519713 MORTGAGORS: HIRATA DEREK HIRATA STACY REGION CODE ADDRESS : 276 LEUCADIA ROAD 01 CITY : LA HABRA HEIGHTS STATE/ZIP : CA 90631 MORTGAGE AMOUNT : 264,750.00 OPTION TO CONVERT : UNPAID BALANCE : 264,548.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.74500 ---------------------------------------------------------------- 0 0031520596 MORTGAGORS: REID ROGER REID ROBERTA REGION CODE ADDRESS : 1115 CEDAR STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90405 MORTGAGE AMOUNT : 319,000.00 OPTION TO CONVERT : UNPAID BALANCE : 318,462.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,095.60 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 45.57100 ---------------------------------------------------------------- 0 0031520653 MORTGAGORS: KARIN MICHAEL KARIN LINDA REGION CODE ADDRESS : 7710 EAST ROSELAND DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 525,000.00 OPTION TO CONVERT : UNPAID BALANCE : 524,218.30 ANNUAL RATE ADJUST: MONTHLY P&I : 3,670.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 67.74193 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,831,950.00 P & I AMT: 12,664.65 UPB AMT: 1,829,895.22 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 29 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031522022 MORTGAGORS: TAUSHECK DAVID TAUSHECK PATTY REGION CODE ADDRESS : 2569 VALERIE COURT 01 CITY : SANTA CRUZ STATE/ZIP : CA 95062 MORTGAGE AMOUNT : 183,700.00 OPTION TO CONVERT : UNPAID BALANCE : 183,446.33 ANNUAL RATE ADJUST: MONTHLY P&I : 1,331.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 79.98258 ---------------------------------------------------------------- 0 0031522386 MORTGAGORS: HOFFMAN BRYON REGION CODE ADDRESS : 6 RUE VILLARS 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 649,007.76 ANNUAL RATE ADJUST: MONTHLY P&I : 4,489.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 65.00000 ---------------------------------------------------------------- 0 0031523103 MORTGAGORS: DUBOIS RICHARD DUBOIS MARGARET REGION CODE ADDRESS : 111 HARBOR SEAL COURT 01 CITY : SAN MATEO STATE/ZIP : CA 94404 MORTGAGE AMOUNT : 283,200.00 OPTION TO CONVERT : UNPAID BALANCE : 282,767.70 ANNUAL RATE ADJUST: MONTHLY P&I : 1,955.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031523947 MORTGAGORS: DE RUYTER KIMLEE DE RUYTER VICTOR REGION CODE ADDRESS : 4563 POINT LOMA AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92107 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 257,615.84 ANNUAL RATE ADJUST: MONTHLY P&I : 1,803.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.13700 ---------------------------------------------------------------- 0 0031524374 MORTGAGORS: MULLOY CHRIS REGION CODE ADDRESS : 216 AVENIDA LA CUESTA 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 472,000.00 OPTION TO CONVERT : UNPAID BALANCE : 471,297.23 ANNUAL RATE ADJUST: MONTHLY P&I : 3,300.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 54.56600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,846,900.00 P & I AMT: 12,881.60 UPB AMT: 1,844,134.86 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 30 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031524747 MORTGAGORS: DA PRA DARIO DA PRA LINDA REGION CODE ADDRESS : 1704 MONSERATE WAY 01 CITY : FALLBROOK STATE/ZIP : CA 92028 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,741.70 ANNUAL RATE ADJUST: MONTHLY P&I : 1,945.80 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 67.41500 ---------------------------------------------------------------- 0 0031525108 MORTGAGORS: RAUB GORDON RAUB PAULA REGION CODE ADDRESS : 2400 IRWIN AVENUE 01 CITY : SUTTER STATE/ZIP : CA 95982 MORTGAGE AMOUNT : 464,000.00 OPTION TO CONVERT : UNPAID BALANCE : 463,570.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,894.76 OUTSIDE CONV DATE : LIFETIME RATE : 6.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.37500 PRODUCT CODE : 002 LTV : 77.33300 ---------------------------------------------------------------- 0 0031525140 MORTGAGORS: PALHIDAI SCOTT PALHIDAI TERRY REGION CODE ADDRESS : 25 BELCANTO 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,827.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,755.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.80400 ---------------------------------------------------------------- 0 0031525165 MORTGAGORS: MIYAMURA WALLACE MIYAMURA STELLA REGION CODE ADDRESS : 255O DATE CIRCLE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,790.15 ANNUAL RATE ADJUST: MONTHLY P&I : 1,835.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.70200 ---------------------------------------------------------------- 0 0031525330 MORTGAGORS: HARRELL CLAY HARRELL JENNIFER REGION CODE ADDRESS : 1865 CALIFORNIA STREET #4 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94109 MORTGAGE AMOUNT : 394,000.00 OPTION TO CONVERT : UNPAID BALANCE : 393,413.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,754.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.80500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,672,000.00 P & I AMT: 11,185.75 UPB AMT: 1,670,342.51 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 31 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031525561 MORTGAGORS: ROMERO ANTHONY ROMERO CLARA REGION CODE ADDRESS : 1412 PACIFIC STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90405 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,784.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 55.20000 ---------------------------------------------------------------- 0 0031525843 MORTGAGORS: PUENTE FROILAN SANABRIA LOURDES REGION CODE ADDRESS : 11257 PORT ROAD 01 CITY : CULVER CITY STATE/ZIP : CA 90230 MORTGAGE AMOUNT : 241,200.00 OPTION TO CONVERT : UNPAID BALANCE : 241,007.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,625.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 71.57200 ---------------------------------------------------------------- 0 0031526080 MORTGAGORS: GREANEY GLENN GREANEY AMY REGION CODE ADDRESS : 3459 VIRGIL CIRCLE 01 CITY : PLEASANTON STATE/ZIP : CA 94588 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,572.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031527039 MORTGAGORS: OSBORNE JOHN OSBORNE VELMA REGION CODE ADDRESS : 10717 INSPIRATION CIRCLE 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 355,900.00 OPTION TO CONVERT : UNPAID BALANCE : 355,635.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,488.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99500 ---------------------------------------------------------------- 0 0031529027 MORTGAGORS: BRADSHAW WAYNE-KENT REGAS MARY REGION CODE ADDRESS : 4420 HUERTA COURT 01 CITY : ENCINO STATE/ZIP : CA 91436 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 459,641.16 ANNUAL RATE ADJUST: MONTHLY P&I : 3,138.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 62.16200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,613,100.00 P & I AMT: 11,068.22 UPB AMT: 1,611,641.42 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 32 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031531197 MORTGAGORS: SHEN CHIEN-CHEN SHEN LING-YI REGION CODE ADDRESS : 1421 SOUTH 2ND AVENUE 01 CITY : ARCADIA STATE/ZIP : CA 91006 MORTGAGE AMOUNT : 381,500.00 OPTION TO CONVERT : UNPAID BALANCE : 381,194.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,570.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.07700 ---------------------------------------------------------------- 0 0031531312 MORTGAGORS: ARIZ FARSHID REGION CODE ADDRESS : 10252 MOSSY ROCK CIRCLE 01 CITY : LOS ANGELES STATE/ZIP : CA 90077 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,530.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,202.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031532005 MORTGAGORS: LAUTER SAMUEL LAUTER STEPHANIE REGION CODE ADDRESS : 245 8TH AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94118 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,436.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,455.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031532872 MORTGAGORS: ROSIAK JASON ROSIAK JAMIE REGION CODE ADDRESS : 29432 POINTE ROYALE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 283,200.00 OPTION TO CONVERT : UNPAID BALANCE : 282,989.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,980.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031533078 MORTGAGORS: CHANG CHRISTOPER SIAUW SUSAN REGION CODE ADDRESS : 11202 BAY LARUEL STREET 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,741.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 65.66000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,687,700.00 P & I AMT: 11,642.05 UPB AMT: 1,685,894.09 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 33 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031533516 MORTGAGORS: BAZILAUSKAS RANDY BAZILAUSKAS JEANNE REGION CODE ADDRESS : 207 SOUTH STANLEY DRIVE 01 CITY : BEVERLY HILLS STATE/ZIP : CA 90211 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,777.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 62.50000 ---------------------------------------------------------------- 0 0031534829 MORTGAGORS: SMITH DAVID CHAMBERS NANCI REGION CODE ADDRESS : 1445 NORTH BUNDY DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 452,300.00 OPTION TO CONVERT : UNPAID BALANCE : 451,980.77 ANNUAL RATE ADJUST: MONTHLY P&I : 3,240.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 62.38600 ---------------------------------------------------------------- 0 0031534845 MORTGAGORS: SABA WILLIAM SABA DOLORES REGION CODE ADDRESS : 15611 MEADOWGATE ROAD 01 CITY : ENCINO AREA STATE/ZIP : CA 91436 MORTGAGE AMOUNT : 258,500.00 OPTION TO CONVERT : UNPAID BALANCE : 258,085.34 ANNUAL RATE ADJUST: MONTHLY P&I : 1,741.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 49.23800 ---------------------------------------------------------------- 0 0031536782 MORTGAGORS: DOHERTY RICHARD DOHERTY KATHLEEN REGION CODE ADDRESS : 28743 KING ARTHUR COURT 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 377,600.00 OPTION TO CONVERT : UNPAID BALANCE : 377,023.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,607.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031537079 MORTGAGORS: FURUKAWA CEDRIC FURUKAWA CHRISTY REGION CODE ADDRESS : 26915 CALAMINE DRIVE 01 CITY : CALABASAS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 232,000.00 OPTION TO CONVERT : UNPAID BALANCE : 231,823.44 ANNUAL RATE ADJUST: MONTHLY P&I : 1,602.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,620,400.00 P & I AMT: 11,289.90 UPB AMT: 1,618,690.49 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 34 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031537319 MORTGAGORS: KIDO RODNEY KIDO ROSE REGION CODE ADDRESS : 12 COLORADO 01 CITY : IRVINE STATE/ZIP : CA 92606 MORTGAGE AMOUNT : 263,900.00 OPTION TO CONVERT : UNPAID BALANCE : 263,497.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,822.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031537814 MORTGAGORS: BREWER ARTHUR BREWER PATRICIA REGION CODE ADDRESS : 32803 AGUA DULCE CANYON ROAD 01 CITY : AGUA DUCLE AREA STATE/ZIP : CA 91350 MORTGAGE AMOUNT : 321,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,749.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,189.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.33300 ---------------------------------------------------------------- 0 0031539695 MORTGAGORS: COLLIER GEOFFREY COLLIER KATHLEEN REGION CODE ADDRESS : 27306 DUXBURY PLACE 01 CITY : VALENCIA STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 383,399.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,619.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031540016 MORTGAGORS: MARGOLIS GAIL REGION CODE ADDRESS : 3803 VIA DOLCE 01 CITY : MARINA DEL RAY AREA STATE/ZIP : CA 90292 MORTGAGE AMOUNT : 595,000.00 OPTION TO CONVERT : UNPAID BALANCE : 594,535.84 ANNUAL RATE ADJUST: MONTHLY P&I : 4,058.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031540420 MORTGAGORS: WOODLEY STEPHEN WOODLEY SHERYL REGION CODE ADDRESS : 14652 CARLSON STREET 01 CITY : POWAY STATE/ZIP : CA 92064 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,797.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.23200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,823,900.00 P & I AMT: 12,464.65 UPB AMT: 1,821,978.83 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 35 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031540974 MORTGAGORS: OPPEGARD PETER REGION CODE ADDRESS : 66 PIENZA 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,553.31 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031541469 MORTGAGORS: TOBIN CHARLES TOBIN YVONNE REGION CODE ADDRESS : 11770 COORSGOLD LANE 01 CITY : NORTHRIDGE STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 272,600.00 OPTION TO CONVERT : UNPAID BALANCE : 272,204.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,929.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031541642 MORTGAGORS: ORANGI SOHY REGION CODE ADDRESS : 1612 GUADALAJARA COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 393,600.00 OPTION TO CONVERT : UNPAID BALANCE : 392,984.05 ANNUAL RATE ADJUST: MONTHLY P&I : 2,685.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031542145 MORTGAGORS: SHALEV LEA SHALEV JACOB REGION CODE ADDRESS : 5316 BUFFALO AVENUE 01 CITY : (SHERMAN OAKS AREA) LOS A STATE/ZIP : CA 91401 MORTGAGE AMOUNT : 239,200.00 OPTION TO CONVERT : UNPAID BALANCE : 239,017.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,652.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031544679 MORTGAGORS: WALKER SVEN REGION CODE ADDRESS : 10768 LAKE BOULEVARD 01 CITY : FELTON STATE/ZIP : CA 95018 MORTGAGE AMOUNT : 262,500.00 OPTION TO CONVERT : UNPAID BALANCE : 261,953.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,903.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,467,900.00 P & I AMT: 10,267.55 UPB AMT: 1,465,713.27 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 36 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031544760 MORTGAGORS: WHALLEY JOANNE REGION CODE ADDRESS : 9207 FLICKER WAY 01 CITY : LOS ANGELES STATE/ZIP : CA 90069 MORTGAGE AMOUNT : 605,000.00 OPTION TO CONVERT : UNPAID BALANCE : 604,076.46 ANNUAL RATE ADJUST: MONTHLY P&I : 4,178.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 55.00000 ---------------------------------------------------------------- 0 0031545056 MORTGAGORS: BRUNICK RONALD REGION CODE ADDRESS : 6717 AVILA VALLEY DRIVE 01 CITY : SAN LUIS OBISPO STATE/ZIP : CA 93405 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 649,505.40 ANNUAL RATE ADJUST: MONTHLY P&I : 4,489.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.54400 ---------------------------------------------------------------- 0 0031546047 MORTGAGORS: STEFFEN STEVEN STEFFEN GINA REGION CODE ADDRESS : 625 BRENDA LEE DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 287,200.00 OPTION TO CONVERT : UNPAID BALANCE : 286,997.29 ANNUAL RATE ADJUST: MONTHLY P&I : 2,057.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 73.64100 ---------------------------------------------------------------- 0 0031546096 MORTGAGORS: BURNETT IAN BURNETT SHARON REGION CODE ADDRESS : 752 E. JUNE LAKE LANE 01 CITY : FRESNO STATE/ZIP : CA 93720 MORTGAGE AMOUNT : 289,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,524.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,922.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031546229 MORTGAGORS: PALMER WILLIAM PALMER MARY REGION CODE ADDRESS : 13559 OLD EL CAMINO REAL 01 CITY : SAN DIEGO STATE/ZIP : CA 92130 MORTGAGE AMOUNT : 257,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,799.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,753.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 56.49500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,088,200.00 P & I AMT: 14,401.43 UPB AMT: 2,085,903.29 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 37 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031547656 MORTGAGORS: YEE MICHAEL YEE CHRISTINE REGION CODE ADDRESS : 46 FEATHER RIDGE TRAIL 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 320,200.00 OPTION TO CONVERT : UNPAID BALANCE : 319,950.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,184.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.51500 ---------------------------------------------------------------- 0 0031549660 MORTGAGORS: BALI ARUN BALI ANJILA REGION CODE ADDRESS : 7533 SOULES WAY AND 5401 ELFRIEDE W 01 CITY : SACRAMENTO STATE/ZIP : CA 95823 MORTGAGE AMOUNT : 121,000.00 OPTION TO CONVERT : UNPAID BALANCE : 120,743.58 ANNUAL RATE ADJUST: MONTHLY P&I : 909.03 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.25000 PRODUCT CODE : 002 LTV : 94.90196 ---------------------------------------------------------------- 0 0031549769 MORTGAGORS: HUMPHREY LOREN HUMPHREY TWILA REGION CODE ADDRESS : 6041 PALO ALTO DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92647 MORTGAGE AMOUNT : 303,200.00 OPTION TO CONVERT : UNPAID BALANCE : 301,728.23 ANNUAL RATE ADJUST: MONTHLY P&I : 2,094.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 83.29600 ---------------------------------------------------------------- 0 0031550635 MORTGAGORS: PARKER STEVEN REGION CODE ADDRESS : 2159 COUNTRY CLUB DRIVE 01 CITY : GLENDORA STATE/ZIP : CA 91741 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,803.42 ANNUAL RATE ADJUST: MONTHLY P&I : 1,719.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031551088 MORTGAGORS: WIESINGER FREDERICK ANDREWS EVELYN REGION CODE ADDRESS : 132 SUNSET AVENUE 01 CITY : SUNNYVALE STATE/ZIP : CA 94086 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,816.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 68.06200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,256,400.00 P & I AMT: 8,769.25 UPB AMT: 1,254,041.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 38 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031552268 MORTGAGORS: BUTLER LEONA REGION CODE ADDRESS : 4196 HAVEN COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 431,200.00 OPTION TO CONVERT : UNPAID BALANCE : 430,573.83 ANNUAL RATE ADJUST: MONTHLY P&I : 3,052.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031554942 MORTGAGORS: WAYNE JAMES WAYNE LAURA REGION CODE ADDRESS : 109 SOUTH GUADALUPE AVENUE NO. C 01 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,788.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031556889 MORTGAGORS: FILATOV ALEXEY SHELKOVA NINA REGION CODE ADDRESS : 1733 ARMACOST AVENUE #4 01 CITY : LOS ANGELES STATE/ZIP : CA 90025 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,539.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,005.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 94.99100 ---------------------------------------------------------------- 0 0031557077 MORTGAGORS: OH SIN REGION CODE ADDRESS : 633 SOUTH SYCAMORE AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90036 MORTGAGE AMOUNT : 307,800.00 OPTION TO CONVERT : UNPAID BALANCE : 307,110.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,152.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031557531 MORTGAGORS: THOMAN BROCK THOMAN IRENE REGION CODE ADDRESS : 505 RAINBOW TARNS ROAD 01 CITY : CROWLEY LAKE STATE/ZIP : CA 93546 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,745.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,313.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 60.90900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,660,000.00 P & I AMT: 11,590.32 UPB AMT: 1,657,757.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 39 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031558026 MORTGAGORS: KIM IN KIM JUNG REGION CODE ADDRESS : 2509 DORSET DRIVE 01 CITY : TORRANCE STATE/ZIP : CA 90503 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,524.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,407.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031560220 MORTGAGORS: PIERCE THOMAS PIERCE LISA REGION CODE ADDRESS : 14464 HIGH VALLEY ROAD 01 CITY : POWAY STATE/ZIP : CA 90264 MORTGAGE AMOUNT : 750,000.00 OPTION TO CONVERT : UNPAID BALANCE : 748,736.21 ANNUAL RATE ADJUST: MONTHLY P&I : 4,926.97 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 015 LTV : 64.65500 ---------------------------------------------------------------- 0 0031560394 MORTGAGORS: MCCARTHY KEITH MCCARTHY LOIS REGION CODE ADDRESS : 10 MAKENA COURT 01 CITY : PETALUMA STATE/ZIP : CA 94954 MORTGAGE AMOUNT : 284,500.00 OPTION TO CONVERT : UNPAID BALANCE : 284,065.71 ANNUAL RATE ADJUST: MONTHLY P&I : 1,964.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98700 ---------------------------------------------------------------- 0 0031560428 MORTGAGORS: LINGARDO RUDOLFO LINGARDO LAURA REGION CODE ADDRESS : 1595 CAUDOR STREET 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 256,800.00 OPTION TO CONVERT : UNPAID BALANCE : 256,623.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,861.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031561350 MORTGAGORS: GEHLMANN TIMOTHY GEHLMANN STACEY REGION CODE ADDRESS : 220 SILVERWOOD DR 01 CITY : SCOTTS VALLEY STATE/ZIP : CA 95066 MORTGAGE AMOUNT : 420,800.00 OPTION TO CONVERT : UNPAID BALANCE : 420,173.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,942.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.78100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,048,100.00 P & I AMT: 14,103.36 UPB AMT: 2,045,122.83 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 40 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031561947 MORTGAGORS: HOLTZ DAVID HOLTZ LEIGHANN REGION CODE ADDRESS : 2089 MONTE VISTA STREET 01 CITY : PASADENA STATE/ZIP : CA 91107 MORTGAGE AMOUNT : 245,575.00 OPTION TO CONVERT : UNPAID BALANCE : 245,383.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,675.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031562242 MORTGAGORS: TSE SIUCHEONG HUANG SHWU-MIIN REGION CODE ADDRESS : 7002 NOONWOOD COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 275,600.00 OPTION TO CONVERT : UNPAID BALANCE : 274,997.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,950.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.52600 ---------------------------------------------------------------- 0 0031562796 MORTGAGORS: SEAMARK MICHAEL ELLINWOOD TRACI REGION CODE ADDRESS : 100 HARBOR DRIVE #2406 01 CITY : SAN DIEGO STATE/ZIP : CA 92101 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,589.06 ANNUAL RATE ADJUST: MONTHLY P&I : 1,929.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031563083 MORTGAGORS: HUDA MENON YAMANOUCHI KANAE REGION CODE ADDRESS : 27 FESTIVO 01 CITY : IRVINE STATE/ZIP : CA 92606 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,535.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,181.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031563349 MORTGAGORS: LEON DANIEL LEON BARBARA REGION CODE ADDRESS : 25468 DOYLE COURT 01 CITY : STEVENSON RANCH STATE/ZIP : CA 91381 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,794.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,800.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,373,175.00 P & I AMT: 9,538.26 UPB AMT: 1,371,299.77 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 41 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031564743 MORTGAGORS: BOYD KIMBERLY ANN BOYD BILL REGION CODE ADDRESS : 396 PARK AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90814 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,636.68 ANNUAL RATE ADJUST: MONTHLY P&I : 1,643.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 64.32400 ---------------------------------------------------------------- 0 0031565286 MORTGAGORS: TREESON EMANUEL MAY CYBELE REGION CODE ADDRESS : 1522 ELEVADO STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90026 MORTGAGE AMOUNT : 241,600.00 OPTION TO CONVERT : UNPAID BALANCE : 241,231.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,668.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031566151 MORTGAGORS: BAYLON VERONICA BOOKER HARVEY REGION CODE ADDRESS : 7282 MARGERUM AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92120 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 241,484.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,733.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.90100 ---------------------------------------------------------------- 0 0031566912 MORTGAGORS: FAIRCHILD PAUL FAIRCHILD CATHY REGION CODE ADDRESS : 12893 RALSTON CIRCLE 01 CITY : SAN DIEGO STATE/ZIP : CA 92130 MORTGAGE AMOUNT : 344,000.00 OPTION TO CONVERT : UNPAID BALANCE : 343,731.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,346.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 68.11881 ---------------------------------------------------------------- 0 0031567001 MORTGAGORS: GIBFRIED RUSSELL GIBFRIED KATHERINE REGION CODE ADDRESS : 2517 CAMINITO LA PAZ 01 CITY : LA JOLLA STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 303,000.00 OPTION TO CONVERT : UNPAID BALANCE : 302,525.85 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.59300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,368,600.00 P & I AMT: 9,459.89 UPB AMT: 1,366,609.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 42 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031567076 MORTGAGORS: GURROLA RAFAEL GUARROLA DORA REGION CODE ADDRESS : 554 BALSAM AVENUE 01 CITY : SUNNYVALE STATE/ZIP : CA 94086 MORTGAGE AMOUNT : 238,500.00 OPTION TO CONVERT : UNPAID BALANCE : 238,144.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,667.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 87.68300 ---------------------------------------------------------------- 0 0031568637 MORTGAGORS: SIMS ALAN SIMS ZELDA REGION CODE ADDRESS : 2508 GLEN CANYON ROAD 01 CITY : SCOTTS VALLEY STATE/ZIP : CA 95066 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,455.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 62.50000 ---------------------------------------------------------------- 0 0031570674 MORTGAGORS: FORMICA STEFANO REGION CODE ADDRESS : 17 NICE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,482.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,719.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031570781 MORTGAGORS: PAIGE MICHAEL REGION CODE ADDRESS : 1233 NORTH LAUREL AVENUE #116 01 CITY : WEST HOLLYWOOD STATE/ZIP : CA 90046 MORTGAGE AMOUNT : 119,500.00 OPTION TO CONVERT : UNPAID BALANCE : 119,303.51 ANNUAL RATE ADJUST: MONTHLY P&I : 795.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 77.09600 ---------------------------------------------------------------- 0 0031571136 MORTGAGORS: SPANDAU CHRISTOPHER REGION CODE ADDRESS : 12962 CARMEL CREEK RD #135 01 CITY : SAN DIEGO STATE/ZIP : CA 92130 MORTGAGE AMOUNT : 205,000.00 OPTION TO CONVERT : UNPAID BALANCE : 204,847.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,433.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,313,000.00 P & I AMT: 9,269.30 UPB AMT: 1,311,233.74 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 43 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031571201 MORTGAGORS: FARR FREDERICK BONNEMA SHERYL REGION CODE ADDRESS : 14295 LAUREL WOOD LANE 01 CITY : CHINO HILLS STATE/ZIP : CA 91709 MORTGAGE AMOUNT : 283,450.00 OPTION TO CONVERT : UNPAID BALANCE : 283,234.32 ANNUAL RATE ADJUST: MONTHLY P&I : 1,957.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.98600 ---------------------------------------------------------------- 0 0031572084 MORTGAGORS: MAYER MARTIN MAYER CHERYL REGION CODE ADDRESS : 590 PASEO ROSAL 01 CITY : CHULA VISTA STATE/ZIP : CA 91910 MORTGAGE AMOUNT : 288,100.00 OPTION TO CONVERT : UNPAID BALANCE : 287,875.26 ANNUAL RATE ADJUST: MONTHLY P&I : 1,965.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 94.98900 ---------------------------------------------------------------- 0 0031572530 MORTGAGORS: PRENTICE LEE PRENTICE JANET REGION CODE ADDRESS : 1959 TRENTON DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 224,000.00 OPTION TO CONVERT : UNPAID BALANCE : 223,472.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,528.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031572597 MORTGAGORS: HAMIDI JAMSHID HAMIDI KEYDOKHT REGION CODE ADDRESS : 2995 MARY LANE 01 CITY : ESCONDIDO STATE/ZIP : CA 92025 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,441.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,622.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.98400 ---------------------------------------------------------------- 0 0031572662 MORTGAGORS: WEBB MICHAEL WEBB DONNA REGION CODE ADDRESS : 8233 TANOAK WAY 01 CITY : CITRUS HEIGHTS STATE/ZIP : CA 95621 MORTGAGE AMOUNT : 77,900.00 OPTION TO CONVERT : UNPAID BALANCE : 77,800.30 ANNUAL RATE ADJUST: MONTHLY P&I : 585.24 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,248,450.00 P & I AMT: 8,658.45 UPB AMT: 1,246,824.11 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 44 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031572696 MORTGAGORS: SCHWEIKERT CARL REGION CODE ADDRESS : 16952 IRON SPRINGS ROAD 01 CITY : JULIAN STATE/ZIP : CA 92036 MORTGAGE AMOUNT : 140,000.00 OPTION TO CONVERT : UNPAID BALANCE : 139,893.47 ANNUAL RATE ADJUST: MONTHLY P&I : 966.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 62.22200 ---------------------------------------------------------------- 0 0031572712 MORTGAGORS: BAPTISTE JAMES BAPTISTE ANNE REGION CODE ADDRESS : 2503 SINGING VISTA WAY 01 CITY : EL CAJON STATE/ZIP : CA 92019 MORTGAGE AMOUNT : 265,600.00 OPTION TO CONVERT : UNPAID BALANCE : 265,397.90 ANNUAL RATE ADJUST: MONTHLY P&I : 1,834.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.60600 ---------------------------------------------------------------- 0 0031573629 MORTGAGORS: LORD CHARLES RODGERS-LORD SHARON REGION CODE ADDRESS : 1412 LAWRENCE WAY 01 CITY : SANTA ROSA STATE/ZIP : CA 95401 MORTGAGE AMOUNT : 218,000.00 OPTION TO CONVERT : UNPAID BALANCE : 217,511.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,524.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031574320 MORTGAGORS: SALAMATI MEHRAN SALAMATI LORIE REGION CODE ADDRESS : 22190 SADDLE PEAK ROAD 01 CITY : TOPANGA STATE/ZIP : CA 90290 MORTGAGE AMOUNT : 378,000.00 OPTION TO CONVERT : UNPAID BALANCE : 377,066.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,578.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031574346 MORTGAGORS: SEITZ JOHN SEITZ MONIQUE REGION CODE ADDRESS : 29 PARADISE COVE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 426,652.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,919.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.33300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,429,600.00 P & I AMT: 9,824.01 UPB AMT: 1,426,522.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 45 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031574387 MORTGAGORS: MEYERS ALLEN MEYERS RACHEL REGION CODE ADDRESS : 1812 TOBI COURT 01 CITY : CONCORD STATE/ZIP : CA 94521 MORTGAGE AMOUNT : 194,750.00 OPTION TO CONVERT : UNPAID BALANCE : 194,612.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,395.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031575020 MORTGAGORS: WOODRUFF GARY WOODRUFF CYNTHIA REGION CODE ADDRESS : 22152 FUSCO LANE 01 CITY : ALPINE STATE/ZIP : CA 91901 MORTGAGE AMOUNT : 253,600.00 OPTION TO CONVERT : UNPAID BALANCE : 253,222.40 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031575053 MORTGAGORS: MENLO FRANKLIN MENLO LYNN REGION CODE ADDRESS : 312 SOUTH MCCARTHY DRIVE 01 CITY : BEVERLY HILLS STATE/ZIP : CA 90212 MORTGAGE AMOUNT : 648,000.00 OPTION TO CONVERT : UNPAID BALANCE : 647,105.17 ANNUAL RATE ADJUST: MONTHLY P&I : 4,698.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 58.90900 ---------------------------------------------------------------- 0 0031575475 MORTGAGORS: SCHLEGEL WILLIAM REGION CODE ADDRESS : 1217 CALLE ARROYO 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91360 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 344,730.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,353.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 60.52600 ---------------------------------------------------------------- 0 0031575574 MORTGAGORS: BURD JOHN BURD AMY REGION CODE ADDRESS : 10017 RANCHO CAPITAN 01 CITY : LAKESIDE STATE/ZIP : CA 92040 MORTGAGE AMOUNT : 188,000.00 OPTION TO CONVERT : UNPAID BALANCE : 187,746.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,379.48 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 79.66100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,629,350.00 P & I AMT: 11,599.86 UPB AMT: 1,627,417.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 46 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031576440 MORTGAGORS: LANGOLF JAMES LANGOLF TRESSA REGION CODE ADDRESS : 764 WINDELL COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 235,829.19 ANNUAL RATE ADJUST: MONTHLY P&I : 1,670.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031576887 MORTGAGORS: FONG CARLETON FONG CYNTHIA REGION CODE ADDRESS : 9632 CUTTER COVE PLACE 01 CITY : ELK GROVE STATE/ZIP : CA 95758 MORTGAGE AMOUNT : 254,750.00 OPTION TO CONVERT : UNPAID BALANCE : 254,565.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,803.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031577091 MORTGAGORS: BREAUX RICHARD BREAUX KATHRYN REGION CODE ADDRESS : 6050 QUAIL CREEK LANE 01 CITY : HOMEWOOD STATE/ZIP : CA 96141 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,782.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031577471 MORTGAGORS: KIM HAE KIM SO REGION CODE ADDRESS : 925 14TH STREET #25 01 CITY : SANTA MONICA STATE/ZIP : CA 90403 MORTGAGE AMOUNT : 320,400.00 OPTION TO CONVERT : UNPAID BALANCE : 320,162.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,240.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031578503 MORTGAGORS: UESUGI TAKEO UESEGI KOJI REGION CODE ADDRESS : 3434 EAST HOLT AVENUE 01 CITY : WEST COVINA STATE/ZIP : CA 91791 MORTGAGE AMOUNT : 278,000.00 OPTION TO CONVERT : UNPAID BALANCE : 277,554.06 ANNUAL RATE ADJUST: MONTHLY P&I : 1,872.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 88.25300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,389,150.00 P & I AMT: 9,710.09 UPB AMT: 1,387,893.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 47 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031578875 MORTGAGORS: GAN QING-FEN LI LEA REGION CODE ADDRESS : 315 WINDINGWOOD COURT #1605 01 CITY : MOUNTAIN VIEW STATE/ZIP : CA 94040 MORTGAGE AMOUNT : 227,500.00 OPTION TO CONVERT : UNPAID BALANCE : 227,083.60 ANNUAL RATE ADJUST: MONTHLY P&I : 1,749.28 OUTSIDE CONV DATE : LIFETIME RATE : 8.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 8.50000 PRODUCT CODE : 002 LTV : 79.82400 ---------------------------------------------------------------- 0 0031579857 MORTGAGORS: BEYER SCOTT BEYER MARY REGION CODE ADDRESS : 1445 BRIOSO COURT 01 CITY : VISTA STATE/ZIP : CA 92083 MORTGAGE AMOUNT : 137,700.00 OPTION TO CONVERT : UNPAID BALANCE : 137,620.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,083.29 OUTSIDE CONV DATE : LIFETIME RATE : 8.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.75000 PRODUCT CODE : 250 LTV : 90.00000 ---------------------------------------------------------------- 0 0031580392 MORTGAGORS: DATA DAVID DATA DEBE REGION CODE ADDRESS : 4339 MATTOS DRIVE 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,783.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,283.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.74600 ---------------------------------------------------------------- 0 0031581077 MORTGAGORS: ADAMS ROBYN ADAMS STEPHEN REGION CODE ADDRESS : 5006 CASCADE COURT 01 CITY : CULVER CITY STATE/ZIP : CA 90230 MORTGAGE AMOUNT : 263,150.00 OPTION TO CONVERT : UNPAID BALANCE : 262,804.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,953.89 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031581416 MORTGAGORS: MORGAN GEOFFREY TUTTLE AMY REGION CODE ADDRESS : 8829 LUND HILL LANE 01 CITY : COTATI STATE/ZIP : CA 94931 MORTGAGE AMOUNT : 348,750.00 OPTION TO CONVERT : UNPAID BALANCE : 348,509.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,528.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,292,100.00 P & I AMT: 9,599.11 UPB AMT: 1,290,802.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 48 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031581804 MORTGAGORS: SAMPEDRO LUIS SAMPEDRO LYNDA REGION CODE ADDRESS : 431 CAMINO DE ENCANTO 01 CITY : TORRANCE REDONDA BEACH AR STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 504,000.00 OPTION TO CONVERT : UNPAID BALANCE : 503,644.28 ANNUAL RATE ADJUST: MONTHLY P&I : 3,610.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031584162 MORTGAGORS: BALDI EDOARDO REGION CODE ADDRESS : 17352 WEST SUNSET BOULEVARD NO.106 01 CITY : LOS ANGELES STATE/ZIP : CA 90272 MORTGAGE AMOUNT : 143,200.00 OPTION TO CONVERT : UNPAID BALANCE : 143,098.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,025.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031584311 MORTGAGORS: GONZALEZ PETER GONZALEZ TONI REGION CODE ADDRESS : 4786 LUCILLE DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92115 MORTGAGE AMOUNT : 254,100.00 OPTION TO CONVERT : UNPAID BALANCE : 253,906.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,755.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 94.99000 ---------------------------------------------------------------- 0 0031584980 MORTGAGORS: EVERSON KIM REGION CODE ADDRESS : 5630 CAMPO WALK 01 CITY : LONG BEACH STATE/ZIP : CA 90806 MORTGAGE AMOUNT : 576,000.00 OPTION TO CONVERT : UNPAID BALANCE : 575,527.86 ANNUAL RATE ADJUST: MONTHLY P&I : 3,832.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031586357 MORTGAGORS: NAZIRUDDIN FAIYAZ NAZIRUDDIN LEAH REGION CODE ADDRESS : 4770 CENTRAL PARKWAY 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 198,625.00 OPTION TO CONVERT : UNPAID BALANCE : 198,180.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,388.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,675,925.00 P & I AMT: 11,612.60 UPB AMT: 1,674,357.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 49 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031586704 MORTGAGORS: STARKE WILLIAM REGION CODE ADDRESS : 541 RED ARROW TRAIL 01 CITY : PALM DESERT STATE/ZIP : CA 92211 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 459,364.78 ANNUAL RATE ADJUST: MONTHLY P&I : 3,335.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 71.31700 ---------------------------------------------------------------- 0 0031587033 MORTGAGORS: HUFF KENNETH HUFF MARIE REGION CODE ADDRESS : 6638 CIBOLA ROAD 01 CITY : SAN DIEGO STATE/ZIP : CA 92120 MORTGAGE AMOUNT : 227,150.00 OPTION TO CONVERT : UNPAID BALANCE : 226,803.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,568.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.14630 ---------------------------------------------------------------- 0 0031587140 MORTGAGORS: YUN KI YUN KANG REGION CODE ADDRESS : 905 CALLE DEL PACIFICO 01 CITY : GLENDALE STATE/ZIP : CA 91208 MORTGAGE AMOUNT : 322,400.00 OPTION TO CONVERT : UNPAID BALANCE : 322,172.46 ANNUAL RATE ADJUST: MONTHLY P&I : 2,309.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031587165 MORTGAGORS: LUDWIN CRAIG LUDWIN ROBYN REGION CODE ADDRESS : 20668 DEODAR DRIVE 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,380.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,992.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.16600 ---------------------------------------------------------------- 0 0031587215 MORTGAGORS: GUSTAFSON JOHN GUSTAFSON STEPHANIE REGION CODE ADDRESS : 811 SADDLE LANE 01 CITY : OJAI STATE/ZIP : CA 93023 MORTGAGE AMOUNT : 413,000.00 OPTION TO CONVERT : UNPAID BALANCE : 412,693.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,887.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 65.55500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,707,550.00 P & I AMT: 12,094.42 UPB AMT: 1,704,414.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 50 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031587330 MORTGAGORS: HABER MAJORIE REGION CODE ADDRESS : 3288 EDITH STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 422,500.00 OPTION TO CONVERT : UNPAID BALANCE : 422,209.24 ANNUAL RATE ADJUST: MONTHLY P&I : 3,063.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 65.00000 ---------------------------------------------------------------- 0 0031587413 MORTGAGORS: KACZMAREK PETER KACZMAREK NINA REGION CODE ADDRESS : 22331 BIRCHLEAF 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 444,000.00 OPTION TO CONVERT : UNPAID BALANCE : 443,678.64 ANNUAL RATE ADJUST: MONTHLY P&I : 3,142.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031587884 MORTGAGORS: FETTERMAN LYNN FETTERMAN VICKI REGION CODE ADDRESS : 78808 VIA CARMEL 01 CITY : LA QUINTA STATE/ZIP : CA 92253 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,768.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,264.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031588130 MORTGAGORS: KASPARIAN NARINE REGION CODE ADDRESS : 2155 RIMCREST DRIVE 01 CITY : GLENDALE STATE/ZIP : CA 91207 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 379,731.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,722.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 59.84200 ---------------------------------------------------------------- 0 0031588619 MORTGAGORS: HILL CHRISTOPHER HILL STEPHANIE REGION CODE ADDRESS : 1929 CEDAR STREET 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 338,000.00 OPTION TO CONVERT : UNPAID BALANCE : 337,761.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,421.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.70100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,904,500.00 P & I AMT: 13,614.82 UPB AMT: 1,903,149.51 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 51 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031588940 MORTGAGORS: ALLEN JOAN REGION CODE ADDRESS : 4562 WILLOWBEND COURT 01 CITY : CHINO HILLS STATE/ZIP : CA 91709 MORTGAGE AMOUNT : 183,500.00 OPTION TO CONVERT : UNPAID BALANCE : 183,373.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,330.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 76.45800 ---------------------------------------------------------------- 0 0031589104 MORTGAGORS: LANGNER DANIEL LANGNER COLLEEN REGION CODE ADDRESS : 31 DEL PADRE 01 CITY : FOOTHILL RANCH STATE/ZIP : CA 92610 MORTGAGE AMOUNT : 234,500.00 OPTION TO CONVERT : UNPAID BALANCE : 234,167.91 ANNUAL RATE ADJUST: MONTHLY P&I : 1,679.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 78.16600 ---------------------------------------------------------------- 0 0031589211 MORTGAGORS: PATTON CHARLES REGION CODE ADDRESS : 200 HARBOR DRIVE #903 01 CITY : SAN DIEGO STATE/ZIP : CA 92101 MORTGAGE AMOUNT : 195,000.00 OPTION TO CONVERT : UNPAID BALANCE : 194,869.15 ANNUAL RATE ADJUST: MONTHLY P&I : 1,430.85 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 250 LTV : 65.00000 ---------------------------------------------------------------- 0 0031589468 MORTGAGORS: GILCHRIST NORMAN GILCHRIST MARY REGION CODE ADDRESS : 2481 TRENTON DRIVE 01 CITY : SAN BRUNO STATE/ZIP : CA 94066 MORTGAGE AMOUNT : 274,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,811.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,986.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 76.11100 ---------------------------------------------------------------- 0 0031589880 MORTGAGORS: COBB JERRY COBB BARBARA REGION CODE ADDRESS : 2003 PALM AVENUE 01 CITY : UPLAND STATE/ZIP : CA 91784 MORTGAGE AMOUNT : 216,800.00 OPTION TO CONVERT : UNPAID BALANCE : 216,485.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,534.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,103,800.00 P & I AMT: 7,962.54 UPB AMT: 1,102,707.38 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 52 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031589997 MORTGAGORS: SEATON TIMOTHY D'ELIA DANA REGION CODE ADDRESS : 22067 SADDLE PEAK ROAD 01 CITY : TOPANGA STATE/ZIP : CA 90290 MORTGAGE AMOUNT : 436,000.00 OPTION TO CONVERT : UNPAID BALANCE : 435,668.24 ANNUAL RATE ADJUST: MONTHLY P&I : 3,011.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031590433 MORTGAGORS: SRINIVASAN JEFFREY SIPPLE-SRINIVASAN MARGARET REGION CODE ADDRESS : 458 PAULETTE PLACE 01 CITY : LA CANADA FLINTRIDGE STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,771.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031590458 MORTGAGORS: GAMEZ MEYNARD GAMEZ PATRICIA REGION CODE ADDRESS : 17175 COPPER HILL DRIVE 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 328,000.00 OPTION TO CONVERT : UNPAID BALANCE : 327,141.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,378.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031591639 MORTGAGORS: COLGATE LAURA REGION CODE ADDRESS : 2996 SUNRIDGE DRIVE 01 CITY : SANTA ROSA STATE/ZIP : CA 95405 MORTGAGE AMOUNT : 166,800.00 OPTION TO CONVERT : UNPAID BALANCE : 166,300.18 ANNUAL RATE ADJUST: MONTHLY P&I : 1,166.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031591720 MORTGAGORS: READY TRENT READY KIM REGION CODE ADDRESS : 4033 VIA PICAPOSTE 01 CITY : PALOS VERDES ESTATES STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,110.54 ANNUAL RATE ADJUST: MONTHLY P&I : 3,103.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,658,800.00 P & I AMT: 11,731.19 UPB AMT: 1,655,992.26 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 53 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031591761 MORTGAGORS: STANCHEK THOMAS STANCHEK DEANNA REGION CODE ADDRESS : 28 MEADOWOOD 01 CITY : RANCHO SANTA MARGARITA AR STATE/ZIP : CA 92688 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,816.50 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 76.47000 ---------------------------------------------------------------- 0 0031592132 MORTGAGORS: WILLIAMS VERNON REGION CODE ADDRESS : 1601 WYNDHAM COURT 01 CITY : SANTA ANA STATE/ZIP : CA 92705 MORTGAGE AMOUNT : 418,000.00 OPTION TO CONVERT : UNPAID BALANCE : 417,086.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,958.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.61900 ---------------------------------------------------------------- 0 0031593023 MORTGAGORS: WHITESIDE WILLIAM REGION CODE ADDRESS : 815 BRIGHTON COURT 01 CITY : SAN DIEGO STATE/ZIP : CA 92109 MORTGAGE AMOUNT : 247,500.00 OPTION TO CONVERT : UNPAID BALANCE : 247,325.32 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031593155 MORTGAGORS: MEYER WILLIAM MEYER CLAIRE REGION CODE ADDRESS : 5932 BUSCH DRIVE 01 CITY : MALIBU STATE/ZIP : CA 90265 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 449,657.58 ANNUAL RATE ADJUST: MONTHLY P&I : 3,108.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 50.00000 ---------------------------------------------------------------- 0 0031593247 MORTGAGORS: SEDAKA MARC SEDAKA SAMANTHA REGION CODE ADDRESS : 3755 WRIGHTWOOD DRIVE 01 CITY : STUDIO CITY STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,745.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,313.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.82600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,710,500.00 P & I AMT: 12,016.18 UPB AMT: 1,708,631.09 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 54 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031593296 MORTGAGORS: LAM LAK SZETO STELLA REGION CODE ADDRESS : 11073 INSPIRATION CIRCLE 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 379,900.00 OPTION TO CONVERT : UNPAID BALANCE : 379,580.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,495.67 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99500 ---------------------------------------------------------------- 0 0031593346 MORTGAGORS: SPUNT JEFFREY HIRSH GAIL REGION CODE ADDRESS : 2889 BRANNICK PLACE 01 CITY : SAN DIEGO STATE/ZIP : CA 92122 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,454.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,264.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031593916 MORTGAGORS: RESNICK STEVEN RESNICK BRENDA REGION CODE ADDRESS : 28249 RODGERS DRIVE 01 CITY : SAUGUS STATE/ZIP : CA 91353 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,765.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.82000 ---------------------------------------------------------------- 0 0031593932 MORTGAGORS: DRAGON FRANK DRAGON ELIZABETH REGION CODE ADDRESS : 828 HIGHLAND DRIVE 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,530.53 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.41573 ---------------------------------------------------------------- 0 0031593940 MORTGAGORS: HARRIS STEPHEN HARRIS JENNIFER REGION CODE ADDRESS : 5020 MACERO COURT 01 CITY : EL DORADO HILLS STATE/ZIP : CA 95762 MORTGAGE AMOUNT : 284,100.00 OPTION TO CONVERT : UNPAID BALANCE : 283,883.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,962.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.99000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,584,000.00 P & I AMT: 10,815.88 UPB AMT: 1,582,215.75 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 55 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031595077 MORTGAGORS: ALI SYED ALI SAFIA REGION CODE ADDRESS : 4225 ALDER AVENUE 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 272,650.00 OPTION TO CONVERT : UNPAID BALANCE : 272,462.37 ANNUAL RATE ADJUST: MONTHLY P&I : 1,976.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031595119 MORTGAGORS: TAM KEVIN TAM SHARON REGION CODE ADDRESS : 31005 VIA PUERTA DEL SOL 01 CITY : BONSALL STATE/ZIP : CA 92003 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,707.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,558.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 55.97000 ---------------------------------------------------------------- 0 0031595176 MORTGAGORS: AAGAARD EVA AAGAARD RUSSELL REGION CODE ADDRESS : 3669 DOWITCHER TERRACE 01 CITY : FREMONT STATE/ZIP : CA 94555 MORTGAGE AMOUNT : 283,500.00 OPTION TO CONVERT : UNPAID BALANCE : 283,278.84 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031595564 MORTGAGORS: WILLIAMS JUDITH REGION CODE ADDRESS : 6600 SHADY LAKE LANE 01 CITY : GRANITE BAY STATE/ZIP : CA 95746 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 292,787.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,073.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 48.03200 ---------------------------------------------------------------- 0 0031595606 MORTGAGORS: LOMAS RYKER REGION CODE ADDRESS : 322 CORONA AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 165,000.00 OPTION TO CONVERT : UNPAID BALANCE : 164,880.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,167.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 43.42100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,389,150.00 P & I AMT: 9,710.73 UPB AMT: 1,388,117.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 56 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031595838 MORTGAGORS: ARMSTRONG SCOTT KOKKO-ARMSTRONG MARGARET REGION CODE ADDRESS : 201 NORTH REDROCK 01 CITY : ANAHEIM STATE/ZIP : CA 92807 MORTGAGE AMOUNT : 180,000.00 OPTION TO CONVERT : UNPAID BALANCE : 179,725.22 ANNUAL RATE ADJUST: MONTHLY P&I : 1,243.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031596026 MORTGAGORS: KAUFMANN JAMES KAUFMANN WENDY REGION CODE ADDRESS : 20191 ROGERS DRIVE 01 CITY : ORANGE STATE/ZIP : CA 92869 MORTGAGE AMOUNT : 418,800.00 OPTION TO CONVERT : UNPAID BALANCE : 418,206.93 ANNUAL RATE ADJUST: MONTHLY P&I : 3,000.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.01800 ---------------------------------------------------------------- 0 0031596257 MORTGAGORS: HERNANDEZ FLORENTINE ABBOTT RODNEY REGION CODE ADDRESS : 356 ARCHES AVENUE 01 CITY : EL DORADO HILLS STATE/ZIP : CA 95762 MORTGAGE AMOUNT : 230,000.00 OPTION TO CONVERT : UNPAID BALANCE : 229,841.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,667.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 77.96600 ---------------------------------------------------------------- 0 0031596273 MORTGAGORS: CHAUDHRY MOHAMMAD CHAUDHRY BUSHRA REGION CODE ADDRESS : 2390 MOONRIDGE CIRCLE 01 CITY : CORONA STATE/ZIP : CA 91719 MORTGAGE AMOUNT : 188,500.00 OPTION TO CONVERT : UNPAID BALANCE : 188,363.56 ANNUAL RATE ADJUST: MONTHLY P&I : 1,334.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.40000 ---------------------------------------------------------------- 0 0031596323 MORTGAGORS: KNIESEL GARY REGION CODE ADDRESS : 114 DEL NORTE VISTA WAY 01 CITY : FOLSOM STATE/ZIP : CA 95630 MORTGAGE AMOUNT : 373,750.00 OPTION TO CONVERT : UNPAID BALANCE : 373,486.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,677.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.00900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,391,050.00 P & I AMT: 9,923.00 UPB AMT: 1,389,623.64 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 57 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031597172 MORTGAGORS: SITZMANN PATRICK SITZMAN MAUREEN REGION CODE ADDRESS : 1268 IDYLBERRY ROAD 01 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 283,000.00 OPTION TO CONVERT : UNPAID BALANCE : 282,800.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,027.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.47300 ---------------------------------------------------------------- 0 0031597453 MORTGAGORS: ILOUNA BENEDICTA REGION CODE ADDRESS : 1009 FERNREST DRIVE 01 CITY : HARBOR CITY AREA STATE/ZIP : CA 90710 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,323.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,660.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031597479 MORTGAGORS: WATSON PETER WATSON MARJORIE REGION CODE ADDRESS : 450 FAIRWAY DRIVE #753 01 CITY : MAMMOTH LAKES STATE/ZIP : CA 93546 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,737.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,292.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031597495 MORTGAGORS: JAFFE ROBERT JAFFE SHEILA REGION CODE ADDRESS : 30050 QUAIL RUN DRIVE 01 CITY : AGOURA HILLS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 363,500.00 OPTION TO CONVERT : UNPAID BALANCE : 363,216.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,479.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.72900 ---------------------------------------------------------------- 0 0031597644 MORTGAGORS: SEO YONG SEO CHUN REGION CODE ADDRESS : 1719 GLENWOOD ROAD 01 CITY : GLENDALE STATE/ZIP : CA 91201 MORTGAGE AMOUNT : 170,000.00 OPTION TO CONVERT : UNPAID BALANCE : 169,873.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,188.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 53.12500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,390,000.00 P & I AMT: 9,648.60 UPB AMT: 1,388,952.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 58 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031597826 MORTGAGORS: BRIDGMAN RICKY BRIDGMAN MARINA REGION CODE ADDRESS : 2280 NADULA DRIVE 01 CITY : HACIENDA HEIGHTS AREA STATE/ZIP : CA 91745 MORTGAGE AMOUNT : 238,400.00 OPTION TO CONVERT : UNPAID BALANCE : 238,218.60 ANNUAL RATE ADJUST: MONTHLY P&I : 1,646.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031597867 MORTGAGORS: ENGLE WILLIAM ENGLE NANCI REGION CODE ADDRESS : 6656 MUIRLANDS DRIVE 01 CITY : LA JOLLA STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 580,000.00 OPTION TO CONVERT : UNPAID BALANCE : 579,580.21 ANNUAL RATE ADJUST: MONTHLY P&I : 4,105.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031598006 MORTGAGORS: SEO SONG SEO KYONG REGION CODE ADDRESS : 22701 DRAILLE DRIVE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 259,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,817.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,855.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031598717 MORTGAGORS: WOTUS JAMES WOTUS DIANE REGION CODE ADDRESS : 16100 ESCOBAR AVENUE 01 CITY : LOS GATOS STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 383,000.00 OPTION TO CONVERT : UNPAID BALANCE : 382,715.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,677.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 60.79300 ---------------------------------------------------------------- 0 0031599327 MORTGAGORS: SERPA BRUCE SERPA LISA REGION CODE ADDRESS : 6341 BERRYBUSH COURT 01 CITY : GILROY STATE/ZIP : CA 95020 MORTGAGE AMOUNT : 315,050.00 OPTION TO CONVERT : UNPAID BALANCE : 314,326.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,775,450.00 P & I AMT: 12,461.26 UPB AMT: 1,773,658.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 59 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031599566 MORTGAGORS: ROBINSON STEVEN REGION CODE ADDRESS : 1019 MONTEREY BOULEVARD 01 CITY : HERMOSA BEACH STATE/ZIP : CA 90254 MORTGAGE AMOUNT : 416,000.00 OPTION TO CONVERT : UNPAID BALANCE : 415,380.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,908.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031599699 MORTGAGORS: WEI MICHAEL JENG ANNIE REGION CODE ADDRESS : 2306 MARKS DRIVE 01 CITY : TUSTIN STATE/ZIP : CA 92782 MORTGAGE AMOUNT : 227,000.00 OPTION TO CONVERT : UNPAID BALANCE : 226,653.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,567.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.64900 ---------------------------------------------------------------- 0 0031599921 MORTGAGORS: BAKHSHANDEHPOUR MANOCHER BAKHSHANDEHPOUR SHAHRZAD REGION CODE ADDRESS : 26122 BUENA VISTA COURT 01 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 332,000.00 OPTION TO CONVERT : UNPAID BALANCE : 331,771.52 ANNUAL RATE ADJUST: MONTHLY P&I : 2,407.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031599939 MORTGAGORS: MEYER DAVID MEYER RHONDA REGION CODE ADDRESS : 1567 PEARL HEIGHTS ROAD 01 CITY : VISTA STATE/ZIP : CA 92083 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 241,815.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,671.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 94.90100 ---------------------------------------------------------------- 0 0031600182 MORTGAGORS: JESSEE MARGARET REGION CODE ADDRESS : 9 VALLECITO LANE 01 CITY : WATSONVILLE STATE/ZIP : CA 95076 MORTGAGE AMOUNT : 309,600.00 OPTION TO CONVERT : UNPAID BALANCE : 309,364.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,138.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,526,600.00 P & I AMT: 10,693.56 UPB AMT: 1,524,985.88 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 60 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031600307 MORTGAGORS: DUTTA SHANTANU REGION CODE ADDRESS : 1308 CALIFORNIA AVENUE NO. 3 01 CITY : SANTA MONICA STATE/ZIP : CA 90403 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,784.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031600380 MORTGAGORS: YUDELL LYNN REGION CODE ADDRESS : 10420 QUITO LANE 01 CITY : LOS ANGELES STATE/ZIP : CA 90077 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 339,747.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,377.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 65.38400 ---------------------------------------------------------------- 0 0031600562 MORTGAGORS: SEGOVIA JAVIER REGION CODE ADDRESS : 3741 WADE STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,774.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,125.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031600760 MORTGAGORS: GOODWIN MICHAEL CAVADINI-GOODWIN ANN REGION CODE ADDRESS : 12751 ADAMS STREET 01 CITY : GARDEN GROVE STATE/ZIP : CA 92845 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,811.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,847.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.81600 ---------------------------------------------------------------- 0 0031600810 MORTGAGORS: DRAKE RONALD DRAKE SUSAN REGION CODE ADDRESS : 27602 MEADOW BAY DRIVE 01 CITY : LAKE ARROWHEAD STATE/ZIP : CA 92352 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 383,715.01 ANNUAL RATE ADJUST: MONTHLY P&I : 2,684.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,565,000.00 P & I AMT: 10,918.10 UPB AMT: 1,563,832.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 61 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031601057 MORTGAGORS: BADER ROY BADER VALORI REGION CODE ADDRESS : 9561 MANZANITA COURT 01 CITY : FONTANA STATE/ZIP : CA 92335 MORTGAGE AMOUNT : 102,000.00 OPTION TO CONVERT : UNPAID BALANCE : 101,929.81 ANNUAL RATE ADJUST: MONTHLY P&I : 739.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 92.72700 ---------------------------------------------------------------- 0 0031601206 MORTGAGORS: VALENTI KEN PEREZ ELEANOR REGION CODE ADDRESS : 45 ANGELICA WAY 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 323,100.00 OPTION TO CONVERT : UNPAID BALANCE : 322,618.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,259.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031601388 MORTGAGORS: MARTIN JAMES MARTIN BRAUNA REGION CODE ADDRESS : 1714 SUNSET AVE 01 CITY : SANTA MONICA STATE/ZIP : CA 90405 MORTGAGE AMOUNT : 399,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,390.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,755.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.23500 ---------------------------------------------------------------- 0 0031601453 MORTGAGORS: PALMER MICHAEL PALMER MONIQUE REGION CODE ADDRESS : 23030 KATHRYN AVE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,539.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,919.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 76.57100 ---------------------------------------------------------------- 0 0031601776 MORTGAGORS: MOONEYHAM GEORGE MOONEYHAM CAROL REGION CODE ADDRESS : 4702 MOORE STREET 01 CITY : GLENDALE STATE/ZIP : CA 91214 MORTGAGE AMOUNT : 261,900.00 OPTION TO CONVERT : UNPAID BALANCE : 261,695.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,786.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,354,000.00 P & I AMT: 9,461.14 UPB AMT: 1,352,175.28 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 62 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031602519 MORTGAGORS: LANGAN RICHARD LANGAN DONNA REGION CODE ADDRESS : 4215 MEADOW WOOD COURT 01 CITY : EL DORADO HILLS STATE/ZIP : CA 95762 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,616.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,671.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.89600 ---------------------------------------------------------------- 0 0031602923 MORTGAGORS: KELLEN DAVID MARKS CYNTHIA REGION CODE ADDRESS : 545 CATALONIA AVENUE 01 CITY : PACIFIC PALISADES STATE/ZIP : CA 90272 MORTGAGE AMOUNT : 510,000.00 OPTION TO CONVERT : UNPAID BALANCE : 509,259.41 ANNUAL RATE ADJUST: MONTHLY P&I : 3,609.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- 0 0031602956 MORTGAGORS: PORTER BRYAN PORTER ANABEL REGION CODE ADDRESS : 8364 CHASE AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,616.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031603624 MORTGAGORS: BRADLEY ROSS REGION CODE ADDRESS : 17906 MARTHA STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 91316 MORTGAGE AMOUNT : 126,800.00 OPTION TO CONVERT : UNPAID BALANCE : 126,712.74 ANNUAL RATE ADJUST: MONTHLY P&I : 919.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031604200 MORTGAGORS: IKER STEVEN IKER SHARON REGION CODE ADDRESS : 875 STERLING OAKS COURT 01 CITY : AGOURA STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 339,500.00 OPTION TO CONVERT : UNPAID BALANCE : 338,981.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,344.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 73.80400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,485,300.00 P & I AMT: 10,413.90 UPB AMT: 1,483,187.11 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 63 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031604440 MORTGAGORS: BENSAN SAMUEL BENSAN JOSEPHINE REGION CODE ADDRESS : 3556 ROLLINGSIDE DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95148 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,807.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,817.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031604531 MORTGAGORS: ELSBERRY DAVID ELSBERRY CAROLYN REGION CODE ADDRESS : 33862 BRIDGEHAMPTON DRIVE 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 253,604.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,761.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.11940 ---------------------------------------------------------------- 0 0031604663 MORTGAGORS: MONTESDEOCA GEORGE MONTESDEOCA SANDRA REGION CODE ADDRESS : 5180 ABBEYWOOD DRIVE 01 CITY : CASTRO VALLEY STATE/ZIP : CA 94552 MORTGAGE AMOUNT : 246,350.00 OPTION TO CONVERT : UNPAID BALANCE : 246,152.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,659.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.99000 ---------------------------------------------------------------- 0 0031605017 MORTGAGORS: MALLICK DONALD MALLICK DONNA REGION CODE ADDRESS : 6713 PISTACHIO PLACE 01 CITY : PALMDALE STATE/ZIP : CA 93551 MORTGAGE AMOUNT : 255,500.00 OPTION TO CONVERT : UNPAID BALANCE : 255,315.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,808.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.96400 ---------------------------------------------------------------- 0 0031606478 MORTGAGORS: PALL THOMAS PALL CHRISTINE REGION CODE ADDRESS : 7 BRIGHTWOOD CIRCLE 01 CITY : DANVILLE STATE/ZIP : CA 94506 MORTGAGE AMOUNT : 822,950.00 OPTION TO CONVERT : UNPAID BALANCE : 821,693.75 ANNUAL RATE ADJUST: MONTHLY P&I : 5,683.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 015 LTV : 69.99600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,839,800.00 P & I AMT: 12,731.22 UPB AMT: 1,836,573.44 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 64 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031607641 MORTGAGORS: DINETZ ROBERT DINETZ KATHLEEN REGION CODE ADDRESS : 251 FREDERICK STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94117 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 391,716.28 ANNUAL RATE ADJUST: MONTHLY P&I : 2,774.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031607807 MORTGAGORS: KOCZIAN ROBERT KOCZIAN ANITA REGION CODE ADDRESS : 4859 CABRILLO POINT, UNICORP. 01 CITY : AREA OF CONTRA COSTA, BYR STATE/ZIP : CA 94514 MORTGAGE AMOUNT : 294,500.00 OPTION TO CONVERT : UNPAID BALANCE : 294,307.36 ANNUAL RATE ADJUST: MONTHLY P&I : 2,186.65 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031607815 MORTGAGORS: EARNEY GEORGE EARNEY DOROTHY REGION CODE ADDRESS : 901 TALBOT DRIVE 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 245,550.00 OPTION TO CONVERT : UNPAID BALANCE : 245,175.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,695.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 94.95433 ---------------------------------------------------------------- 0 0031608060 MORTGAGORS: AYRIA KAMBIZ REGION CODE ADDRESS : 31 NEWCASTLE LANE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 611,250.00 OPTION TO CONVERT : UNPAID BALANCE : 610,773.16 ANNUAL RATE ADJUST: MONTHLY P&I : 4,169.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031608078 MORTGAGORS: GROTH LAWRENCE TURPEN VALERIE REGION CODE ADDRESS : 2038 PACIFIC AVENUE 01 CITY : ALAMEDA STATE/ZIP : CA 94501 MORTGAGE AMOUNT : 299,250.00 OPTION TO CONVERT : UNPAID BALANCE : 298,793.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,842,550.00 P & I AMT: 12,893.82 UPB AMT: 1,840,765.14 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 65 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031608201 MORTGAGORS: BATRA TARUN BATRA ANURADHA REGION CODE ADDRESS : 8278 SKYLINE CIRCLE 01 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 373,500.00 OPTION TO CONVERT : UNPAID BALANCE : 372,929.83 ANNUAL RATE ADJUST: MONTHLY P&I : 2,579.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.88877 ---------------------------------------------------------------- 0 0031608243 MORTGAGORS: CAMARGO MANUEL CAMARGO IRENE REGION CODE ADDRESS : 922 NORTH EVERETT STREET 01 CITY : GLENDALE STATE/ZIP : CA 91207 MORTGAGE AMOUNT : 281,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,581.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,964.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.92000 ---------------------------------------------------------------- 0 0031608391 MORTGAGORS: SERBIN ROBERT REGION CODE ADDRESS : 814 SADDLEBACK CIRCLE 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 236,700.00 OPTION TO CONVERT : UNPAID BALANCE : 236,373.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,716.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 89.97100 ---------------------------------------------------------------- 0 0031608540 MORTGAGORS: MANAVI MAHDAD MANAVI FARANAK REGION CODE ADDRESS : 6075 CROSSVIEW CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 492,000.00 OPTION TO CONVERT : UNPAID BALANCE : 490,951.51 ANNUAL RATE ADJUST: MONTHLY P&I : 3,524.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031609100 MORTGAGORS: BLAIR BOBBI REGION CODE ADDRESS : 11601 MONTANA AVENUE UNIT 7 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,977.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,491.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,735,200.00 P & I AMT: 12,276.89 UPB AMT: 1,731,813.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 66 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031609274 MORTGAGORS: WOODSON JIMMY WOODSON DARLENE REGION CODE ADDRESS : 236 POLHEMUS AVENUE 01 CITY : ATHERTON STATE/ZIP : CA 94027 MORTGAGE AMOUNT : 867,000.00 OPTION TO CONVERT : UNPAID BALANCE : 865,008.67 ANNUAL RATE ADJUST: MONTHLY P&I : 5,988.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 015 LTV : 22.23000 ---------------------------------------------------------------- 0 0031609530 MORTGAGORS: SENSABAUGH NILE SENSABAUGH JEAN REGION CODE ADDRESS : 5950 VIA DEL TECOLOTE 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,784.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.24300 ---------------------------------------------------------------- 0 0031609571 MORTGAGORS: GOLDMAN MICHAEL GOLDMAN RUTH REGION CODE ADDRESS : 41 CRESTVIEW 01 CITY : LAS FLORES STATE/ZIP : CA 92688 MORTGAGE AMOUNT : 437,200.00 OPTION TO CONVERT : UNPAID BALANCE : 436,532.59 ANNUAL RATE ADJUST: MONTHLY P&I : 3,019.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031609977 MORTGAGORS: LIMA MARIO LIMA CYNTHIA REGION CODE ADDRESS : 6101 THOR DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92647 MORTGAGE AMOUNT : 217,600.00 OPTION TO CONVERT : UNPAID BALANCE : 217,442.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,540.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031610025 MORTGAGORS: WIKNER LYLE WIKNER ELAINE REGION CODE ADDRESS : 5333 MALLARD DRIVE 01 CITY : PLEASANTON STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 319,950.00 OPTION TO CONVERT : UNPAID BALANCE : 319,740.71 ANNUAL RATE ADJUST: MONTHLY P&I : 2,375.62 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 79.98700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,117,750.00 P & I AMT: 14,806.38 UPB AMT: 2,114,509.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 67 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031610413 MORTGAGORS: BURGER EDWARD BURGER MARY REGION CODE ADDRESS : 5972 SEACREST VIEW ROAD 01 CITY : SAN DIEGO STATE/ZIP : CA 92121 MORTGAGE AMOUNT : 245,500.00 OPTION TO CONVERT : UNPAID BALANCE : 245,303.68 ANNUAL RATE ADJUST: MONTHLY P&I : 1,653.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.53800 ---------------------------------------------------------------- 0 0031610637 MORTGAGORS: HARNICK PHILLIP SOKOL ROBYN REGION CODE ADDRESS : 3538 MULTIVIEW DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 430,000.00 OPTION TO CONVERT : UNPAID BALANCE : 429,391.06 ANNUAL RATE ADJUST: MONTHLY P&I : 3,080.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 71.66600 ---------------------------------------------------------------- 0 0031610934 MORTGAGORS: COUTCHIE EDWARD REGION CODE ADDRESS : 33 ROYAL TERN LANE 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 172,000.00 OPTION TO CONVERT : UNPAID BALANCE : 171,875.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,217.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031611478 MORTGAGORS: LALOUZ SHLOMO REGION CODE ADDRESS : 6340 RAYDEL CT 01 CITY : SAN DIEGO STATE/ZIP : CA 92120 MORTGAGE AMOUNT : 148,000.00 OPTION TO CONVERT : UNPAID BALANCE : 147,895.53 ANNUAL RATE ADJUST: MONTHLY P&I : 1,060.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031611650 MORTGAGORS: REICHBACH ZEV COHEN-REICHBACH LYNDA REGION CODE ADDRESS : 5521 CALHOUN AVENUE 01 CITY : SHERMAN OAKS STATE/ZIP : CA 91401 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,752.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,507.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 69.30600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,345,500.00 P & I AMT: 9,519.71 UPB AMT: 1,344,218.75 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 68 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031612070 MORTGAGORS: HUHN ROBERT HUHN MARTHA REGION CODE ADDRESS : 1348 CRESTLINE DRIVE 01 CITY : SANTA BARBARA STATE/ZIP : CA 93105 MORTGAGE AMOUNT : 349,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,622.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,380.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.47300 ---------------------------------------------------------------- 0 0031612104 MORTGAGORS: STAUFFER PETER STAUFFER JANECKE REGION CODE ADDRESS : 40 CORWIN DRIVE 01 CITY : ALAMO STATE/ZIP : CA 94507 MORTGAGE AMOUNT : 425,000.00 OPTION TO CONVERT : UNPAID BALANCE : 424,351.23 ANNUAL RATE ADJUST: MONTHLY P&I : 2,935.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.85900 ---------------------------------------------------------------- 0 0031612245 MORTGAGORS: RUDERMAN JEFFREY THOMASON ANTOINETTE REGION CODE ADDRESS : 4 FOREST HILLS COURT 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 220,000.00 OPTION TO CONVERT : UNPAID BALANCE : 219,844.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,576.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.19298 ---------------------------------------------------------------- 0 0031612716 MORTGAGORS: STEARNS JEFFREY OGLE JEFFREY REGION CODE ADDRESS : 41 SATURN STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94114 MORTGAGE AMOUNT : 301,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,950.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,182.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 72.53000 ---------------------------------------------------------------- 0 0031613011 MORTGAGORS: HUNT RANDALL HUNT VALERIE REGION CODE ADDRESS : 71390 BLACK HILLS 01 CITY : MOUNTAIN CENTER STATE/ZIP : CA 92561 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,072.47 ANNUAL RATE ADJUST: MONTHLY P&I : 1,726.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 47.61900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,545,000.00 P & I AMT: 10,801.43 UPB AMT: 1,539,841.16 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 69 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031613334 MORTGAGORS: LAMBERT JEFFREY LAMBERT LORALIE REGION CODE ADDRESS : 9212 JERSEY DRIVE 01 CITY : RIVERSIDE STATE/ZIP : CA 92503 MORTGAGE AMOUNT : 95,950.00 OPTION TO CONVERT : UNPAID BALANCE : 95,810.66 ANNUAL RATE ADJUST: MONTHLY P&I : 679.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 93.15500 ---------------------------------------------------------------- 0 0031613763 MORTGAGORS: RYAN DENNIS RYAN FAY REGION CODE ADDRESS : 1508 CHARRO COURT 01 CITY : BONTIA STATE/ZIP : CA 91902 MORTGAGE AMOUNT : 297,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,756.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,975.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.98930 ---------------------------------------------------------------- 0 0031613789 MORTGAGORS: KEAR BRADLEY KEAR RITA REGION CODE ADDRESS : 1379 PASEO ISABELLA 01 CITY : SAN DIMAS STATE/ZIP : CA 91773 MORTGAGE AMOUNT : 275,400.00 OPTION TO CONVERT : UNPAID BALANCE : 274,979.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,902.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031613839 MORTGAGORS: MCWILLIAMS GREGORY MCWILLIAMS TRACY REGION CODE ADDRESS : 2807 3RD STREET #4 01 CITY : SANTA MONICA STATE/ZIP : CA 90405 MORTGAGE AMOUNT : 329,000.00 OPTION TO CONVERT : UNPAID BALANCE : 328,472.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,216.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.27700 ---------------------------------------------------------------- 0 0031613938 MORTGAGORS: KING CHRISTOPHER KING MARY REGION CODE ADDRESS : 20 COLORADO 01 CITY : IRVINE STATE/ZIP : CA 92606 MORTGAGE AMOUNT : 271,650.00 OPTION TO CONVERT : UNPAID BALANCE : 271,224.90 ANNUAL RATE ADJUST: MONTHLY P&I : 1,853.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,269,000.00 P & I AMT: 8,626.87 UPB AMT: 1,267,243.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 70 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031613979 MORTGAGORS: HOPPUS MARK REGION CODE ADDRESS : 14015 CHESTNUT HILL LANE 01 CITY : SAN DIEGO STATE/ZIP : CA 92128 MORTGAGE AMOUNT : 165,000.00 OPTION TO CONVERT : UNPAID BALANCE : 164,754.33 ANNUAL RATE ADJUST: MONTHLY P&I : 1,153.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 52.38000 ---------------------------------------------------------------- 0 0031614027 MORTGAGORS: HUDIN ALAN HUDIN MARIA REGION CODE ADDRESS : 18124 KAREN DRIVE (TARZANA AREA) 01 CITY : LOS ANGELES STATE/ZIP : CA 91356 MORTGAGE AMOUNT : 311,200.00 OPTION TO CONVERT : UNPAID BALANCE : 310,770.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,256.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031614076 MORTGAGORS: KOLSTAD CHARLES KOLSTAD LINDA REGION CODE ADDRESS : 21 SOUTH GORDON WAY 01 CITY : LOS ALTOS STATE/ZIP : CA 94022 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 648,507.06 ANNUAL RATE ADJUST: MONTHLY P&I : 4,489.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 71.42800 ---------------------------------------------------------------- 0 0031614100 MORTGAGORS: OHMART JEFFREY OHMART MISTY REGION CODE ADDRESS : 52 SKYVIEW TERRACE 01 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 513,600.00 OPTION TO CONVERT : UNPAID BALANCE : 512,449.33 ANNUAL RATE ADJUST: MONTHLY P&I : 3,591.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031614134 MORTGAGORS: WASON THOMAS WASON NANETTE REGION CODE ADDRESS : 35 CALERA CANYON ROAD 01 CITY : SALINAS STATE/ZIP : CA 93908 MORTGAGE AMOUNT : 364,000.00 OPTION TO CONVERT : UNPAID BALANCE : 363,458.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,545.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,003,800.00 P & I AMT: 14,035.83 UPB AMT: 1,999,938.99 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 71 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031614159 MORTGAGORS: WINTER KEITH MIKELSON SHERA REGION CODE ADDRESS : 1681 SEMINOLE WAY 01 CITY : ARNOLD STATE/ZIP : CA 95223 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,430.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031614316 MORTGAGORS: KEFALAS MODESTOS KEFALAS EUGENIA REGION CODE ADDRESS : 3928 BLANCHE STREET 01 CITY : PASADENA STATE/ZIP : CA 91107 MORTGAGE AMOUNT : 266,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,802.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,859.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031614399 MORTGAGORS: KIM KEE KIM YOUNG REGION CODE ADDRESS : 2908 MARKRIDGE ROAD 01 CITY : LA CRESCENTA STATE/ZIP : CA 91214 MORTGAGE AMOUNT : 350,100.00 OPTION TO CONVERT : UNPAID BALANCE : 349,859.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,538.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031614456 MORTGAGORS: NG JOHN REGION CODE ADDRESS : 30 CORTE ALEGRE 01 CITY : MILLBRAE STATE/ZIP : CA 94030 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,741.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031614985 MORTGAGORS: MANSOURIAN NADER REGION CODE ADDRESS : 537 MONTECILLO ROAD 01 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 295,200.00 OPTION TO CONVERT : UNPAID BALANCE : 294,963.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,988.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,507,300.00 P & I AMT: 10,533.35 UPB AMT: 1,505,797.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 72 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031615255 MORTGAGORS: HEISNER ROBERT HEISNER OSANN REGION CODE ADDRESS : 9 PALOMA DRIVE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,785.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,177.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031615735 MORTGAGORS: STAHLHEBER STEVEN ROSA LAURIE REGION CODE ADDRESS : 2165 FOUNTAIN COURT 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,814.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,811.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031615891 MORTGAGORS: KHATHURIA RAMESH KHATHURIA SUNITA REGION CODE ADDRESS : 352 GARDENIA DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 374,850.00 OPTION TO CONVERT : UNPAID BALANCE : 374,277.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,589.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99000 ---------------------------------------------------------------- 0 0031615933 MORTGAGORS: EBERLE ROBERT REGION CODE ADDRESS : 185 KENSINGTON WAY 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94127 MORTGAGE AMOUNT : 295,300.00 OPTION TO CONVERT : UNPAID BALANCE : 295,086.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,090.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 69.48200 ---------------------------------------------------------------- 0 0031616329 MORTGAGORS: KETSIRI ARSDAVUT REGION CODE ADDRESS : 212 38TH STREET UNIT A & B 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,547.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,125.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 69.88500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,534,150.00 P & I AMT: 10,794.58 UPB AMT: 1,532,511.56 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 73 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031616378 MORTGAGORS: YELLAMILLI KRISHNA YELLAMILLI CHAMPA REGION CODE ADDRESS : 20663 CHERYL DRIVE 01 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 405,000.00 OPTION TO CONVERT : UNPAID BALANCE : 404,396.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,831.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.63600 ---------------------------------------------------------------- 0 0031616402 MORTGAGORS: SERRANO CARLOS BEZERRA SERRANO MARTHA REGION CODE ADDRESS : 14358 WEST RUSHMORE COURT 01 CITY : CANYON COUNTRY STATE/ZIP : CA 91351 MORTGAGE AMOUNT : 279,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,390.33 ANNUAL RATE ADJUST: MONTHLY P&I : 1,974.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031616444 MORTGAGORS: ESCUDERO GUALBERTO ESCUDERO THANH-HA REGION CODE ADDRESS : 1707 BLOSSOM COURT 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91320 MORTGAGE AMOUNT : 276,500.00 OPTION TO CONVERT : UNPAID BALANCE : 276,067.30 ANNUAL RATE ADJUST: MONTHLY P&I : 1,886.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.89700 ---------------------------------------------------------------- 0 0031616972 MORTGAGORS: O'MALLEY THOMAS EGGER O'MALLEY KATHY REGION CODE ADDRESS : 16340 JAMES COURT 01 CITY : RIVERSIDE STATE/ZIP : CA 92504 MORTGAGE AMOUNT : 235,100.00 OPTION TO CONVERT : UNPAID BALANCE : 234,741.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,623.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 94.98900 ---------------------------------------------------------------- 0 0031617020 MORTGAGORS: SCHILLING MARK SCHILLING TARA REGION CODE ADDRESS : 603 N GUADALUPE AVENUE #B 01 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 282,200.00 OPTION TO CONVERT : UNPAID BALANCE : 281,790.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,997.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.49200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,477,800.00 P & I AMT: 10,313.97 UPB AMT: 1,475,385.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 74 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031617327 MORTGAGORS: MOMCHILOVICH STEVE MOMCHILOVICH CHARMANE REGION CODE ADDRESS : 2106 CAMINO DEL VECINO 01 CITY : ALPINE STATE/ZIP : CA 91901 MORTGAGE AMOUNT : 423,100.00 OPTION TO CONVERT : UNPAID BALANCE : 422,500.83 ANNUAL RATE ADJUST: MONTHLY P&I : 3,031.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.98100 ---------------------------------------------------------------- 0 0031617350 MORTGAGORS: OSTER TERRY OSTER TERESA REGION CODE ADDRESS : 5519 BROOKMEAD DRIVE 01 CITY : WHITTIER STATE/ZIP : CA 90601 MORTGAGE AMOUNT : 275,500.00 OPTION TO CONVERT : UNPAID BALANCE : 275,089.80 ANNUAL RATE ADJUST: MONTHLY P&I : 1,926.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031617400 MORTGAGORS: KEELING LARRY KEELING SANDRA REGION CODE ADDRESS : 772 EAST NORTHRIDGE AVE 01 CITY : GLENDORA STATE/ZIP : CA 91741 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,629.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,678.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.38700 ---------------------------------------------------------------- 0 0031617434 MORTGAGORS: WILKINSON THOMAS WILKINSON DIANA REGION CODE ADDRESS : 26641 CADENAS 01 CITY : MISSION VIEJO STATE/ZIP : CA 92691 MORTGAGE AMOUNT : 296,100.00 OPTION TO CONVERT : UNPAID BALANCE : 295,636.62 ANNUAL RATE ADJUST: MONTHLY P&I : 2,019.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031617475 MORTGAGORS: BAKER ROBERT BAKER MARY REGION CODE ADDRESS : 77 DOVECREST 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 296,600.00 OPTION TO CONVERT : UNPAID BALANCE : 295,901.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,023.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,534,300.00 P & I AMT: 10,679.10 UPB AMT: 1,531,757.95 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 75 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031617814 MORTGAGORS: GREMINGER DAVID RADOS SHANNA REGION CODE ADDRESS : 2292 ELDEN AVENUE 01 CITY : COSTA MESA STATE/ZIP : CA 92627 MORTGAGE AMOUNT : 295,200.00 OPTION TO CONVERT : UNPAID BALANCE : 294,996.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,140.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031617939 MORTGAGORS: WHITE STEPHEN WHITE MARY REGION CODE ADDRESS : 54 MADRID PLACE 01 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 255,200.00 OPTION TO CONVERT : UNPAID BALANCE : 255,010.60 ANNUAL RATE ADJUST: MONTHLY P&I : 1,784.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031617962 MORTGAGORS: COLESCOTT JACK REGION CODE ADDRESS : 1319 OAK CREST WAY 01 CITY : ANTIOCH STATE/ZIP : CA 94509 MORTGAGE AMOUNT : 251,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,616.84 ANNUAL RATE ADJUST: MONTHLY P&I : 1,733.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98110 ---------------------------------------------------------------- 0 0031618010 MORTGAGORS: LINDOW LAURA REGION CODE ADDRESS : 2133 DOVER CT 01 CITY : WALNUT CREEK STATE/ZIP : CA 94598 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,758.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,114.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.79400 ---------------------------------------------------------------- 0 0031618226 MORTGAGORS: TENENBAUM JERRY TENENBAUM HELEN REGION CODE ADDRESS : 4111 MONET AVENUE 01 CITY : WOODLAND HILLS (AREA) STATE/ZIP : CA 91364 MORTGAGE AMOUNT : 278,400.00 OPTION TO CONVERT : UNPAID BALANCE : 278,188.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,922.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,389,800.00 P & I AMT: 9,696.00 UPB AMT: 1,388,570.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 76 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031618234 MORTGAGORS: LAMBRUSCHINI HUGO REGION CODE ADDRESS : 1420 CADDINGTON DRIVE 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 235,690.21 ANNUAL RATE ADJUST: MONTHLY P&I : 1,752.29 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031618655 MORTGAGORS: NICHOLS RUTH REGION CODE ADDRESS : 24866 DANA POINT DRIVE 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 241,500.00 OPTION TO CONVERT : UNPAID BALANCE : 241,320.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,688.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031618747 MORTGAGORS: DIETRICH DAVID DIETRICH MARY REGION CODE ADDRESS : 24 TREESIDE COURT 01 CITY : SOUTH SAN FRANCISCO STATE/ZIP : CA 94080 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,788.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,992.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 63.33300 ---------------------------------------------------------------- 0 0031618952 MORTGAGORS: SUMMERS LARRY SUMMERS PATRICIA REGION CODE ADDRESS : 3549 WESTVIEW DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95148 MORTGAGE AMOUNT : 447,800.00 OPTION TO CONVERT : UNPAID BALANCE : 447,450.67 ANNUAL RATE ADJUST: MONTHLY P&I : 3,054.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031619430 MORTGAGORS: LEVIG ANNE REGION CODE ADDRESS : 16048 SADDLE SUMMIT ROAD 01 CITY : RAMONA STATE/ZIP : CA 92065 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,821.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,678.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,450,300.00 P & I AMT: 10,166.56 UPB AMT: 1,449,072.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 77 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031619521 MORTGAGORS: MICHAELS HOWARD MICHAELS JANE REGION CODE ADDRESS : 5875 KILLARNEY CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95138 MORTGAGE AMOUNT : 405,000.00 OPTION TO CONVERT : UNPAID BALANCE : 404,143.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,866.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031619661 MORTGAGORS: GROBE EDWARD KARNEY RONA REGION CODE ADDRESS : 5455 LOS MONTEROS 01 CITY : YORBA LINDA STATE/ZIP : CA 92687 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,680.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,880.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 61.13600 ---------------------------------------------------------------- 0 0031620016 MORTGAGORS: BROOKS JOHN BROOKS LUCY REGION CODE ADDRESS : 74 PARK GROTON PLACE 01 CITY : SAN JOSE STATE/ZIP : CA 95136 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,583.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,957.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031620024 MORTGAGORS: WILLIAMS SCOTT WILLIAMS WENDY REGION CODE ADDRESS : 11758 AVENIDA DEL SOL 01 CITY : LOS ANGELES STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,756.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031620214 MORTGAGORS: ALEXANDER CHIP ALEXANDER LAURIE REGION CODE ADDRESS : 531 VANNIER DRIVE 01 CITY : BELMONT STATE/ZIP : CA 94002 MORTGAGE AMOUNT : 369,050.00 OPTION TO CONVERT : UNPAID BALANCE : 368,776.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,580.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 64.18200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,643,050.00 P & I AMT: 11,495.87 UPB AMT: 1,640,939.55 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 78 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031620453 MORTGAGORS: SEVERYN BRENT SEVERYN LEESA REGION CODE ADDRESS : 12171 LAMB DRIVE 01 CITY : TUSTIN STATE/ZIP : CA 92782 MORTGAGE AMOUNT : 294,200.00 OPTION TO CONVERT : UNPAID BALANCE : 293,976.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,031.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031621238 MORTGAGORS: CHEN AN-NAN CHEN YUH REGION CODE ADDRESS : 1871 FUMIA PLACE 01 CITY : SAN JOSE STATE/ZIP : CA 95131 MORTGAGE AMOUNT : 342,400.00 OPTION TO CONVERT : UNPAID BALANCE : 342,132.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,335.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98990 ---------------------------------------------------------------- 0 0031621402 MORTGAGORS: DUNKIN CHARLES DUNKIN KATHLEEN REGION CODE ADDRESS : 3311 MARNA AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90808 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,570.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,095.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031621469 MORTGAGORS: CAYABYAB RUCKER FLORAMAE RUCKER KURT REGION CODE ADDRESS : 2967 ARCHWOOD CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95148 MORTGAGE AMOUNT : 211,000.00 OPTION TO CONVERT : UNPAID BALANCE : 210,515.39 ANNUAL RATE ADJUST: MONTHLY P&I : 1,457.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.62200 ---------------------------------------------------------------- 0 0031621634 MORTGAGORS: PANASITI DOMINIC PANASITI DAWNA REGION CODE ADDRESS : 2445 RIC DRIVE 01 CITY : GILROY STATE/ZIP : CA 95020 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,355.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,992.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,571,600.00 P & I AMT: 10,912.78 UPB AMT: 1,569,549.90 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 79 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031621642 MORTGAGORS: BAUTISTA MARIO BAUTISTA CORAZON REGION CODE ADDRESS : 32749 SOUTH BELAMI LOOP 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 256,900.00 OPTION TO CONVERT : UNPAID BALANCE : 256,497.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,752.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98655 ---------------------------------------------------------------- 0 0031621691 MORTGAGORS: HOLMES ADENA REGION CODE ADDRESS : 3207 ADELAIDE WAY 01 CITY : BELMONT STATE/ZIP : CA 94002 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 253,640.30 ANNUAL RATE ADJUST: MONTHLY P&I : 1,819.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 58.52500 ---------------------------------------------------------------- 0 0031621832 MORTGAGORS: RIDDLE LANCE RIDDLE CHARLENE REGION CODE ADDRESS : 3200 LEGENDARIO 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92673 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,479.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,880.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 62.55800 ---------------------------------------------------------------- 0 0031621857 MORTGAGORS: HURE MICHAEL HURE V REGION CODE ADDRESS : 1642 COLINA COURT 01 CITY : SAN LUIS OBISBO STATE/ZIP : CA 93401 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 297,001.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031621881 MORTGAGORS: HE ZHENGXU REGION CODE ADDRESS : 4070 TYNEBOURNE CIRCLE 01 CITY : SAN DIEGO STATE/ZIP : CA 92130 MORTGAGE AMOUNT : 274,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,571.21 ANNUAL RATE ADJUST: MONTHLY P&I : 1,869.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 81.79100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,353,900.00 P & I AMT: 9,368.80 UPB AMT: 1,349,190.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 80 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031621956 MORTGAGORS: SCOTT JAMES SCOTT CAROL REGION CODE ADDRESS : 23010 8TH STREET 01 CITY : SANTA CLARITA STATE/ZIP : CA 91321 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,606.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,845.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031621972 MORTGAGORS: GROSSBACH MITCHELL GROSSBACH TRACEY REGION CODE ADDRESS : 4018 CESAR CHAVES STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94131 MORTGAGE AMOUNT : 282,300.00 OPTION TO CONVERT : UNPAID BALANCE : 281,879.67 ANNUAL RATE ADJUST: MONTHLY P&I : 1,973.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 63.01300 ---------------------------------------------------------------- 0 0031622012 MORTGAGORS: HORODYSKY ANDRIJ HORODYSKY DARLENE REGION CODE ADDRESS : 8110 KENDRA COURT 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 267,400.00 OPTION TO CONVERT : UNPAID BALANCE : 266,680.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,938.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 78.64700 ---------------------------------------------------------------- 0 0031622020 MORTGAGORS: DEPRIMA JOSEPH DEPRIMA SUSAN REGION CODE ADDRESS : 358 GARDENIA DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 379,400.00 OPTION TO CONVERT : UNPAID BALANCE : 378,820.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,620.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.99900 ---------------------------------------------------------------- 0 0031622038 MORTGAGORS: O'BRIEN ELIZABETH BOSCH WILLIAM REGION CODE ADDRESS : 48825 SAUVIGNON COURT 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 419,207.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,865.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,613,100.00 P & I AMT: 11,244.24 UPB AMT: 1,610,194.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 81 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031623044 MORTGAGORS: CAMPBELL PAUL REGION CODE ADDRESS : 116 EAST EL PORTAL 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 259,350.00 OPTION TO CONVERT : UNPAID BALANCE : 259,166.95 ANNUAL RATE ADJUST: MONTHLY P&I : 1,858.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031624000 MORTGAGORS: GREEN JAMES GREEN CATHERINE REGION CODE ADDRESS : 900 VIA BLAIRO 01 CITY : CORONA STATE/ZIP : CA 91719 MORTGAGE AMOUNT : 263,900.00 OPTION TO CONVERT : UNPAID BALANCE : 263,507.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,845.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.97300 ---------------------------------------------------------------- 0 0031624026 MORTGAGORS: SWANN SUSAN BROWN CLIFTON REGION CODE ADDRESS : 8161 TANFORAN COURT 01 CITY : NEWARK STATE/ZIP : CA 94560 MORTGAGE AMOUNT : 306,081.00 OPTION TO CONVERT : UNPAID BALANCE : 305,602.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,088.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99900 ---------------------------------------------------------------- 0 0031624042 MORTGAGORS: SAWYER WILLIAM HUGG CONSTANCE REGION CODE ADDRESS : 8209 TANFORAN COURT 01 CITY : NEWARK STATE/ZIP : CA 94560 MORTGAGE AMOUNT : 306,803.00 OPTION TO CONVERT : UNPAID BALANCE : 306,322.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,092.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99900 ---------------------------------------------------------------- 0 0031624075 MORTGAGORS: SEXTON KEVIN SEXTON TRACY REGION CODE ADDRESS : 6888 TERRENO DRIVE 01 CITY : RANCHO MURIETA STATE/ZIP : CA 95683 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,531.83 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 93.75000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,436,134.00 P & I AMT: 9,981.86 UPB AMT: 1,434,130.73 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 82 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031624117 MORTGAGORS: EDMONDS MICHAEL EDMONDS VIVIAN REGION CODE ADDRESS : 2903 CALLE DE LA MESA 01 CITY : PLEASANTON STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 357,000.00 OPTION TO CONVERT : UNPAID BALANCE : 356,180.03 ANNUAL RATE ADJUST: MONTHLY P&I : 2,465.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.63400 ---------------------------------------------------------------- 0 0031624349 MORTGAGORS: BENITEZ ARMANDO REGION CODE ADDRESS : 2120 FITZGERALD AVENUE 01 CITY : COMMERCE STATE/ZIP : CA 90040 MORTGAGE AMOUNT : 70,000.00 OPTION TO CONVERT : UNPAID BALANCE : 69,945.40 ANNUAL RATE ADJUST: MONTHLY P&I : 477.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 250 LTV : 45.16100 ---------------------------------------------------------------- 0 0031624661 MORTGAGORS: TADROS HANNY TADROS SHERINE REGION CODE ADDRESS : 6165 FAIRFIELD DRIVE 01 CITY : LA VERNE STATE/ZIP : CA 91750 MORTGAGE AMOUNT : 454,050.00 OPTION TO CONVERT : UNPAID BALANCE : 453,668.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,982.79 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0031624877 MORTGAGORS: GUNTER TIMOTHY GUNTER ANN REGION CODE ADDRESS : 4160 SUNNYHILL DRIVE 01 CITY : CARLSBAD STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,750.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,182.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031624992 MORTGAGORS: REAL MICHAEL REAL PAULA REGION CODE ADDRESS : 1401 OAK MEADOW ROAD 01 CITY : ARCADIA STATE/ZIP : CA 91006 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 439,681.54 ANNUAL RATE ADJUST: MONTHLY P&I : 3,114.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 59.21900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,641,050.00 P & I AMT: 11,223.27 UPB AMT: 1,639,225.88 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 83 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031625122 MORTGAGORS: REDDY NEERAJA REGION CODE ADDRESS : 23007 RIDGE LINE RD 01 CITY : DIAMOND BAR STATE/ZIP : CA 91765 MORTGAGE AMOUNT : 421,500.00 OPTION TO CONVERT : UNPAID BALANCE : 421,179.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,911.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.67200 ---------------------------------------------------------------- 0 0031625437 MORTGAGORS: SETLUR GOVINDARAJ SETLUR HARINI REGION CODE ADDRESS : 11072 BEL AIRE COURT 01 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 499,647.10 ANNUAL RATE ADJUST: MONTHLY P&I : 3,582.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 76.33500 ---------------------------------------------------------------- 0 0031625528 MORTGAGORS: PORTER RUSSELL PORTER DEBORAH REGION CODE ADDRESS : 1360 TURNSTONE WAY 01 CITY : SUNNYVALE STATE/ZIP : CA 94087 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,762.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,080.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 64.21000 ---------------------------------------------------------------- 0 0031625544 MORTGAGORS: MONTIEL ALBERT MONTIEL GUADALUPE REGION CODE ADDRESS : 3776 EASTWOOD CIRCLE 01 CITY : SANTA CLARA STATE/ZIP : CA 95054 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,668.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031625551 MORTGAGORS: NELSON DAVID DESMOND MARY REGION CODE ADDRESS : 846 AVENUE C 01 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,810.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,993.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 84.61500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,741,500.00 P & I AMT: 12,308.03 UPB AMT: 1,740,067.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 84 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031625742 MORTGAGORS: OMIDYAR CYRUS TROJAN OMIDYAR PAULA REGION CODE ADDRESS : 2 SORA COURT 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,803.33 ANNUAL RATE ADJUST: MONTHLY P&I : 1,852.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.71400 ---------------------------------------------------------------- 0 0031625767 MORTGAGORS: TAKIMOTO GLENN TAKIMOTO DEBORAH REGION CODE ADDRESS : 557 SEAHORSE LANE 01 CITY : REDWOOD CITY STATE/ZIP : CA 94065 MORTGAGE AMOUNT : 307,000.00 OPTION TO CONVERT : UNPAID BALANCE : 306,777.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,172.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.09500 ---------------------------------------------------------------- 0 0031625775 MORTGAGORS: THOMPSON RODNEY THOMPSON KATHE REGION CODE ADDRESS : 4604 MILNE DRIVE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,775.33 ANNUAL RATE ADJUST: MONTHLY P&I : 1,964.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031625783 MORTGAGORS: THIGPEN RICHARD THIGPEN SARA REGION CODE ADDRESS : 5754 ARLENE WAY 01 CITY : LIVERMORE STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 253,500.00 OPTION TO CONVERT : UNPAID BALANCE : 253,302.24 ANNUAL RATE ADJUST: MONTHLY P&I : 1,729.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.21800 ---------------------------------------------------------------- 0 0031625791 MORTGAGORS: MOYAL GAL MOYAL EFRAT REGION CODE ADDRESS : 1101 ANDREA DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95117 MORTGAGE AMOUNT : 279,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,807.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,022.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 67.22800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,392,500.00 P & I AMT: 9,742.79 UPB AMT: 1,391,466.69 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 85 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031625825 MORTGAGORS: DICORPO JEFFREY ARROYO ADEYMA REGION CODE ADDRESS : 2705 DEBBIE COURT 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 451,950.00 OPTION TO CONVERT : UNPAID BALANCE : 451,622.89 ANNUAL RATE ADJUST: MONTHLY P&I : 3,198.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99800 ---------------------------------------------------------------- 0 0031625841 MORTGAGORS: CONDY MICHAEL CONDY THERESE REGION CODE ADDRESS : 4831 CORSO CIRCLE 01 CITY : CYPRESS STATE/ZIP : CA 90630 MORTGAGE AMOUNT : 290,400.00 OPTION TO CONVERT : UNPAID BALANCE : 287,572.45 ANNUAL RATE ADJUST: MONTHLY P&I : 1,956.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031625908 MORTGAGORS: HAWBLITZEL MARK KELLER MARGARET REGION CODE ADDRESS : 11180 NEGLEY AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92131 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,790.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,703.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031626179 MORTGAGORS: BRIDGES TIMOTHY BRIDGES MICHELLE REGION CODE ADDRESS : 23371 CAMFORD PLACE 01 CITY : VALENCIA AREA LOS ANGELES STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,726.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,486.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.22600 ---------------------------------------------------------------- 0 0031626351 MORTGAGORS: PHILLIPS CLAUDIA PHILLIPS KENNETH REGION CODE ADDRESS : 2227 KERNWOOD AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90025 MORTGAGE AMOUNT : 467,200.00 OPTION TO CONVERT : UNPAID BALANCE : 466,861.86 ANNUAL RATE ADJUST: MONTHLY P&I : 3,306.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,825,550.00 P & I AMT: 12,651.77 UPB AMT: 1,821,573.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 86 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031626377 MORTGAGORS: MORANGE THEODORE MORANGE BLANQUITA REGION CODE ADDRESS : 13201 SILVER SADDLE LANE 01 CITY : POWAY STATE/ZIP : CA 92064 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,761.40 ANNUAL RATE ADJUST: MONTHLY P&I : 1,865.68 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031626385 MORTGAGORS: LOEB BERNARD REGION CODE ADDRESS : 22440 FRIAR STREET 01 CITY : WOODLAND HILLS AREA LOS A STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,792.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,957.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.79400 ---------------------------------------------------------------- 0 0031626393 MORTGAGORS: WILD TIMOTHY REGION CODE ADDRESS : 2316 RONDA VISTA DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90027 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 351,475.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,461.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 82.82300 ---------------------------------------------------------------- 0 0031626419 MORTGAGORS: BRETON MANUEL BRETON ELISA REGION CODE ADDRESS : 11302 FOSTER ROAD 01 CITY : LOS ALAMITOS STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 439,681.54 ANNUAL RATE ADJUST: MONTHLY P&I : 3,114.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.33300 ---------------------------------------------------------------- 0 0031626898 MORTGAGORS: ARENA ROBERT REGION CODE ADDRESS : 13354 TERRAZA PLAYA CANCUN 01 CITY : SAN DIEGO STATE/ZIP : CA 92124 MORTGAGE AMOUNT : 348,500.00 OPTION TO CONVERT : UNPAID BALANCE : 348,228.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,377.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.35800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,704,500.00 P & I AMT: 11,776.39 UPB AMT: 1,702,939.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 87 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031626922 MORTGAGORS: CHIDAMBARAM CHOKKALINGAM CHIDAMBARAM VISALAKSHI REGION CODE ADDRESS : 33883 JULIET CIRCLE 01 CITY : FREMONT STATE/ZIP : CA 94555 MORTGAGE AMOUNT : 251,750.00 OPTION TO CONVERT : UNPAID BALANCE : 251,384.42 ANNUAL RATE ADJUST: MONTHLY P&I : 1,781.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031627169 MORTGAGORS: CAIRNS NICHOLAS CAIRNS BELINDA REGION CODE ADDRESS : 1229 PALOMA AVENUE 01 CITY : BURLINGAME STATE/ZIP : CA 94010 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 338,744.95 ANNUAL RATE ADJUST: MONTHLY P&I : 2,377.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031627482 MORTGAGORS: BOLDT JOSEPH BOLDT MICHELLE REGION CODE ADDRESS : 229 E. WATMAUGH ROAD 01 CITY : SONOMA STATE/ZIP : CA 95476 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,763.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,916.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.80500 ---------------------------------------------------------------- 0 0031627557 MORTGAGORS: TIPPETT MARK REGION CODE ADDRESS : 6477 FRAMPTON CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,740.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,189.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 54.12100 ---------------------------------------------------------------- 0 0031627664 MORTGAGORS: CHAO HELEN ATWOOD THOMAS REGION CODE ADDRESS : 1596 BERENDA 01 CITY : EL CAJON STATE/ZIP : CA 92020 MORTGAGE AMOUNT : 265,900.00 OPTION TO CONVERT : UNPAID BALANCE : 265,318.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 94.99800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,470,650.00 P & I AMT: 10,146.88 UPB AMT: 1,467,952.38 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 88 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031627672 MORTGAGORS: MOHAMED SALIH REGION CODE ADDRESS : 3342 HOSTETTER ROAD 01 CITY : SAN JOSE STATE/ZIP : CA 95132 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,620.26 ANNUAL RATE ADJUST: MONTHLY P&I : 1,993.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.99100 ---------------------------------------------------------------- 0 0031627680 MORTGAGORS: SMITH FORREST SMITH CAROL REGION CODE ADDRESS : 2320 GUERNEVILLE ROAD 01 CITY : SANTA ROSA STATE/ZIP : CA 95403 MORTGAGE AMOUNT : 253,650.00 OPTION TO CONVERT : UNPAID BALANCE : 253,253.06 ANNUAL RATE ADJUST: MONTHLY P&I : 1,730.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031628100 MORTGAGORS: LIZARRAGA PHILLIPPE LIZARRAGA DENISE REGION CODE ADDRESS : 1334 EMERAUDE GLEN 01 CITY : ESCONDIDO STATE/ZIP : CA 92029 MORTGAGE AMOUNT : 378,200.00 OPTION TO CONVERT : UNPAID BALANCE : 374,914.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,612.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.89100 ---------------------------------------------------------------- 0 0031628159 MORTGAGORS: BESTE ROBERT HILL CARLEEN REGION CODE ADDRESS : 249 26TH STREET 01 CITY : HERMOSA BEACH STATE/ZIP : CA 90254 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,290.46 ANNUAL RATE ADJUST: MONTHLY P&I : 1,980.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.40000 ---------------------------------------------------------------- 0 0031628167 MORTGAGORS: MCFERRAN SCOTT MCFERRAN SUELLEN REGION CODE ADDRESS : 501 KRISTEN COURT 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 341,200.00 OPTION TO CONVERT : UNPAID BALANCE : 340,691.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,385.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.72100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,542,050.00 P & I AMT: 10,702.88 UPB AMT: 1,536,769.86 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 89 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031628191 MORTGAGORS: WAGENER HANS REGION CODE ADDRESS : 4544 MARTSON DRIVE 01 CITY : (ENCINO AREA)LOS ANGELES STATE/ZIP : CA 91316 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,790.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,899.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 52.38000 ---------------------------------------------------------------- 0 0031628266 MORTGAGORS: FERRIS BARRY FERRIS BONNIE REGION CODE ADDRESS : 850 LAURENT STREET 01 CITY : SANTA CRUZ STATE/ZIP : CA 95060 MORTGAGE AMOUNT : 357,000.00 OPTION TO CONVERT : UNPAID BALANCE : 356,728.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,465.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 58.04800 ---------------------------------------------------------------- 0 0031629157 MORTGAGORS: KEMBLE JOHN KEMBLE LUANN REGION CODE ADDRESS : 881 TALBOT DRIVE 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 242,350.00 OPTION TO CONVERT : UNPAID BALANCE : 241,931.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,571.88 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 94.98600 ---------------------------------------------------------------- 0 0031629199 MORTGAGORS: MAGSALIN RAYMUND EVORA MARIA REGION CODE ADDRESS : 32781 SOUTH BELAMI LOOP 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 286,600.00 OPTION TO CONVERT : UNPAID BALANCE : 286,173.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,003.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031630171 MORTGAGORS: RODRIGUEZ HORACIO RODRIGUEZ MARIA REGION CODE ADDRESS : 2313 LEGGETT LANE 01 CITY : FULLERTON STATE/ZIP : CA 92833 MORTGAGE AMOUNT : 282,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,785.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,947.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 86.76900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,442,950.00 P & I AMT: 9,888.61 UPB AMT: 1,441,409.28 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 90 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031630353 MORTGAGORS: RHEUBAN STEVEN RHEUBAN MARJORIE REGION CODE ADDRESS : 5942 VISTA DE LA LUZ 01 CITY : WOODLAND HILLS (AREA) STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,714.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,590.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031630478 MORTGAGORS: SABBARA RAMZY REGION CODE ADDRESS : 3917 CIELO PLACE 01 CITY : FULLERTON STATE/ZIP : CA 92835 MORTGAGE AMOUNT : 255,200.00 OPTION TO CONVERT : UNPAID BALANCE : 254,995.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,719.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031630619 MORTGAGORS: JANZEN NAOMI REGION CODE ADDRESS : 3515 MOUNTAIN VIEW AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 459,667.07 ANNUAL RATE ADJUST: MONTHLY P&I : 3,255.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 83.63600 ---------------------------------------------------------------- 0 0031631187 MORTGAGORS: WATLINGTON THOMAS WATLINGTON PATRICIA REGION CODE ADDRESS : 5234 ALZEDA DRIVE 01 CITY : LA MESA STATE/ZIP : CA 91941 MORTGAGE AMOUNT : 358,500.00 OPTION TO CONVERT : UNPAID BALANCE : 357,664.34 ANNUAL RATE ADJUST: MONTHLY P&I : 2,506.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.70000 ---------------------------------------------------------------- 0 0031631203 MORTGAGORS: STEPHENS TIMOTHY STEPHENS SUZANNE REGION CODE ADDRESS : 5955 WILDFLOWER DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 366,550.00 OPTION TO CONVERT : UNPAID BALANCE : 365,989.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,626.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.99000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,815,250.00 P & I AMT: 12,697.91 UPB AMT: 1,813,031.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 91 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031631286 MORTGAGORS: WILSON TONI REGION CODE ADDRESS : 113 TANAGER COURT 01 CITY : BRISBANE STATE/ZIP : CA 94005 MORTGAGE AMOUNT : 299,200.00 OPTION TO CONVERT : UNPAID BALANCE : 298,512.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.98700 ---------------------------------------------------------------- 0 0031631302 MORTGAGORS: ISAACSON DONALD REGION CODE ADDRESS : 220 EAST LOMOND STREET 01 CITY : BOULDER CREEK STATE/ZIP : CA 95006 MORTGAGE AMOUNT : 239,600.00 OPTION TO CONVERT : UNPAID BALANCE : 239,413.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,634.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031631336 MORTGAGORS: HARDY ROBERT DE PONTEE FREDERICK REGION CODE ADDRESS : 2052 SALT AIR DRIVE 01 CITY : SANTA ANA STATE/ZIP : CA 92706 MORTGAGE AMOUNT : 485,000.00 OPTION TO CONVERT : UNPAID BALANCE : 484,666.22 ANNUAL RATE ADJUST: MONTHLY P&I : 3,516.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 74.04500 ---------------------------------------------------------------- 0 0031631351 MORTGAGORS: CHEUNG LI-FUNG LEUNG ELIZABETH REGION CODE ADDRESS : 18651 AMBROSE LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 343,800.00 OPTION TO CONVERT : UNPAID BALANCE : 343,288.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,403.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.58500 ---------------------------------------------------------------- 0 0031631369 MORTGAGORS: CERRUTI RICHARD CERRUTI CHARLOTTE REGION CODE ADDRESS : 31611 PASEO RITA 01 CITY : SAN JUAN CAPISTRANO STATE/ZIP : CA 92675 MORTGAGE AMOUNT : 385,000.00 OPTION TO CONVERT : UNPAID BALANCE : 384,397.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,626.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 43.82900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,752,600.00 P & I AMT: 12,247.86 UPB AMT: 1,750,277.73 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 92 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031631377 MORTGAGORS: SHEN BETTY SHEN NANCY REGION CODE ADDRESS : 1113 THE DALLES AVENUE 01 CITY : SUNNYVALE STATE/ZIP : CA 94087 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 438,964.02 ANNUAL RATE ADJUST: MONTHLY P&I : 3,001.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031631385 MORTGAGORS: LOUIE ART YEE SHIRLEY REGION CODE ADDRESS : 370 GARDENIA DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 353,200.00 OPTION TO CONVERT : UNPAID BALANCE : 352,660.83 ANNUAL RATE ADJUST: MONTHLY P&I : 2,439.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99700 ---------------------------------------------------------------- 0 0031631401 MORTGAGORS: PHAM NICHOLAS PHAM YEN REGION CODE ADDRESS : 2853 RUBY VIEW 01 CITY : SAN JOSE STATE/ZIP : CA 95148 MORTGAGE AMOUNT : 342,800.00 OPTION TO CONVERT : UNPAID BALANCE : 342,276.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,367.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031631419 MORTGAGORS: COHEN BRETT COHEN RACHELLE REGION CODE ADDRESS : 514 KRISTEN COURT 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 272,750.00 OPTION TO CONVERT : UNPAID BALANCE : 272,333.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,883.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98760 ---------------------------------------------------------------- 0 0031631427 MORTGAGORS: MANSFIELD LARRY MANSFIELD LINDA REGION CODE ADDRESS : 16780 OAK BURL DRIVE 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,789.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,906.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,684,750.00 P & I AMT: 11,598.77 UPB AMT: 1,682,025.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 93 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031631443 MORTGAGORS: RUNNALLS GREG RUNNALLS DONNA REGION CODE ADDRESS : 115 BALTUSROL DRIVE 01 CITY : APTOS STATE/ZIP : CA 95003 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,775.53 ANNUAL RATE ADJUST: MONTHLY P&I : 2,037.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.57500 ---------------------------------------------------------------- 0 0031631633 MORTGAGORS: BRYNE JASON SELLMEYER CHRISTINA REGION CODE ADDRESS : 16533 KINGSBURY STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 91344 MORTGAGE AMOUNT : 156,000.00 OPTION TO CONVERT : UNPAID BALANCE : 155,878.31 ANNUAL RATE ADJUST: MONTHLY P&I : 1,064.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031632060 MORTGAGORS: BENNETT JAMES REGION CODE ADDRESS : 5565 BLUE RIDGE DRIVE 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,050.34 ANNUAL RATE ADJUST: MONTHLY P&I : 2,387.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 53.84600 ---------------------------------------------------------------- 0 0031632102 MORTGAGORS: WILSON PATRICK WILSON SUSAN REGION CODE ADDRESS : 2514 NORTH COTTAGE DRIVE 01 CITY : ORANGE STATE/ZIP : CA 92867 MORTGAGE AMOUNT : 332,300.00 OPTION TO CONVERT : UNPAID BALANCE : 331,792.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,295.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.87900 ---------------------------------------------------------------- 0 0031632110 MORTGAGORS: ZEIDMAN SCOTT ZEIDMAN AILEEN REGION CODE ADDRESS : 10769 WHITBURN STREET 01 CITY : CULVER CITY STATE/ZIP : CA 90230 MORTGAGE AMOUNT : 255,500.00 OPTION TO CONVERT : UNPAID BALANCE : 254,043.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,742.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,388,800.00 P & I AMT: 9,527.37 UPB AMT: 1,385,540.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 94 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031632128 MORTGAGORS: MELAMED ROBERT MELAMED DALIA REGION CODE ADDRESS : 10583 EASTBORNE AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90024 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,542.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 62.82700 ---------------------------------------------------------------- 0 0031632151 MORTGAGORS: GOLDSBY MALCOLM GOLDSBY MARIBETH REGION CODE ADDRESS : 18931 SANTA CATHERINE STREET 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 236,700.00 OPTION TO CONVERT : UNPAID BALANCE : 236,356.23 ANNUAL RATE ADJUST: MONTHLY P&I : 1,675.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031632359 MORTGAGORS: HO SIU YIU LANA YUEN REGION CODE ADDRESS : 1907 FUMIA PLACE 01 CITY : SAN JOSE STATE/ZIP : CA 95131 MORTGAGE AMOUNT : 337,450.00 OPTION TO CONVERT : UNPAID BALANCE : 337,211.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,417.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0031632391 MORTGAGORS: POLSON EDWARD POLSON JANE REGION CODE ADDRESS : 447 EWING DRIVE 01 CITY : PLEASANTON STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 273,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,572.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031632557 MORTGAGORS: TYLER DAVID REGION CODE ADDRESS : 30646 SADDLEBACK ROAD 01 CITY : VALLEY CENTER AREA STATE/ZIP : CA 92082 MORTGAGE AMOUNT : 263,200.00 OPTION TO CONVERT : UNPAID BALANCE : 263,009.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,410,350.00 P & I AMT: 9,890.18 UPB AMT: 1,408,692.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 95 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031632581 MORTGAGORS: ERLIN MICHAEL ERLIN LEE REGION CODE ADDRESS : 7630 EAST SANTIAGO CANYON ROAD 01 CITY : ORANGE STATE/ZIP : CA 92869 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 359,726.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,486.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.78900 ---------------------------------------------------------------- 0 0031632649 MORTGAGORS: RIVERA JOSE RIVERA LOURDES REGION CODE ADDRESS : 1304 SOUTH WILLOW BUD DRIVE 01 CITY : DIAMOND BAR STATE/ZIP : CA 91789 MORTGAGE AMOUNT : 247,600.00 OPTION TO CONVERT : UNPAID BALANCE : 247,402.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,668.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.82300 ---------------------------------------------------------------- 0 0031632722 MORTGAGORS: PARISE JOSEPH REGION CODE ADDRESS : 11 LIMOGES 01 CITY : NEWPORT COAST AREA STATE/ZIP : CA 92657 MORTGAGE AMOUNT : 427,500.00 OPTION TO CONVERT : UNPAID BALANCE : 427,174.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,952.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031632755 MORTGAGORS: ZHONG BIN ZHONG HUALIN REGION CODE ADDRESS : 3658 LANG RANCH PARKWAY 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 302,360.00 OPTION TO CONVERT : UNPAID BALANCE : 302,124.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,062.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031632789 MORTGAGORS: GUTH JEFFREY PROCTOR FRANK REGION CODE ADDRESS : 81 ARGONNE AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,808.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,601,460.00 P & I AMT: 11,038.41 UPB AMT: 1,600,235.82 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 96 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031632797 MORTGAGORS: TOY NANCY REGION CODE ADDRESS : 3824 MAINSAIL CIRCLE 01 CITY : WESTLAKE VILLAGE STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 404,000.00 OPTION TO CONVERT : UNPAID BALANCE : 403,707.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,859.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.69200 ---------------------------------------------------------------- 0 0031632805 MORTGAGORS: SAADAT FARID REGION CODE ADDRESS : 23829 VIA SEGOVIA 01 CITY : MURRIETA STATE/ZIP : CA 92562 MORTGAGE AMOUNT : 254,250.00 OPTION TO CONVERT : UNPAID BALANCE : 254,061.31 ANNUAL RATE ADJUST: MONTHLY P&I : 1,777.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.77900 ---------------------------------------------------------------- 0 0031632813 MORTGAGORS: BROWN THOMAS BROWN CAROLYN REGION CODE ADDRESS : 11732 BETLEN DRIVE 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 306,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,772.90 ANNUAL RATE ADJUST: MONTHLY P&I : 2,139.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 88.95300 ---------------------------------------------------------------- 0 0031632821 MORTGAGORS: TORRI NELLO TORRI KATE REGION CODE ADDRESS : 10608 ROUNTREE ROAD 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 341,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,740.53 ANNUAL RATE ADJUST: MONTHLY P&I : 2,355.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.50000 ---------------------------------------------------------------- 0 0031632912 MORTGAGORS: WILSON CHRISTOPHER WILSON ALICIA REGION CODE ADDRESS : 4224 HUNT CLUB LANE 01 CITY : WESTLAKE VILLAGE STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 492,000.00 OPTION TO CONVERT : UNPAID BALANCE : 491,625.63 ANNUAL RATE ADJUST: MONTHLY P&I : 3,398.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,797,250.00 P & I AMT: 12,530.16 UPB AMT: 1,795,907.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 97 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031632938 MORTGAGORS: LILE DELMAR LILE MONICA REGION CODE ADDRESS : 1250 CANEDO PLACE 01 CITY : PASADENA STATE/ZIP : CA 91105 MORTGAGE AMOUNT : 260,850.00 OPTION TO CONVERT : UNPAID BALANCE : 260,636.18 ANNUAL RATE ADJUST: MONTHLY P&I : 1,735.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.16900 ---------------------------------------------------------------- 0 0031632946 MORTGAGORS: SEDLACHEK MICHAEL SEDLACHEK DEBORAH REGION CODE ADDRESS : 1524 WEST 15TH STREET 01 CITY : LOS ANGELES (SAN PEDRO AR STATE/ZIP : CA 90732 MORTGAGE AMOUNT : 277,500.00 OPTION TO CONVERT : UNPAID BALANCE : 277,304.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,988.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 73.02600 ---------------------------------------------------------------- 0 0031632953 MORTGAGORS: DEVERE MICHAEL DEVERE DEBBIE REGION CODE ADDRESS : 5344 LINDA DRIVE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 314,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,742.62 ANNUAL RATE ADJUST: MONTHLY P&I : 2,089.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.88200 ---------------------------------------------------------------- 0 0031632961 MORTGAGORS: ADAMS ALLEN ADAMS BARBARA REGION CODE ADDRESS : 6892 MANHATTAN DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92647 MORTGAGE AMOUNT : 294,400.00 OPTION TO CONVERT : UNPAID BALANCE : 294,140.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,885.08 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031632979 MORTGAGORS: PEREIRA ADOLPH PEREIRA KAY REGION CODE ADDRESS : 15 ELDERWOOD 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 238,200.00 OPTION TO CONVERT : UNPAID BALANCE : 238,031.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,706.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.43700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,384,950.00 P & I AMT: 9,404.12 UPB AMT: 1,383,855.06 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 98 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031632995 MORTGAGORS: CROCKETT JOHN CROCKETT CARRIE REGION CODE ADDRESS : 22177 PROSPECT STREET 01 CITY : HAYWARD STATE/ZIP : CA 94541 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,788.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.87100 ---------------------------------------------------------------- 0 0031633019 MORTGAGORS: UYTHOVEN GREGORY UYTHOVEN DEENA REGION CODE ADDRESS : 23212 SAVORY PLACE 01 CITY : VALENCIA AREA STATE/ZIP : CA 91354 MORTGAGE AMOUNT : 278,500.00 OPTION TO CONVERT : UNPAID BALANCE : 278,298.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,971.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.45000 ---------------------------------------------------------------- 0 0031633050 MORTGAGORS: SCANLON JOHN TREAT RICHARD REGION CODE ADDRESS : 385 FLINT AVE 01 CITY : LONG BEACH STATE/ZIP : CA 90814 MORTGAGE AMOUNT : 401,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,709.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,838.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.40500 ---------------------------------------------------------------- 0 0031633126 MORTGAGORS: MILLER DALE REGION CODE ADDRESS : 125 6TH STREET 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 434,000.00 OPTION TO CONVERT : UNPAID BALANCE : 433,669.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,997.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 45.68400 ---------------------------------------------------------------- 0 0031633159 MORTGAGORS: SMITH BRETT SMITH TAMI REGION CODE ADDRESS : 15 FAIRLANE ROAD 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 343,700.00 OPTION TO CONVERT : UNPAID BALANCE : 343,438.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,373.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 71.60400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,749,200.00 P & I AMT: 12,247.60 UPB AMT: 1,747,905.09 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 99 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031633191 MORTGAGORS: SARANTOPOULOS PANAYIOTIS SARANTOPOULOS HELEN REGION CODE ADDRESS : 20602 EAST PEACH BLOSSOM ROAD 01 CITY : WALNUT STATE/ZIP : CA 91789 MORTGAGE AMOUNT : 297,600.00 OPTION TO CONVERT : UNPAID BALANCE : 297,384.60 ANNUAL RATE ADJUST: MONTHLY P&I : 2,106.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031633456 MORTGAGORS: MULMAT DAVID MULMAT DARLANNE REGION CODE ADDRESS : 4587 TARANTELLA LANE 01 CITY : SAN DIEGO STATE/ZIP : CA 92130 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,426.36 ANNUAL RATE ADJUST: MONTHLY P&I : 2,693.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031633472 MORTGAGORS: WELLS NEIL WELLS LORI REGION CODE ADDRESS : 9122 ALOHA DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 257,813.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,826.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 84.59000 ---------------------------------------------------------------- 0 0031633480 MORTGAGORS: STARLER BARBARA REGION CODE ADDRESS : 18527 BRASILIA DRIVE 01 CITY : NORTHRIDGE AREA LOS ANGEL STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,804.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,845.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031633506 MORTGAGORS: CLARK JAMES CLARK CHARLOTTE REGION CODE ADDRESS : 24661 VIA MELINDA 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,820.50 ANNUAL RATE ADJUST: MONTHLY P&I : 1,755.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.73000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,443,600.00 P & I AMT: 10,227.48 UPB AMT: 1,442,248.80 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 100 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031633514 MORTGAGORS: BELLICINI STEPHEN BELLICINI CHRISTIANA REGION CODE ADDRESS : 25593 CRESTFIELD CIRCLE 01 CITY : CASTRO VALLEY STATE/ZIP : CA 94552 MORTGAGE AMOUNT : 385,050.00 OPTION TO CONVERT : UNPAID BALANCE : 384,726.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,529.51 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 86.52800 ---------------------------------------------------------------- 0 0031633571 MORTGAGORS: DANIELS PAMELA REGION CODE ADDRESS : 211 WEST 19TH STREET #3 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,754.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,148.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031633605 MORTGAGORS: MONTALBAN MARK ZACHARY STEPHANIE REGION CODE ADDRESS : 13641 CHANDLER BOULEVARD 01 CITY : VAN NUYS STATE/ZIP : CA 91401 MORTGAGE AMOUNT : 238,500.00 OPTION TO CONVERT : UNPAID BALANCE : 238,327.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,688.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.50000 ---------------------------------------------------------------- 0 0031633688 MORTGAGORS: GOODMAN KENNETH GOODMAN JOAN REGION CODE ADDRESS : 4950 EAST CRESCENT DRIVE 01 CITY : ANAHEIM STATE/ZIP : CA 92807 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,808.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 35.74400 ---------------------------------------------------------------- 0 0031633712 MORTGAGORS: ROSITANO WAYNE ROSITANO MARCELLA REGION CODE ADDRESS : 23 DROVER COURT 01 CITY : TRABUCO CANYON AREA ORANG STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 241,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,816.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,664.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 73.03000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,431,550.00 P & I AMT: 9,771.49 UPB AMT: 1,430,433.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 101 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031633720 MORTGAGORS: DONLEY WILLIAM DONLEY KELLY REGION CODE ADDRESS : 1361 NORTHSTAR LANE 01 CITY : UPLAND STATE/ZIP : CA 91784 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,691.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,062.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/23 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.66600 ---------------------------------------------------------------- 0 0031633746 MORTGAGORS: NAIMAN GREGORY NAIMAN DEBORAH REGION CODE ADDRESS : 5301 EAST BROADWAY 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 404,000.00 OPTION TO CONVERT : UNPAID BALANCE : 403,660.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,653.99 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031633753 MORTGAGORS: SNYDER SETH SNYDER SUZANNE REGION CODE ADDRESS : 22936 DOLOROSA STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 287,500.00 OPTION TO CONVERT : UNPAID BALANCE : 287,291.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,034.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.65700 ---------------------------------------------------------------- 0 0031633761 MORTGAGORS: TRAN HENRI DOAN CHRISTINE REGION CODE ADDRESS : 10 AVANCE LANE 01 CITY : FOOTHILL RANCH AREA STATE/ZIP : CA 92610 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,790.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,696.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 77.27200 ---------------------------------------------------------------- 0 0031633787 MORTGAGORS: FREEDMAN ANDREW MCVEIGH KAREN REGION CODE ADDRESS : 8716 SUNSET PLAZA TERRACE 01 CITY : LOS ANGELES STATE/ZIP : CA 90069 MORTGAGE AMOUNT : 479,200.00 OPTION TO CONVERT : UNPAID BALANCE : 478,835.36 ANNUAL RATE ADJUST: MONTHLY P&I : 3,309.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,701,700.00 P & I AMT: 11,757.25 UPB AMT: 1,700,270.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 102 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031633795 MORTGAGORS: HAUPTMANN RICHARD HAUPTMANN BEATRIX REGION CODE ADDRESS : 8378 EAST QUIET CANYON COURT 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,811.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,847.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 94.22382 ---------------------------------------------------------------- 0 0031633878 MORTGAGORS: RUTH EILEEN RUTH J REGION CODE ADDRESS : 5949 WILDFLOWER DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95123 MORTGAGE AMOUNT : 362,200.00 OPTION TO CONVERT : UNPAID BALANCE : 361,660.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,532.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99100 ---------------------------------------------------------------- 0 0031633894 MORTGAGORS: DODD KENNETH DODD CYNTHIA REGION CODE ADDRESS : 19112 MARTHA AVENUE 01 CITY : CERRITOS STATE/ZIP : CA 90703 MORTGAGE AMOUNT : 250,300.00 OPTION TO CONVERT : UNPAID BALANCE : 249,927.31 ANNUAL RATE ADJUST: MONTHLY P&I : 1,750.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.99000 ---------------------------------------------------------------- 0 0031633902 MORTGAGORS: COCHRANE THOMAS COCHRANE STACEY REGION CODE ADDRESS : 4845 LINARO DRIVE 01 CITY : CYPRESS STATE/ZIP : CA 90630 MORTGAGE AMOUNT : 290,400.00 OPTION TO CONVERT : UNPAID BALANCE : 289,945.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,981.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031633944 MORTGAGORS: ECKLES KATHARINE ROMERO JAVIER REGION CODE ADDRESS : 1713 LOBELIA LANE 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,581.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,038.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,451,900.00 P & I AMT: 10,149.54 UPB AMT: 1,449,926.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 103 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031633951 MORTGAGORS: TAN MANUEL KONOHANA CHIKAKO REGION CODE ADDRESS : 48840 SAUVIGNON COURT 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,580.21 ANNUAL RATE ADJUST: MONTHLY P&I : 1,899.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.13400 ---------------------------------------------------------------- 0 0031633985 MORTGAGORS: SANCHEZ LEO SANCHEZ LUZ REGION CODE ADDRESS : 7500 ALVERSTONE AVE 01 CITY : WESTCHESTER STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,589.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,705.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 61.72800 ---------------------------------------------------------------- 0 0031633993 MORTGAGORS: CHAN BOR CHAN HOR-MAY REGION CODE ADDRESS : 540 LOWER VINTNERS CIRCLE 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 454,800.00 OPTION TO CONVERT : UNPAID BALANCE : 454,122.83 ANNUAL RATE ADJUST: MONTHLY P&I : 3,180.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.37172 ---------------------------------------------------------------- 0 0031635097 MORTGAGORS: HOOKE ADRIAN MCKENZIE MERLE REGION CODE ADDRESS : 29660 ZUMA BAY WAY 01 CITY : MALIBU STATE/ZIP : CA 90265 MORTGAGE AMOUNT : 305,600.00 OPTION TO CONVERT : UNPAID BALANCE : 305,384.31 ANNUAL RATE ADJUST: MONTHLY P&I : 2,189.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031635113 MORTGAGORS: MACKWOOD GARY MACKWOOD SOPHIA REGION CODE ADDRESS : 8960 CHESTNUT ROAN WAY 01 CITY : SAN DIEGO STATE/ZIP : CA 91901 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,522.40 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,533,400.00 P & I AMT: 10,687.08 UPB AMT: 1,531,198.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 104 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031635121 MORTGAGORS: VILLA JOHN VILLA SONIA REGION CODE ADDRESS : 9062 BOBBIE CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 291,100.00 OPTION TO CONVERT : UNPAID BALANCE : 290,872.91 ANNUAL RATE ADJUST: MONTHLY P&I : 1,985.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.75300 ---------------------------------------------------------------- 0 0031635303 MORTGAGORS: STOWE MARTIN STOWE MARY REGION CODE ADDRESS : 3550 SITIO BAYA 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 335,750.00 OPTION TO CONVERT : UNPAID BALANCE : 335,494.52 ANNUAL RATE ADJUST: MONTHLY P&I : 2,318.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031635824 MORTGAGORS: FERRO RAFAEL FERRO MARIA REGION CODE ADDRESS : 3954 FREEDOM BOULEVARD 01 CITY : APTOS STATE/ZIP : CA 95003 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,802.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031636210 MORTGAGORS: NELSON BYRON NELSON LYNN REGION CODE ADDRESS : 2517 PACIFIC AVENUE 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,610.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,761.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 42.50000 ---------------------------------------------------------------- 0 0031636228 MORTGAGORS: HOGLUND MARK REGION CODE ADDRESS : 618 SAINT JAMES PLACE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 397,000.00 OPTION TO CONVERT : UNPAID BALANCE : 395,708.63 ANNUAL RATE ADJUST: MONTHLY P&I : 2,674.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 52.93300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,538,850.00 P & I AMT: 10,536.42 UPB AMT: 1,536,488.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 105 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031636343 MORTGAGORS: BAYLESS GERALD BAYLESS MARY REGION CODE ADDRESS : 24776 CABRILLO STREET 01 CITY : CARMEL STATE/ZIP : CA 93923 MORTGAGE AMOUNT : 266,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,807.48 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 65.67900 ---------------------------------------------------------------- 0 0031636368 MORTGAGORS: SHIFFMAN ROGER MALMO JOANNE REGION CODE ADDRESS : 24653 UPPER TRAIL 01 CITY : CARMEL STATE/ZIP : CA 93923 MORTGAGE AMOUNT : 364,000.00 OPTION TO CONVERT : UNPAID BALANCE : 363,723.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,514.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 63.85900 ---------------------------------------------------------------- 0 0031636426 MORTGAGORS: PETERSON JAMES PETERSON ANDREA REGION CODE ADDRESS : 84 BUNCE MEADOWS DRIVE 01 CITY : ALAMO STATE/ZIP : CA 94507 MORTGAGE AMOUNT : 388,500.00 OPTION TO CONVERT : UNPAID BALANCE : 388,218.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,749.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.00000 ---------------------------------------------------------------- 0 0031636434 MORTGAGORS: DOVER JAMES DOVER M REGION CODE ADDRESS : 458 SWAN DRIVE 01 CITY : BODEGA BAY STATE/ZIP : CA 94923 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,781.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,910.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.87300 ---------------------------------------------------------------- 0 0031636442 MORTGAGORS: HALL JAY REGION CODE ADDRESS : 3241 PIEDRA LANE 01 CITY : SANTA ROSA STATE/ZIP : CA 95409 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,794.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,864.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,568,500.00 P & I AMT: 10,921.50 UPB AMT: 1,567,325.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 106 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031636467 MORTGAGORS: FISSEL MARK FISSEL JILL REGION CODE ADDRESS : 3726 DEER TRAIL COURT 01 CITY : DANVILLE STATE/ZIP : CA 94506 MORTGAGE AMOUNT : 505,000.00 OPTION TO CONVERT : UNPAID BALANCE : 504,625.21 ANNUAL RATE ADJUST: MONTHLY P&I : 3,531.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.69200 ---------------------------------------------------------------- 0 0031638893 MORTGAGORS: SUTHERLAND KEITH SUTHERLAND VICKY REGION CODE ADDRESS : 3023 ARAPAHO STREET 01 CITY : NORCO STATE/ZIP : CA 91760 MORTGAGE AMOUNT : 232,000.00 OPTION TO CONVERT : UNPAID BALANCE : 231,819.02 ANNUAL RATE ADJUST: MONTHLY P&I : 1,582.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031639032 MORTGAGORS: PALEY ROBERT REGION CODE ADDRESS : 749 HOLBERTSON COURT 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 262,000.00 OPTION TO CONVERT : UNPAID BALANCE : 261,805.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,831.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.74400 ---------------------------------------------------------------- 0 0031639149 MORTGAGORS: BISHARA MAGED REGION CODE ADDRESS : 4761 VIA ALAMEDA 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 235,824.85 ANNUAL RATE ADJUST: MONTHLY P&I : 1,650.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031639172 MORTGAGORS: YORK ROBERT REGION CODE ADDRESS : 6 DOVE STREET 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 253,801.85 ANNUAL RATE ADJUST: MONTHLY P&I : 1,732.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.73300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,489,000.00 P & I AMT: 10,328.52 UPB AMT: 1,487,876.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 107 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031639255 MORTGAGORS: FURNIVAL RONALD FURNIVAL JULIE REGION CODE ADDRESS : 10164 MARCHANT AVENUE 01 CITY : TUSTIN STATE/ZIP : CA 92782 MORTGAGE AMOUNT : 172,000.00 OPTION TO CONVERT : UNPAID BALANCE : 171,872.35 ANNUAL RATE ADJUST: MONTHLY P&I : 1,202.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031639263 MORTGAGORS: FAIRNEY MARK FAIRNEY JACQUELINE REGION CODE ADDRESS : 6832 HALIFAX DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92647 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,827.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,684.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 68.00000 ---------------------------------------------------------------- 0 0031639297 MORTGAGORS: WATKINSON THOMAS WATKINSON JOANNE REGION CODE ADDRESS : 18682 JOCKEY CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 409,000.00 OPTION TO CONVERT : UNPAID BALANCE : 408,703.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,894.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 51.12500 ---------------------------------------------------------------- 0 0031639305 MORTGAGORS: HATANIAN MOUSA AKHLAGHI SOHEILA REGION CODE ADDRESS : 333 SOUTH WETHERLY DRIVE 01 CITY : BEVERLY HILLS STATE/ZIP : CA 90211 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,779.79 ANNUAL RATE ADJUST: MONTHLY P&I : 2,235.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 36.70500 ---------------------------------------------------------------- 0 0031639321 MORTGAGORS: EASTWOOD DAMIEN EASTWOOD KAREN REGION CODE ADDRESS : 1423 BALBOA AVENUE 01 CITY : BURLINGAME STATE/ZIP : CA 94010 MORTGAGE AMOUNT : 405,000.00 OPTION TO CONVERT : UNPAID BALANCE : 404,684.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.12700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,536,000.00 P & I AMT: 10,780.11 UPB AMT: 1,534,867.92 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 108 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031639339 MORTGAGORS: MORROW BRIAN REGION CODE ADDRESS : 182 MIDLAND WAY 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,780.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,069.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.47600 ---------------------------------------------------------------- 0 0031639347 MORTGAGORS: MELVILLE ARTHUR UTAIN MARSHA REGION CODE ADDRESS : 5511 EAST SEASIDE WALK 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 570,000.00 OPTION TO CONVERT : UNPAID BALANCE : 569,547.38 ANNUAL RATE ADJUST: MONTHLY P&I : 4,083.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 64.77200 ---------------------------------------------------------------- 0 0031639354 MORTGAGORS: LEE EDWARD LEE SHARON REGION CODE ADDRESS : 14461 MUSCADINE 01 CITY : CHINO HILLS STATE/ZIP : CA 91709 MORTGAGE AMOUNT : 272,800.00 OPTION TO CONVERT : UNPAID BALANCE : 272,597.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,907.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031639362 MORTGAGORS: LUPERCIO ALFRED LUPERCIO LISA REGION CODE ADDRESS : 821 CLEARVIEW DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95133 MORTGAGE AMOUNT : 368,750.00 OPTION TO CONVERT : UNPAID BALANCE : 368,200.95 ANNUAL RATE ADJUST: MONTHLY P&I : 2,578.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.93900 ---------------------------------------------------------------- 0 0031639396 MORTGAGORS: FELL LAWRENCE DOWNING BETTY REGION CODE ADDRESS : 3765 MYRTLE AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90807 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,750.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,102.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,819,550.00 P & I AMT: 12,741.06 UPB AMT: 1,817,876.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 109 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031639412 MORTGAGORS: MAYMON HERZEL MAYMON YEHUDIT REGION CODE ADDRESS : 3143 FOXTAIL COURT 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91360 MORTGAGE AMOUNT : 227,200.00 OPTION TO CONVERT : UNPAID BALANCE : 227,039.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,627.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 78.34400 ---------------------------------------------------------------- 0 0031639453 MORTGAGORS: CHOOLJIAN VIRGINIA CHOOLJIAN STEVEN REGION CODE ADDRESS : 395 CAMBRIDGE STREET 01 CITY : CAMBRIA STATE/ZIP : CA 93428 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,799.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.14200 ---------------------------------------------------------------- 0 0031640279 MORTGAGORS: ALSTON CHRISTOPHER REGION CODE ADDRESS : 9440 PORTO ROSA DRIVE 01 CITY : ELK GROVE STATE/ZIP : CA 95624 MORTGAGE AMOUNT : 310,400.00 OPTION TO CONVERT : UNPAID BALANCE : 310,169.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,170.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031640501 MORTGAGORS: CLARK CARTER CLARK CAROLE REGION CODE ADDRESS : 35707 BEACH ROAD 01 CITY : CAPISTRANO BEACH STATE/ZIP : CA 92624 MORTGAGE AMOUNT : 542,000.00 OPTION TO CONVERT : UNPAID BALANCE : 541,607.71 ANNUAL RATE ADJUST: MONTHLY P&I : 3,836.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 63.76400 ---------------------------------------------------------------- 0 0031640535 MORTGAGORS: HOLMES GORDON HOLMES MAUREEN REGION CODE ADDRESS : 18872 J & J LANE 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 257,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,799.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,753.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.58800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,606,600.00 P & I AMT: 11,275.37 UPB AMT: 1,605,416.13 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 110 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031641418 MORTGAGORS: YEAGER FRANK YEAGER LISA REGION CODE ADDRESS : 22670 INGOMAR STREET 01 CITY : WEST HILLS (AREA) STATE/ZIP : CA 91304 MORTGAGE AMOUNT : 207,200.00 OPTION TO CONVERT : UNPAID BALANCE : 207,042.34 ANNUAL RATE ADJUST: MONTHLY P&I : 1,431.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031641509 MORTGAGORS: BECK CHRISTOPHER BECK CHERYL REGION CODE ADDRESS : 18663 SANTA MARIANA STREET 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 355,950.00 OPTION TO CONVERT : UNPAID BALANCE : 355,672.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,428.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99056 ---------------------------------------------------------------- 0 0031641525 MORTGAGORS: GREVIN PHILIPPE GREVIN KATHERINE REGION CODE ADDRESS : 343 SOUTH ANISE STREET 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 257,400.00 OPTION TO CONVERT : UNPAID BALANCE : 257,213.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,821.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 94.98155 ---------------------------------------------------------------- 0 0031641640 MORTGAGORS: FOROUGHI ALI FOROUGHI FERESHTEH REGION CODE ADDRESS : 27772 BAHAMONDE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 290,250.00 OPTION TO CONVERT : UNPAID BALANCE : 290,023.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,980.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031641699 MORTGAGORS: MALMBERG ERIC CANEPA PATRICIA REGION CODE ADDRESS : 1866 JENNIFER DRIVE 01 CITY : APTOS STATE/ZIP : CA 95003 MORTGAGE AMOUNT : 257,600.00 OPTION TO CONVERT : UNPAID BALANCE : 257,399.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,757.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,368,400.00 P & I AMT: 9,418.47 UPB AMT: 1,367,350.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 111 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031641731 MORTGAGORS: ABELN PAUL MACIOR PATRICIA REGION CODE ADDRESS : 566 RANCHITOS DEL SOL 01 CITY : APTOS STATE/ZIP : CA 95003 MORTGAGE AMOUNT : 255,500.00 OPTION TO CONVERT : UNPAID BALANCE : 255,295.68 ANNUAL RATE ADJUST: MONTHLY P&I : 1,721.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 63.87500 ---------------------------------------------------------------- 0 0031642051 MORTGAGORS: GONZALEZ JOSE GONZALEZ SYLVIA REGION CODE ADDRESS : 332 RAYMOND AVENUE 01 CITY : GLENDALE STATE/ZIP : CA 91201 MORTGAGE AMOUNT : 160,300.00 OPTION TO CONVERT : UNPAID BALANCE : 160,178.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,107.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031642085 MORTGAGORS: ROMERO RICARDO ROMERO ANA REGION CODE ADDRESS : 238 SOUTH NORTON AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90004 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,730.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,270.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 48.14200 ---------------------------------------------------------------- 0 0031642176 MORTGAGORS: ZEIGLER RICHARD ZEIGLER TRACY REGION CODE ADDRESS : 17358 PARK CREST CIRCLE 01 CITY : CHINO HILLS STATE/ZIP : CA 91709 MORTGAGE AMOUNT : 189,000.00 OPTION TO CONVERT : UNPAID BALANCE : 188,869.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,370.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 74.40900 ---------------------------------------------------------------- 0 0031642192 MORTGAGORS: RAY CONSTANCE REGION CODE ADDRESS : 4018 DIXIE CANYON AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 91423 MORTGAGE AMOUNT : 259,300.00 OPTION TO CONVERT : UNPAID BALANCE : 259,102.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,790.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 66.48700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,201,100.00 P & I AMT: 8,260.23 UPB AMT: 1,200,176.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 112 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031642218 MORTGAGORS: STEINBACH JEFFREY STEINBACH KIMBERLY REGION CODE ADDRESS : 24120 HARTLAND ST 01 CITY : WEST HILLS STATE/ZIP : CA 91307 MORTGAGE AMOUNT : 178,000.00 OPTION TO CONVERT : UNPAID BALANCE : 177,867.90 ANNUAL RATE ADJUST: MONTHLY P&I : 1,244.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.65300 ---------------------------------------------------------------- 0 0031642242 MORTGAGORS: BEKERDJIAN HOVANES BEKERDJIAN LINDA REGION CODE ADDRESS : 11372 BRILL DRIVE 01 CITY : STUDIO CITY AREA LOS ANGE STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 382,500.00 OPTION TO CONVERT : UNPAID BALANCE : 382,223.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,707.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031642259 MORTGAGORS: SHIMOTSU STANLEY SHIMOTSU JANE REGION CODE ADDRESS : 11313 ROSE AVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,710.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,831.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 73.26000 ---------------------------------------------------------------- 0 0031642309 MORTGAGORS: ROY BIJAN ROY RITA REGION CODE ADDRESS : 10481 EL DORADO WAY 01 CITY : LOS ALAMITOS STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 367,000.00 OPTION TO CONVERT : UNPAID BALANCE : 366,734.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,597.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.78200 ---------------------------------------------------------------- 0 0031643638 MORTGAGORS: KUSHNER MALCOM GRIGER CHRISTINE REGION CODE ADDRESS : 105 LIMESTONE LANE 01 CITY : SANTA CRUZ STATE/ZIP : CA 95060 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,790.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,899.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 39.28500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,602,500.00 P & I AMT: 11,280.05 UPB AMT: 1,601,326.67 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 113 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031643661 MORTGAGORS: KRAFT TODD KRAFT LYSBETH REGION CODE ADDRESS : 110 HILLTOP WAY 01 CITY : SCOTTS VALLEY STATE/ZIP : CA 95066 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,790.94 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031644123 MORTGAGORS: SCARBROUGH DAVID REGION CODE ADDRESS : 11 PALM BEACH COURT 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,817.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.68800 ---------------------------------------------------------------- 0 0031644347 MORTGAGORS: RODGERS RODERIC REGION CODE ADDRESS : 423 CANAL STREET 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,803.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,596.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 54.54500 ---------------------------------------------------------------- 0 0031644370 MORTGAGORS: NELSON MICHAEL NELSON SUZETTE REGION CODE ADDRESS : 11940 CALLE VISTA COURT 01 CITY : NORTHRIDGE AREA STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 325,600.00 OPTION TO CONVERT : UNPAID BALANCE : 325,352.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,248.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031644412 MORTGAGORS: WISS CARL WISS KATHERINE REGION CODE ADDRESS : 1327 ODDSTAD BOULEVARD 01 CITY : PACIFICA STATE/ZIP : CA 94044 MORTGAGE AMOUNT : 265,300.00 OPTION TO CONVERT : UNPAID BALANCE : 265,107.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,877.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.02900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,338,900.00 P & I AMT: 9,209.20 UPB AMT: 1,337,871.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 114 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031644438 MORTGAGORS: LEE JONATHAN MOK TRIFFANY REGION CODE ADDRESS : 2250 ESPERANCA AVENUE 01 CITY : SANTA CLARA, STATE/ZIP : CA 95054 MORTGAGE AMOUNT : 368,900.00 OPTION TO CONVERT : UNPAID BALANCE : 368,639.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,642.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 89.98600 ---------------------------------------------------------------- 0 0031644461 MORTGAGORS: CROSBY MICHAEL BROWN MARSHA REGION CODE ADDRESS : 3635 CALIFORNIA AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90807 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,784.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,819.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.26000 ---------------------------------------------------------------- 0 0031644487 MORTGAGORS: MARRON ANTONY MARRON ALICIA REGION CODE ADDRESS : 719 PRIMROSE LANE 01 CITY : BENICIA STATE/ZIP : CA 94510 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,624.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,762.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031644545 MORTGAGORS: HURTADO ARMANDO HURTADO ANGELA REGION CODE ADDRESS : 3486 AGOSTO STREET 01 CITY : SAN DIEGO STATE/ZIP : CA 92154 MORTGAGE AMOUNT : 180,500.00 OPTION TO CONVERT : UNPAID BALANCE : 180,378.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,324.45 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031645039 MORTGAGORS: ZELLER NORMAN WOO ZELLER KIM REGION CODE ADDRESS : 1838 SUNDOWNER LANE 01 CITY : WALNUT STATE/ZIP : CA 91789 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,808.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.42800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,335,400.00 P & I AMT: 9,416.94 UPB AMT: 1,334,236.30 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 115 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031645054 MORTGAGORS: GLASS JEFFREY GLASS NADINE REGION CODE ADDRESS : 28 BARCELONA 01 CITY : IRVINE STATE/ZIP : CA 92614 MORTGAGE AMOUNT : 268,100.00 OPTION TO CONVERT : UNPAID BALANCE : 267,896.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,851.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.47200 ---------------------------------------------------------------- 0 0031645096 MORTGAGORS: PHAM HANH PHAM JULIE REGION CODE ADDRESS : 17621 RAINGLEN LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92649 MORTGAGE AMOUNT : 337,500.00 OPTION TO CONVERT : UNPAID BALANCE : 337,255.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,388.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.31200 ---------------------------------------------------------------- 0 0031645104 MORTGAGORS: GLADDEN RAYMOND GLADDEN TONIA REGION CODE ADDRESS : 8445 RHODA AVENUE 01 CITY : DUBLIN STATE/ZIP : CA 94568 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,782.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.07400 ---------------------------------------------------------------- 0 0031645161 MORTGAGORS: PENNEY HANNIBAL PENNEY BEVER-LEIGH REGION CODE ADDRESS : 9404 WAYSIDE DRIVE 01 CITY : SHADOW HILLS AREA STATE/ZIP : CA 91040 MORTGAGE AMOUNT : 269,500.00 OPTION TO CONVERT : UNPAID BALANCE : 269,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,884.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031647340 MORTGAGORS: JOHNSON ROBERT REGION CODE ADDRESS : 6882 SILVER BEACH CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,817.37 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.57100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,415,100.00 P & I AMT: 9,905.90 UPB AMT: 1,414,051.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 116 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031647357 MORTGAGORS: DABORA DAVID DABORA ROBYN REGION CODE ADDRESS : 11 WHITEPLAINS COURT 01 CITY : SAN ANSELMO STATE/ZIP : CA 94960 MORTGAGE AMOUNT : 570,000.00 OPTION TO CONVERT : UNPAID BALANCE : 569,576.98 ANNUAL RATE ADJUST: MONTHLY P&I : 3,985.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 67.93800 ---------------------------------------------------------------- 0 0031647373 MORTGAGORS: HENDLIN RUSSELL RICHFIELD HELEN REGION CODE ADDRESS : 1 TAMARAK ROAD 01 CITY : SAN GERONIMO STATE/ZIP : CA 94963 MORTGAGE AMOUNT : 284,800.00 OPTION TO CONVERT : UNPAID BALANCE : 284,566.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,894.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647464 MORTGAGORS: SMITH PAUL SMITH GANGA REGION CODE ADDRESS : 6127 CORSICA CIRCLE 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 339,728.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,290.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.83300 ---------------------------------------------------------------- 0 0031647480 MORTGAGORS: BARRIENTOS MANUEL BARRIENTOS VILMA REGION CODE ADDRESS : 558 ABBOT AVENUE 01 CITY : DALY CITY STATE/ZIP : CA 94014 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,813.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.69500 ---------------------------------------------------------------- 0 0031647803 MORTGAGORS: BERNSTEIN GARY CRANE REBECCA REGION CODE ADDRESS : 3700 GLEN HAVEN ROAD 01 CITY : SOQUEL STATE/ZIP : CA 95073 MORTGAGE AMOUNT : 271,200.00 OPTION TO CONVERT : UNPAID BALANCE : 271,008.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,942.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,711,000.00 P & I AMT: 11,806.02 UPB AMT: 1,709,693.79 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 117 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031647829 MORTGAGORS: YEOMANS MICHAEL EDWARDS ERIN REGION CODE ADDRESS : 345 SAINT FRANCIS DRIVE 01 CITY : BOULDER CREEK STATE/ZIP : CA 95006 MORTGAGE AMOUNT : 180,000.00 OPTION TO CONVERT : UNPAID BALANCE : 179,869.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,274.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647902 MORTGAGORS: NGUYEN LINDA NGUYEN LISA REGION CODE ADDRESS : 3311 OAKMONT VIEW DRIVE 01 CITY : GLENDALE STATE/ZIP : CA 91208 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 499,655.90 ANNUAL RATE ADJUST: MONTHLY P&I : 3,625.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 76.92300 ---------------------------------------------------------------- 0 0031647910 MORTGAGORS: VENZON MERLIN VENZON MARIA REGION CODE ADDRESS : 1114 HAT CREEK WAY 01 CITY : HAYWARD STATE/ZIP : CA 94544 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,820.02 ANNUAL RATE ADJUST: MONTHLY P&I : 1,826.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 88.69500 ---------------------------------------------------------------- 0 0031648009 MORTGAGORS: CECCHINI ROY CECCHINI KYLEE REGION CODE ADDRESS : 157 GREVILLIA DRIVE 01 CITY : PETALUMA STATE/ZIP : CA 94952 MORTGAGE AMOUNT : 272,500.00 OPTION TO CONVERT : UNPAID BALANCE : 272,292.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.30400 ---------------------------------------------------------------- 0 0031648033 MORTGAGORS: BEALKOWSKI ROBERT BEALKOWSKI GIGI REGION CODE ADDRESS : 1919 FUMIA PLACE 01 CITY : SAN JOSE STATE/ZIP : CA 95131 MORTGAGE AMOUNT : 299,900.00 OPTION TO CONVERT : UNPAID BALANCE : 299,671.79 ANNUAL RATE ADJUST: MONTHLY P&I : 2,071.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.66200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,507,400.00 P & I AMT: 10,679.66 UPB AMT: 1,506,310.08 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 118 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648439 MORTGAGORS: CORREA ELADIO CORREA ROSALIA REGION CODE ADDRESS : 18671 SANTA MARIANA STREET 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 432,500.00 OPTION TO CONVERT : UNPAID BALANCE : 432,162.60 ANNUAL RATE ADJUST: MONTHLY P&I : 2,950.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.97838 ---------------------------------------------------------------- 0 0031648470 MORTGAGORS: HOUSTON DANIEL REGION CODE ADDRESS : 435 TIE GULCH ROAD 01 CITY : SANTA CRUZ STATE/ZIP : CA 95065 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 391,730.23 ANNUAL RATE ADJUST: MONTHLY P&I : 2,842.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648504 MORTGAGORS: ERICKSON DAVID ERICKSON KIMBERLY REGION CODE ADDRESS : 4326 TERRABELLA WAY 01 CITY : OAKLAND STATE/ZIP : CA 94619 MORTGAGE AMOUNT : 245,600.00 OPTION TO CONVERT : UNPAID BALANCE : 245,398.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,633.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031649619 MORTGAGORS: BRADY SHAWN BRADY JULIE REGION CODE ADDRESS : 20835 PASEO ALTO 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 338,000.00 OPTION TO CONVERT : UNPAID BALANCE : 337,509.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,392.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.60400 ---------------------------------------------------------------- 0 0031649627 MORTGAGORS: BRUMBAUGH MARVIN BRUMBAUGH JANET REGION CODE ADDRESS : 1920 CAMINO VERA CRUZ 01 CITY : CAMARILLO STATE/ZIP : CA 93010 MORTGAGE AMOUNT : 232,100.00 OPTION TO CONVERT : UNPAID BALANCE : 231,708.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,524.74 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.98700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,640,200.00 P & I AMT: 11,343.76 UPB AMT: 1,638,509.56 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 119 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031649668 MORTGAGORS: OLSON ROBERT GRANOFF TATIANA REGION CODE ADDRESS : 440 CHERRY AVENUE 01 CITY : LOS ALTOS STATE/ZIP : CA 94022 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,389.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,762.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 41.23700 ---------------------------------------------------------------- 0 0031649676 MORTGAGORS: RUSSELL CHRISTOPHER RUSSELL JAMI REGION CODE ADDRESS : 24502 SATURNA DRIVE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92691 MORTGAGE AMOUNT : 253,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,604.07 ANNUAL RATE ADJUST: MONTHLY P&I : 1,725.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 87.24100 ---------------------------------------------------------------- 0 0031649700 MORTGAGORS: DALBERG JON REGION CODE ADDRESS : 636 N LUCERNE BLVD 01 CITY : LOS ANGELES STATE/ZIP : CA 90004 MORTGAGE AMOUNT : 250,600.00 OPTION TO CONVERT : UNPAID BALANCE : 250,245.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.55500 ---------------------------------------------------------------- 0 0031649874 MORTGAGORS: LAUGHLIN EDWARD LAUGHLIN LAURA REGION CODE ADDRESS : 19130 PORTOS DRIVE 01 CITY : SARATOGA STATE/ZIP : CA 95070 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,582.23 ANNUAL RATE ADJUST: MONTHLY P&I : 2,113.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 34.10400 ---------------------------------------------------------------- 0 0031649965 MORTGAGORS: MORSE FRANKLIN MORSE WENDY REGION CODE ADDRESS : 490 BAY VIEW COURT 01 CITY : LAKE ARROWHEAD STATE/ZIP : CA 92352 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,740.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 63.63600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,548,600.00 P & I AMT: 10,844.62 UPB AMT: 1,546,561.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 120 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031650039 MORTGAGORS: KWOK STEVEN FITZGERALD MARGARET REGION CODE ADDRESS : 3802 CLEAR RIDGE 01 CITY : SANTA ROSA STATE/ZIP : CA 95404 MORTGAGE AMOUNT : 492,000.00 OPTION TO CONVERT : UNPAID BALANCE : 491,625.62 ANNUAL RATE ADJUST: MONTHLY P&I : 3,398.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070013081 MORTGAGORS: RIPLEY TROY REGION CODE ADDRESS : 27165 BIG HORN MOUNTAIN WA 01 CITY : YORBA LINDA STATE/ZIP : CA 92687 MORTGAGE AMOUNT : 489,600.00 OPTION TO CONVERT : UNPAID BALANCE : 489,198.68 ANNUAL RATE ADJUST: MONTHLY P&I : 3,257.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.50000 ---------------------------------------------------------------- 0 0070015409 MORTGAGORS: BAILEY BARBARA REGION CODE ADDRESS : 7547 WOODROW WILSON DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90046 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 329,755.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,307.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 57.89474 ---------------------------------------------------------------- 0 0070034467 MORTGAGORS: REECE L REECE MARYANN REGION CODE ADDRESS : 285 STUYVESANT DRIVE 01 CITY : SAN ANSELMO STATE/ZIP : CA 94960 MORTGAGE AMOUNT : 276,400.00 OPTION TO CONVERT : UNPAID BALANCE : 273,966.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,932.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 50.25455 ---------------------------------------------------------------- 0 0070035688 MORTGAGORS: WINSTON BRUCE WINSTON ANNETTE REGION CODE ADDRESS : 10832 LEAVESLEY PLACE 01 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 292,782.55 ANNUAL RATE ADJUST: MONTHLY P&I : 2,048.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 51.13438 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,881,000.00 P & I AMT: 12,944.19 UPB AMT: 1,877,328.07 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 121 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070076542 MORTGAGORS: JOHNSON THOMAS JOHNSON DEBORAH REGION CODE ADDRESS : 39575 LAKE DRIVE 01 CITY : BIG BEAR LA STATE/ZIP : CA 92315 MORTGAGE AMOUNT : 471,300.00 OPTION TO CONVERT : UNPAID BALANCE : 466,957.63 ANNUAL RATE ADJUST: MONTHLY P&I : 3,255.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 73.06977 ---------------------------------------------------------------- 0 0070077045 MORTGAGORS: LEVINE IRA LEVINE SANDRA REGION CODE ADDRESS : 268 SAINT CROIX COURT 01 CITY : AGOURA STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 297,100.00 OPTION TO CONVERT : UNPAID BALANCE : 296,873.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,052.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 88.95210 ---------------------------------------------------------------- 0 0070077490 MORTGAGORS: RETLEWSKI PAUL REGION CODE ADDRESS : 2946 DEL LOMA DRIVE 01 CITY : CAMPBELL STATE/ZIP : CA 95008 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 329,748.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,279.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.51807 ---------------------------------------------------------------- 0 0070105333 MORTGAGORS: CLAYTON WEATHERFOR CLAYTON LISA REGION CODE ADDRESS : 1921 WINDWARD LANE 01 CITY : NEWPORT BEA STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 600,000.00 OPTION TO CONVERT : UNPAID BALANCE : 599,543.45 ANNUAL RATE ADJUST: MONTHLY P&I : 4,144.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0070113006 MORTGAGORS: HAUSER JEFFREY HAUSER MERRILEE REGION CODE ADDRESS : 28331 LA PLUMOSA 01 CITY : LAGUNA NIGU STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 230,600.00 OPTION TO CONVERT : UNPAID BALANCE : 230,084.72 ANNUAL RATE ADJUST: MONTHLY P&I : 1,612.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 50.90508 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,929,000.00 P & I AMT: 13,342.82 UPB AMT: 1,923,208.62 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 122 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070123195 MORTGAGORS: RENNER ROBERT REGION CODE ADDRESS : 19822 SCENIC BAY LANE 01 CITY : HUNTINGTON STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 252,200.00 OPTION TO CONVERT : UNPAID BALANCE : 251,399.67 ANNUAL RATE ADJUST: MONTHLY P&I : 1,763.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.05714 ---------------------------------------------------------------- 0 0070140306 MORTGAGORS: CALAFATO VITO CALAFATO PINA REGION CODE ADDRESS : 5934 MADRA AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92120 MORTGAGE AMOUNT : 393,310.00 OPTION TO CONVERT : UNPAID BALANCE : 393,025.34 ANNUAL RATE ADJUST: MONTHLY P&I : 2,783.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 56.18714 ---------------------------------------------------------------- 0 0070147665 MORTGAGORS: CREER JEFF CREER DARCI REGION CODE ADDRESS : 26051 RAVENNA ROAD 01 CITY : MISSION VIE STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 274,500.00 OPTION TO CONVERT : UNPAID BALANCE : 274,296.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,919.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 87.14286 ---------------------------------------------------------------- 0 0070165014 MORTGAGORS: LOCKHART GREGORY REGION CODE ADDRESS : 506 NORTH FRANCISCA 01 CITY : REDONDO BEA STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,818.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,713.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.01449 ---------------------------------------------------------------- 0 0070165956 MORTGAGORS: FUJII RAYMOND FUJII JANICE REGION CODE ADDRESS : 9344 OAKMORE ROAD 01 CITY : LOS ANGELES STATE/ZIP : CA 90035 MORTGAGE AMOUNT : 281,500.00 OPTION TO CONVERT : UNPAID BALANCE : 280,199.28 ANNUAL RATE ADJUST: MONTHLY P&I : 1,968.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 58.04124 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,446,510.00 P & I AMT: 10,147.95 UPB AMT: 1,443,738.75 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 123 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070168638 MORTGAGORS: BURNS ROBERT REGION CODE ADDRESS : 18371 WHITNEY DRIVE 01 CITY : SANTA ANA STATE/ZIP : CA 92705 MORTGAGE AMOUNT : 239,600.00 OPTION TO CONVERT : UNPAID BALANCE : 239,417.68 ANNUAL RATE ADJUST: MONTHLY P&I : 1,654.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.82675 ---------------------------------------------------------------- 0 0070173539 MORTGAGORS: FURST CHARLES ALVAREZ FURS ARLENE REGION CODE ADDRESS : 664 LAS CASAS AVENUE 01 CITY : PACIFIC PAL STATE/ZIP : CA 90272 MORTGAGE AMOUNT : 360,400.00 OPTION TO CONVERT : UNPAID BALANCE : 360,125.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,489.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 49.03401 ---------------------------------------------------------------- 0 0070219498 MORTGAGORS: KHURANA ANOOP KHURANA RITU REGION CODE ADDRESS : 193 OLD GLORY COURT 01 CITY : Fremont STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 424,000.00 OPTION TO CONVERT : UNPAID BALANCE : 423,677.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,928.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.67000 ---------------------------------------------------------------- 0 0070235932 MORTGAGORS: PETERSON HAROLD PETERSON GERALDINE REGION CODE ADDRESS : 1482 PHANTOM AVENUE 01 CITY : San Jose STATE/ZIP : CA 95101 MORTGAGE AMOUNT : 303,000.00 OPTION TO CONVERT : UNPAID BALANCE : 302,769.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,092.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 60.60000 ---------------------------------------------------------------- 0 0070246012 MORTGAGORS: ORAVEC PATRICIA KOVACIK JAMES REGION CODE ADDRESS : 1127 Telfer Avenue 01 CITY : San Jose STATE/ZIP : CA 95125 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,710.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,831.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.89000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,727,000.00 P & I AMT: 11,996.43 UPB AMT: 1,725,700.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 124 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070255476 MORTGAGORS: DE MAHY BERNARD DE MAHY PAMELA REGION CODE ADDRESS : 13691 GERSHON PLACE 01 CITY : Santa Ana STATE/ZIP : CA 92705 MORTGAGE AMOUNT : 329,000.00 OPTION TO CONVERT : UNPAID BALANCE : 328,743.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.33000 ---------------------------------------------------------------- 0 0070257258 MORTGAGORS: MCGILL JOHN MCGILL BESS REGION CODE ADDRESS : 1050 PEPPERTREE PLACE 01 CITY : Livermore STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,771.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,153.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070259163 MORTGAGORS: MARTINI JOHN MARTINI GEBRIEL REGION CODE ADDRESS : 204 TERRAMAR 01 CITY : San Clemente STATE/ZIP : CA 92673 MORTGAGE AMOUNT : 377,600.00 OPTION TO CONVERT : UNPAID BALANCE : 377,305.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,575.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070259254 MORTGAGORS: BALAKER VICTOR BALAKER ANGELA REGION CODE ADDRESS : 3811 ALDER AVENUE 01 CITY : Carlsbad STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 233,000.00 OPTION TO CONVERT : UNPAID BALANCE : 232,579.22 ANNUAL RATE ADJUST: MONTHLY P&I : 1,877.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/18 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 40.88000 ---------------------------------------------------------------- 0 0070260989 MORTGAGORS: WOLFE THADDEUS WOLFE BIN REGION CODE ADDRESS : 2471 LANTERMAN 01 CITY : Los Angeles STATE/ZIP : CA 90039 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,699.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,533.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,623,600.00 P & I AMT: 11,384.05 UPB AMT: 1,622,098.74 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123B 00 01 PAGE: 125 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070266952 MORTGAGORS: DANIEL CHRIS DANIEL HOLLY REGION CODE ADDRESS : 1259 RIESLING CIRCLE 01 CITY : Livermore STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,790.98 ANNUAL RATE ADJUST: MONTHLY P&I : 1,696.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 62.96000 ---------------------------------------------------------------- 0 0070270715 MORTGAGORS: WAGECK DONALD WAGECK ELIZABETH REGION CODE ADDRESS : 1645 WHIPPORWILL 01 CITY : Livermore STATE/ZIP : CA 94550 MORTGAGE AMOUNT : 249,550.00 OPTION TO CONVERT : UNPAID BALANCE : 249,369.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,766.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070277363 MORTGAGORS: MOONEY DALE MOONEY NANCY REGION CODE ADDRESS : 6388 ALMADEN ROAD 01 CITY : San Jose STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,772.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,920.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 3 LOAN AMT: 789,550.00 P & I AMT: 5,382.92 UPB AMT: 788,932.45 0 TOTAL NUM OF LOANS: 623 LOAN AMT: 200,522,856.20 P & I AMT: 1,396,890.43 UPB AMT: 200,222,314.36 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 1 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007663776 MORTGAGORS: TEVEROW JOSHUA TEVEROW CHERYL REGION CODE ADDRESS : 38 NEWTON AVENUE 01 CITY : NARRAGANSETT STATE/ZIP : RI 02882 MORTGAGE AMOUNT : 370,000.00 OPTION TO CONVERT : UNPAID BALANCE : 357,326.60 ANNUAL RATE ADJUST: MONTHLY P&I : 4,391.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 01/01/08 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 55.63909 ---------------------------------------------------------------- 0 0007673130 MORTGAGORS: CAMP RONALD CAMP BETH REGION CODE ADDRESS : 568 ACORN TRAIL 01 CITY : HORTON STATE/ZIP : MI 49246 MORTGAGE AMOUNT : 70,000.00 OPTION TO CONVERT : UNPAID BALANCE : 69,115.53 ANNUAL RATE ADJUST: MONTHLY P&I : 634.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 03/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 50.35971 ---------------------------------------------------------------- 0 0007678030 MORTGAGORS: DEVINE JAMES DEVINE PATRICIA REGION CODE ADDRESS : 7 HONEYSUCKLE COURT 01 CITY : HOLMDEL STATE/ZIP : NJ 07733 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,976.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,633.99 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 09/01/12 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 38.96103 ---------------------------------------------------------------- 0 0007678048 MORTGAGORS: GANNON MICHAEL GANNON SARABETH REGION CODE ADDRESS : 33280 RIDGEWOOD DRIVE 01 CITY : LEBANON STATE/ZIP : MO 65536 MORTGAGE AMOUNT : 216,000.00 OPTION TO CONVERT : UNPAID BALANCE : 202,682.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,881.60 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 02/01/12 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 74.74048 ---------------------------------------------------------------- 0 0007678055 MORTGAGORS: HUBER CHESTER HUBER BARBARA REGION CODE ADDRESS : 275 VOLTAIRE PLACE 01 CITY : GROSSE POINTE STATE/ZIP : MI 48236 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,002.27 ANNUAL RATE ADJUST: MONTHLY P&I : 3,011.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 01/01/12 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 38.28571 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,291,000.00 P & I AMT: 12,552.73 UPB AMT: 1,234,103.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 2 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007678063 MORTGAGORS: BRENT PAUL BRENT CLAUDIA REGION CODE ADDRESS : 3461 MOCERI CT 01 CITY : ROCHESTER HILLS STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 377,289.11 ANNUAL RATE ADJUST: MONTHLY P&I : 3,567.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 02/01/12 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 63.52735 ---------------------------------------------------------------- 0 0007678071 MORTGAGORS: MOURAS DENNIS MOURAS JANET REGION CODE ADDRESS : 1 GREAT WOODS LANE 01 CITY : MALVERN STATE/ZIP : PA 19355 MORTGAGE AMOUNT : 464,000.00 OPTION TO CONVERT : UNPAID BALANCE : 436,024.49 ANNUAL RATE ADJUST: MONTHLY P&I : 4,138.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 01/01/12 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007678089 MORTGAGORS: KEMP LOUIS KEMP JANICE REGION CODE ADDRESS : 516 MORNING GLORY CT 01 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,384.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,336.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 02/01/12 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 57.77777 ---------------------------------------------------------------- 0 0007678097 MORTGAGORS: LESSARD RICHARD LESSARD NOREEN REGION CODE ADDRESS : 5015 ROSEWOOD LAKE DRIVE 01 CITY : CUMMING STATE/ZIP : GA 30130 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 238,411.74 ANNUAL RATE ADJUST: MONTHLY P&I : 2,229.64 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/12 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 78.12500 ---------------------------------------------------------------- 0 0007678105 MORTGAGORS: FOWLER STANLEY FOWLER ANN REGION CODE ADDRESS : 4454 KLAIS DRIVE 01 CITY : CLARKSTON STATE/ZIP : MI 48346 MORTGAGE AMOUNT : 239,900.00 OPTION TO CONVERT : UNPAID BALANCE : 227,372.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,173.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 03/01/12 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.57958 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,613,900.00 P & I AMT: 14,445.32 UPB AMT: 1,524,482.79 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 3 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007678113 MORTGAGORS: DYTEWSKI ROBERT DYTEWSKI KARLI REGION CODE ADDRESS : 715 NORTH IRENA AVE B 01 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,309.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,355.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/12 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.22222 ---------------------------------------------------------------- 0 0007678121 MORTGAGORS: KITKOWSKI JAMES KITKOWSKI SHARON REGION CODE ADDRESS : 101 COLLINSON DRIVE 01 CITY : CHAPEL HILL STATE/ZIP : NC 27514 MORTGAGE AMOUNT : 210,000.00 OPTION TO CONVERT : UNPAID BALANCE : 199,434.31 ANNUAL RATE ADJUST: MONTHLY P&I : 1,858.31 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/12 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 53.84615 ---------------------------------------------------------------- 0 0007678139 MORTGAGORS: LANE ROBERT LANE BETTY REGION CODE ADDRESS : 115 DEER VALLEY DRIVE 01 CITY : APEX STATE/ZIP : NC 27502 MORTGAGE AMOUNT : 236,800.00 OPTION TO CONVERT : UNPAID BALANCE : 224,885.86 ANNUAL RATE ADJUST: MONTHLY P&I : 2,095.47 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/12 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007678154 MORTGAGORS: TURNER ERIC TURNER JAMIE REGION CODE ADDRESS : 986 ELMSMERE 01 CITY : NORTHVILLE STATE/ZIP : MI 48167 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 286,650.60 ANNUAL RATE ADJUST: MONTHLY P&I : 2,759.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/12 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 65.93406 ---------------------------------------------------------------- 0 0007678162 MORTGAGORS: BICKIMER GISELA BICKIMER BRYAN REGION CODE ADDRESS : 2041 STONEBRIDGE WAY 01 CITY : CANTON STATE/ZIP : MI 48187 MORTGAGE AMOUNT : 213,000.00 OPTION TO CONVERT : UNPAID BALANCE : 203,131.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,944.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/12 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.21550 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,219,800.00 P & I AMT: 11,013.12 UPB AMT: 1,161,411.41 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 4 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007678170 MORTGAGORS: PARKER RICKIE KLEIMAN CINDY REGION CODE ADDRESS : 4659 ISLAND PARK DR 01 CITY : WATERFORD STATE/ZIP : MI 48329 MORTGAGE AMOUNT : 172,000.00 OPTION TO CONVERT : UNPAID BALANCE : 164,908.32 ANNUAL RATE ADJUST: MONTHLY P&I : 1,558.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/12 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007678188 MORTGAGORS: CHAO JOSEPH CHAO JANICE REGION CODE ADDRESS : 4951 CRESTONE WAY 01 CITY : ROCHESTER STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,510.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,738.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/12 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.17543 ---------------------------------------------------------------- 0 0007678196 MORTGAGORS: MIDGLEY MAUREEN MIDGLEY STEPHEN REGION CODE ADDRESS : 1212 CREEKVIEW 01 CITY : ROCHESTER STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,279.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,696.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 08/01/12 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 69.76744 ---------------------------------------------------------------- 0 0007678204 MORTGAGORS: CRAIG JEFFREY CRAIG JILL REGION CODE ADDRESS : 9830 LAKEWOOD 01 CITY : GROSSE ILE STATE/ZIP : MI 48128 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,777.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,626.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/12 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.37837 ---------------------------------------------------------------- 0 0007678220 MORTGAGORS: SHAH TULIP SHAH CHONG-AE REGION CODE ADDRESS : 23860 BROADMOOR PARK LANE 01 CITY : NOVI STATE/ZIP : MI 48374 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 392,235.01 ANNUAL RATE ADJUST: MONTHLY P&I : 3,567.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 01/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.84032 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,462,000.00 P & I AMT: 13,187.45 UPB AMT: 1,413,710.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 5 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007678246 MORTGAGORS: BOYD DENNIS BOYD CHERYL REGION CODE ADDRESS : 9811 N NEWBURY 01 CITY : OWASSO STATE/ZIP : OK 74055 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 341,447.60 ANNUAL RATE ADJUST: MONTHLY P&I : 3,269.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 11/01/12 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.77777 ---------------------------------------------------------------- 0 0007678253 MORTGAGORS: HO SHU CHIAO SUPING REGION CODE ADDRESS : 103 STANLEY COURT 01 CITY : CARY STATE/ZIP : NC 27513 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,627.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,264.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 11/01/12 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 67.65899 ---------------------------------------------------------------- 0 0007678261 MORTGAGORS: HAMMOND JANET REGION CODE ADDRESS : 1122 BURNING TREE DRIVE 01 CITY : CHAPEL HILL STATE/ZIP : NC 27516 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,640.29 ANNUAL RATE ADJUST: MONTHLY P&I : 2,497.20 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 12/01/12 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007678279 MORTGAGORS: BENOIT BARRY SCHAEFER ANNA REGION CODE ADDRESS : 240 LANDINGS BLVD 01 CITY : WESTON STATE/ZIP : FL 33327 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,094.55 ANNUAL RATE ADJUST: MONTHLY P&I : 2,318.83 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 12/01/12 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007678287 MORTGAGORS: FOSTER ROBERT FOSTER MARGARET REGION CODE ADDRESS : 1166 ROCK VALLEY DRIVE 01 CITY : ROCHESTER STATE/ZIP : MI 48307 MORTGAGE AMOUNT : 264,800.00 OPTION TO CONVERT : UNPAID BALANCE : 261,282.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,306.70 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 03/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,404,800.00 P & I AMT: 12,656.77 UPB AMT: 1,374,091.61 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 6 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007678295 MORTGAGORS: THOMPSON ELLIOTT THOMPSON CHERYL REGION CODE ADDRESS : 3716 SLEEPY FOX 01 CITY : ROCHESTER HILLS STATE/ZIP : MI 48309 MORTGAGE AMOUNT : 373,150.00 OPTION TO CONVERT : UNPAID BALANCE : 365,561.72 ANNUAL RATE ADJUST: MONTHLY P&I : 3,276.24 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 01/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 79.99820 ---------------------------------------------------------------- 0 0007678303 MORTGAGORS: BROOKS JOHN REGION CODE ADDRESS : 1328 LAKEPARK 01 CITY : BIRMINGHAM STATE/ZIP : MI 48009 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,667.99 ANNUAL RATE ADJUST: MONTHLY P&I : 3,457.01 OUTSIDE CONV DATE : LIFETIME RATE : 6.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007678311 MORTGAGORS: GANN THOMAS GANN MARY REGION CODE ADDRESS : 2117 CLINTON VIEW CIRCLE 01 CITY : ROCHESTER HILLS STATE/ZIP : MI 48306 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,110.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,351.99 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 70.12987 ---------------------------------------------------------------- 0 0007681588 MORTGAGORS: MINEAR JULIE MINEAR RICHARD REGION CODE ADDRESS : 223 PINELAND ROAD NW 02 CITY : ATLANTA STATE/ZIP : GA 30342 MORTGAGE AMOUNT : 276,500.00 OPTION TO CONVERT : UNPAID BALANCE : 262,993.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,682.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/11 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.97000 ---------------------------------------------------------------- 0 0007681596 MORTGAGORS: HARRISON SCOTT HARRISON HELENE REGION CODE ADDRESS : 32 OLD MILL ROAD 02 CITY : WEST HARRISON STATE/ZIP : NY 10604 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 317,018.55 ANNUAL RATE ADJUST: MONTHLY P&I : 2,921.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 44.13700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,639,650.00 P & I AMT: 14,688.87 UPB AMT: 1,613,352.28 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 7 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681612 MORTGAGORS: TRENT JUDY REGION CODE ADDRESS : 9724 CAMDEN HILLS DRIVE 02 CITY : LAS VEGAS STATE/ZIP : NV 89134 MORTGAGE AMOUNT : 404,000.00 OPTION TO CONVERT : UNPAID BALANCE : 393,723.65 ANNUAL RATE ADJUST: MONTHLY P&I : 3,716.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 11/01/12 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007681620 MORTGAGORS: DANAKAS GEORGE CORIGLIANO MARIA REGION CODE ADDRESS : 44 SOUTH WOODSIDE LANE 02 CITY : AMHERST STATE/ZIP : NY 14221 MORTGAGE AMOUNT : 465,000.00 OPTION TO CONVERT : UNPAID BALANCE : 457,657.40 ANNUAL RATE ADJUST: MONTHLY P&I : 4,212.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 02/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.60900 ---------------------------------------------------------------- 0 0007681638 MORTGAGORS: GILBERT JOEL GILBERT SUSAN REGION CODE ADDRESS : 1347 SILVER HILL ROAD 02 CITY : STONE MOUNTAIN STATE/ZIP : GA 30087 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 241,133.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,801.71 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/08 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 62.56400 ---------------------------------------------------------------- 0 0007681646 MORTGAGORS: ST.CHARLES CHRISTOPHER ST.CHARLES LISA REGION CODE ADDRESS : 110 SIGNAL POINT TRAIL 02 CITY : SIGNAL MTN STATE/ZIP : TN 37377 MORTGAGE AMOUNT : 319,200.00 OPTION TO CONVERT : UNPAID BALANCE : 311,869.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,936.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 01/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 42.70200 ---------------------------------------------------------------- 0 0007681653 MORTGAGORS: DEANS JOHN DEANS BARBARA REGION CODE ADDRESS : 1110 WOODLAND DRIVE 02 CITY : WILSON STATE/ZIP : NC 27893 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 496,835.82 ANNUAL RATE ADJUST: MONTHLY P&I : 4,494.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.33500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,932,200.00 P & I AMT: 18,160.88 UPB AMT: 1,901,220.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 8 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681661 MORTGAGORS: MAST RALPH REGION CODE ADDRESS : 1530 6TH STREET NW 02 CITY : HICKORY STATE/ZIP : NC 28601 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 262,329.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,372.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007681679 MORTGAGORS: AUGUSTA PETER AUGUSTA ARLENE REGION CODE ADDRESS : 511 SEDGEWOOD LAKE DR 02 CITY : CHARLOTTE STATE/ZIP : NC 28211 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 307,028.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,768.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 40.00000 ---------------------------------------------------------------- 0 0007681687 MORTGAGORS: SMALL KATHLEEN DURANT MICHAEL REGION CODE ADDRESS : 437 CAMILLE CIRCLE #15 02 CITY : SAN JOSE STATE/ZIP : CA 95134 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,463.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,265.23 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 70.87900 ---------------------------------------------------------------- 0 0007681695 MORTGAGORS: SAMPSON GREGORY SAMPSON LISA REGION CODE ADDRESS : 772 DACULA ROAD 02 CITY : DACULA STATE/ZIP : GA 30019 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,060.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0007681703 MORTGAGORS: BASCOMB STUART BASCOMB PHYLLIS REGION CODE ADDRESS : 13310 KINGS GLEN DRIVE 02 CITY : TOWN AND COUNTRY STATE/ZIP : MO 63131 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 333,964.96 ANNUAL RATE ADJUST: MONTHLY P&I : 3,058.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 77.90600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,465,000.00 P & I AMT: 13,119.37 UPB AMT: 1,456,846.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 9 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681711 MORTGAGORS: REGISTER C REGION CODE ADDRESS : 3320 BLACKBURN ST 02 CITY : DALLAS STATE/ZIP : TX 75204 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,039.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,633.99 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007681729 MORTGAGORS: BROWN LYNN BROWN LAURA REGION CODE ADDRESS : 1058 ENGLEWOOD DR 02 CITY : WINSTON-SALEM STATE/ZIP : NC 27106 MORTGAGE AMOUNT : 263,000.00 OPTION TO CONVERT : UNPAID BALANCE : 261,299.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,327.32 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 72.05400 ---------------------------------------------------------------- 0 0007681737 MORTGAGORS: SCHWARTZ EDMUND SCHWARTZ CLAUDIA REGION CODE ADDRESS : 8410 LAZY OAKS CT 02 CITY : DUNWOODY STATE/ZIP : GA 30350 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,278.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,491.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 30.62300 ---------------------------------------------------------------- 0 0007681745 MORTGAGORS: SANDERS STEVEN WEITZMAN BRUCE REGION CODE ADDRESS : 643 FERDINAND AVENUE 02 CITY : EL GRANADA STATE/ZIP : CA 94018 MORTGAGE AMOUNT : 286,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,050.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,610.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 62.85700 ---------------------------------------------------------------- 0 0007681752 MORTGAGORS: WATSON DAVID WATSON LUCI REGION CODE ADDRESS : 15 HICKORY LANE 02 CITY : DARIEN STATE/ZIP : CT 06820 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 456,960.93 ANNUAL RATE ADJUST: MONTHLY P&I : 4,007.10 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 50.27300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,584,000.00 P & I AMT: 14,070.24 UPB AMT: 1,568,628.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 10 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681760 MORTGAGORS: DIBONA JOYCE REGION CODE ADDRESS : 145 ST. BOTOLPH STREET UNIT 21 02 CITY : BOSTON STATE/ZIP : MA 02115 MORTGAGE AMOUNT : 342,000.00 OPTION TO CONVERT : UNPAID BALANCE : 339,927.76 ANNUAL RATE ADJUST: MONTHLY P&I : 3,170.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007681778 MORTGAGORS: COLN DALE COLN SHIRLEY REGION CODE ADDRESS : 20 TREEHAVEN LANE 02 CITY : AUSTIN STATE/ZIP : TX 78738 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,928.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,532.87 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 69.60700 ---------------------------------------------------------------- 0 0007681786 MORTGAGORS: SHIELDS ROBERT REGION CODE ADDRESS : 4117 ORCHARD LAKE CT 02 CITY : ATLANTA STATE/ZIP : GA 30339 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 498,456.51 ANNUAL RATE ADJUST: MONTHLY P&I : 4,564.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.66600 ---------------------------------------------------------------- 0 0007681794 MORTGAGORS: NAKHLE MOSES REGION CODE ADDRESS : RT 601 DUDLEY AMOS RD 02 CITY : MONETA STATE/ZIP : VA 24121 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,085.52 ANNUAL RATE ADJUST: MONTHLY P&I : 2,702.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.89700 ---------------------------------------------------------------- 0 0007681802 MORTGAGORS: MOON KENT MOON CONNIE REGION CODE ADDRESS : 15974 RANCH HOUSE ROAD 02 CITY : CHINO HILLS STATE/ZIP : CA 91709 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,060.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,722,000.00 P & I AMT: 15,624.39 UPB AMT: 1,711,458.83 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 11 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681810 MORTGAGORS: BESHAY TONY BESHAY EMILY REGION CODE ADDRESS : 114 RIVER FOREST LN 02 CITY : GREENVILLE STATE/ZIP : SC 29615 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,234.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,461.52 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007681828 MORTGAGORS: HIGGINS GARY HIGGINS DOROTHY REGION CODE ADDRESS : 1316 ROYAL DEVON DR 02 CITY : MYRTLE BEACH STATE/ZIP : SC 29575 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,073.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,738.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.79600 ---------------------------------------------------------------- 0 0007681836 MORTGAGORS: MARKS WALTER MARKS LORRAINE REGION CODE ADDRESS : 70 EVERGREEN DRIVE 02 CITY : SEDONA STATE/ZIP : AZ 86336 MORTGAGE AMOUNT : 633,150.00 OPTION TO CONVERT : UNPAID BALANCE : 629,271.66 ANNUAL RATE ADJUST: MONTHLY P&I : 5,824.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 65.61100 ---------------------------------------------------------------- 0 0007681844 MORTGAGORS: MCAGHON ANDREW CROUSE SUSAN REGION CODE ADDRESS : 14 SUTTON LANE 02 CITY : NOVATO STATE/ZIP : CA 94945 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,142.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,738.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 58.82300 ---------------------------------------------------------------- 0 0007681851 MORTGAGORS: BENGTSON GARY BENGTSON BARBARA REGION CODE ADDRESS : 28442 CALLE PINON 02 CITY : SAN JUAN CAPISTRANO STATE/ZIP : CA 92675 MORTGAGE AMOUNT : 370,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,683.74 ANNUAL RATE ADJUST: MONTHLY P&I : 3,351.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 61.66600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,879,150.00 P & I AMT: 17,114.78 UPB AMT: 1,868,405.92 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 12 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681869 MORTGAGORS: SMITH AL SMITH JANET REGION CODE ADDRESS : 493 BING CROSBY BLVD 02 CITY : ADVANCE STATE/ZIP : NC 27006 MORTGAGE AMOUNT : 369,900.00 OPTION TO CONVERT : UNPAID BALANCE : 367,533.74 ANNUAL RATE ADJUST: MONTHLY P&I : 3,298.97 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 53.22302 ---------------------------------------------------------------- 0 0007681877 MORTGAGORS: FRIED BRYAN FRIED CYNTHIA REGION CODE ADDRESS : 30750 GANADO DRIVE 02 CITY : RANCHO PALO VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 365,645.88 ANNUAL RATE ADJUST: MONTHLY P&I : 3,282.03 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 65.13200 ---------------------------------------------------------------- 0 0007681885 MORTGAGORS: VORA MILAN SURA URVASHI REGION CODE ADDRESS : 840 PENINSULA AVENUE 02 CITY : CLAREMONT STATE/ZIP : CA 91711 MORTGAGE AMOUNT : 649,900.00 OPTION TO CONVERT : UNPAID BALANCE : 645,831.54 ANNUAL RATE ADJUST: MONTHLY P&I : 5,887.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.21100 ---------------------------------------------------------------- 0 0007681893 MORTGAGORS: CANNING DENNIS CANNING LINDA REGION CODE ADDRESS : 55 ELIZABETH CIRCLE 02 CITY : LARKSPUR STATE/ZIP : CA 94939 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 494,903.70 ANNUAL RATE ADJUST: MONTHLY P&I : 4,564.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.62600 ---------------------------------------------------------------- 0 0007681901 MORTGAGORS: BARTESCH HEINZ BARTESCH JANE REGION CODE ADDRESS : 16 REGINA WAY 02 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 332,483.61 ANNUAL RATE ADJUST: MONTHLY P&I : 3,058.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 69.07200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,222,800.00 P & I AMT: 20,090.42 UPB AMT: 2,206,398.47 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 13 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681919 MORTGAGORS: JOZWIK PETER JOZWIK VIRGINIA REGION CODE ADDRESS : 20 DUTCH VALLEY LANE 02 CITY : SAN ANSELMO STATE/ZIP : CA 94960 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 496,903.70 ANNUAL RATE ADJUST: MONTHLY P&I : 4,564.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.56700 ---------------------------------------------------------------- 0 0007681927 MORTGAGORS: MUNDT KEVIN MUNDT JAYNE REGION CODE ADDRESS : 215 SANDY POND ROAD 02 CITY : LINCOLN STATE/ZIP : MA 01773 MORTGAGE AMOUNT : 547,000.00 OPTION TO CONVERT : UNPAID BALANCE : 545,311.43 ANNUAL RATE ADJUST: MONTHLY P&I : 4,993.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 49.72700 ---------------------------------------------------------------- 0 0007681935 MORTGAGORS: INGRAHAM C. REGION CODE ADDRESS : 4525 CRESTWICKE PT 02 CITY : ATLANTA STATE/ZIP : GA 30319 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,021.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,786.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 69.66200 ---------------------------------------------------------------- 0 0007681950 MORTGAGORS: FRANCO RICHARD FRANCO DIANNE REGION CODE ADDRESS : 7229 MANOR OAKS DRIVE 02 CITY : RALEIGH STATE/ZIP : NC 27615 MORTGAGE AMOUNT : 253,350.00 OPTION TO CONVERT : UNPAID BALANCE : 250,191.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,241.92 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 38.97600 ---------------------------------------------------------------- 0 0007681968 MORTGAGORS: MERRITT KENNETH MERRITT THERESA REGION CODE ADDRESS : 239 HAWTHORN DRIVE 02 CITY : HENDERSONVILLE STATE/ZIP : NC 28791 MORTGAGE AMOUNT : 278,000.00 OPTION TO CONVERT : UNPAID BALANCE : 277,093.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,440.83 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 89.96700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,888,350.00 P & I AMT: 17,026.81 UPB AMT: 1,878,521.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 14 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007681976 MORTGAGORS: FARRELL SUSAN FARRELL EDWIN REGION CODE ADDRESS : 622 WILLOUGHBY BLVD 02 CITY : GREENSBORO STATE/ZIP : NC 27408 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,147.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,336.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007681984 MORTGAGORS: KANSAGRA PRAVIN KANSAGRA SAGUNA REGION CODE ADDRESS : 1092 SOUTH TAYLOR COURT 02 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 397,413.51 ANNUAL RATE ADJUST: MONTHLY P&I : 3,539.64 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 64.00000 ---------------------------------------------------------------- 0 0007681992 MORTGAGORS: WERSINGER THIERRY WERSINGER TANYA REGION CODE ADDRESS : 208 TERRA WOODS LANE 02 CITY : GREENVILLE STATE/ZIP : SC 29615 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,161.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,300.77 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682008 MORTGAGORS: SCOTT HARRY SCOTT MARGARET REGION CODE ADDRESS : 9 DEER RUN LANE 02 CITY : HILTON HEAD INSLAND STATE/ZIP : SC 29928 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,840.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,282.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682016 MORTGAGORS: CATES HUGH CATES JUDITH REGION CODE ADDRESS : 105 KNOLLVIEW COURT 02 CITY : JAMESTOWN STATE/ZIP : NC 27282 MORTGAGE AMOUNT : 323,500.00 OPTION TO CONVERT : UNPAID BALANCE : 322,490.41 ANNUAL RATE ADJUST: MONTHLY P&I : 2,930.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.87600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,499,500.00 P & I AMT: 13,389.65 UPB AMT: 1,493,053.83 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 15 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682024 MORTGAGORS: HANKINS J. HANKINS JUDITH REGION CODE ADDRESS : 4209 EMERALD DRIVE 02 CITY : MURFREESBORO STATE/ZIP : TN 37130 MORTGAGE AMOUNT : 262,500.00 OPTION TO CONVERT : UNPAID BALANCE : 261,689.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,396.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.91600 ---------------------------------------------------------------- 0 0007682032 MORTGAGORS: BUTLER EDWARD EMORY REBECCA REGION CODE ADDRESS : 4109 BRIGADE TRAIL 02 CITY : KENNESAW STATE/ZIP : GA 30152 MORTGAGE AMOUNT : 286,900.00 OPTION TO CONVERT : UNPAID BALANCE : 284,837.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,499.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 70.83900 ---------------------------------------------------------------- 0 0007682040 MORTGAGORS: KARETA KENNETH KARETA CHRISTINE REGION CODE ADDRESS : 4621 GULF OF MEXICO DRIVE #9C 02 CITY : LONGBOAT KEY STATE/ZIP : FL 34228 MORTGAGE AMOUNT : 241,600.00 OPTION TO CONVERT : UNPAID BALANCE : 237,879.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,188.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682057 MORTGAGORS: MAGISTRO PHILIP MAGISTRO NANCY REGION CODE ADDRESS : 20561 FORTUNA DEL SUR 02 CITY : ESCONDIDO STATE/ZIP : CA 92029 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,106.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,497.20 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 74.66600 ---------------------------------------------------------------- 0 0007682065 MORTGAGORS: MOWER VAUGHN MOWER EVELYN REGION CODE ADDRESS : 1351 EAST CANYON CREEK DRIVE 02 CITY : BOUNTIFUL STATE/ZIP : UT 84010 MORTGAGE AMOUNT : 314,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,009.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,822.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.49500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,385,000.00 P & I AMT: 12,403.50 UPB AMT: 1,376,522.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 16 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682073 MORTGAGORS: PRATT JAMES PRATT KARLA REGION CODE ADDRESS : 6517 153RD PLACE SOUTHEAST 02 CITY : BELLEVUE STATE/ZIP : WA 98006 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,925.18 ANNUAL RATE ADJUST: MONTHLY P&I : 3,005.55 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 77.47100 ---------------------------------------------------------------- 0 0007682081 MORTGAGORS: GANDARIAS GEORGE BLANCO LILIA REGION CODE ADDRESS : 811 PARMA AVENUE 02 CITY : CORAL GABLES STATE/ZIP : FL 33146 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,012.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,921.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682099 MORTGAGORS: ROYSTER CARROLL ROYSTER PAULA REGION CODE ADDRESS : 3200 NORTH ROCKINGHAM ROAD 02 CITY : GREENSBORO STATE/ZIP : NC 27407 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,242.77 ANNUAL RATE ADJUST: MONTHLY P&I : 3,444.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/08 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 58.25200 ---------------------------------------------------------------- 0 0007682115 MORTGAGORS: HUQ SHIHAB DUBIN ELIZABETH REGION CODE ADDRESS : 4564 ELDER AVENUE 02 CITY : SEAL BEACH STATE/ZIP : CA 90740 MORTGAGE AMOUNT : 242,900.00 OPTION TO CONVERT : UNPAID BALANCE : 241,413.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,269.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.86700 ---------------------------------------------------------------- 0 0007682123 MORTGAGORS: MICHIENZIE PAUL MICHIENZIE DEBORAH REGION CODE ADDRESS : 9 MITCHELL DRIVE 02 CITY : FOXBORO STATE/ZIP : MA 02035 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,203.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,599.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.68750 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,486,900.00 P & I AMT: 14,240.20 UPB AMT: 1,479,796.66 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 17 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682149 MORTGAGORS: GARRISON ROBERT GARRISON ROSITA REGION CODE ADDRESS : 951 SPRINGFIELD DRIVE 02 CITY : MILLBRAE STATE/ZIP : CA 94030 MORTGAGE AMOUNT : 339,000.00 OPTION TO CONVERT : UNPAID BALANCE : 337,953.52 ANNUAL RATE ADJUST: MONTHLY P&I : 3,094.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 62.77700 ---------------------------------------------------------------- 0 0007682156 MORTGAGORS: WANGSNES KRAIG REGION CODE ADDRESS : 3415 WALTON WAY 02 CITY : AUGUSTA STATE/ZIP : GA 30909 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 373,790.96 ANNUAL RATE ADJUST: MONTHLY P&I : 3,318.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0007682164 MORTGAGORS: ESHELMAN THOMAS ESHELMAN MARY REGION CODE ADDRESS : 3909 LEWIS P OLDS WYND 02 CITY : RALEIGH STATE/ZIP : NC 27612 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 647,993.47 ANNUAL RATE ADJUST: MONTHLY P&I : 5,933.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 54.16600 ---------------------------------------------------------------- 0 0007682172 MORTGAGORS: GINSBURG SANDRA GINSBURG SELWYN REGION CODE ADDRESS : 17038 ADDISON STREET 02 CITY : (ENCINO AREA) LOS ANGELES STATE/ZIP : CA 91316 MORTGAGE AMOUNT : 345,440.00 OPTION TO CONVERT : UNPAID BALANCE : 344,338.26 ANNUAL RATE ADJUST: MONTHLY P&I : 3,080.83 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682180 MORTGAGORS: DUCKWORTH TROY REGION CODE ADDRESS : 3491 STALLINGS ISLAND RD 02 CITY : MARTINEZ STATE/ZIP : GA 30907 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,097.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,477.75 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 76.71200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,989,440.00 P & I AMT: 17,905.22 UPB AMT: 1,983,173.46 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 18 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682198 MORTGAGORS: ROZETT MARLENE REGION CODE ADDRESS : 4700 DISCOVERY POINT 02 CITY : DISCOVERY BAY STATE/ZIP : CA 94514 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,772.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,400.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.93100 ---------------------------------------------------------------- 0 0007682206 MORTGAGORS: ROBINSON THOMAS ROBINSON JOCELYN REGION CODE ADDRESS : 2835 SANDHURST AVENUE 02 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,204.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,309.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.85700 ---------------------------------------------------------------- 0 0007682214 MORTGAGORS: LEONG LOUIS MAK ELENA REGION CODE ADDRESS : 55 LA PRENDA AVENUE 02 CITY : MILLBRAE STATE/ZIP : CA 94030 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,966.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,966.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.01000 ---------------------------------------------------------------- 0 0007682222 MORTGAGORS: BROKAW GERALD BROKAW JACQULYN REGION CODE ADDRESS : 25 STATE ST 02 CITY : CHARLESTON STATE/ZIP : SC 29401 MORTGAGE AMOUNT : 550,000.00 OPTION TO CONVERT : UNPAID BALANCE : 548,226.74 ANNUAL RATE ADJUST: MONTHLY P&I : 4,867.01 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 56.70100 ---------------------------------------------------------------- 0 0007682230 MORTGAGORS: PARODI DANNY FOLKS LYNAE REGION CODE ADDRESS : 13 IRIS LANE 02 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 297,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,042.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,628.19 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 58.23500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,692,000.00 P & I AMT: 15,172.34 UPB AMT: 1,686,213.10 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 19 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682248 MORTGAGORS: SHIRLEY SHARON REGION CODE ADDRESS : 3131 SLATON DR UNIT #21 02 CITY : ATLANTA STATE/ZIP : GA 30305 MORTGAGE AMOUNT : 476,000.00 OPTION TO CONVERT : UNPAID BALANCE : 474,562.42 ANNUAL RATE ADJUST: MONTHLY P&I : 4,412.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682255 MORTGAGORS: WILLIAMS LARRY WILLIAMS DEBORAH REGION CODE ADDRESS : 6832 IRON OAK DRIVE 02 CITY : BAKERSFIELD STATE/ZIP : CA 93312 MORTGAGE AMOUNT : 333,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,948.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,993.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 71.61200 ---------------------------------------------------------------- 0 0007682263 MORTGAGORS: MORGAN STEPHEN MORGAN LINDA REGION CODE ADDRESS : 5289 RIO GRANDE DRIVE 02 CITY : SAN JOSE STATE/ZIP : CA 95136 MORTGAGE AMOUNT : 279,750.00 OPTION TO CONVERT : UNPAID BALANCE : 278,828.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,436.93 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 73.04100 ---------------------------------------------------------------- 0 0007682271 MORTGAGORS: NIEVES NESTOR NIEVES WANDA REGION CODE ADDRESS : 618 WEST LAKE CIRCLE 02 CITY : MARTINEZ STATE/ZIP : GA 30907 MORTGAGE AMOUNT : 331,200.00 OPTION TO CONVERT : UNPAID BALANCE : 330,132.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,930.83 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0007682289 MORTGAGORS: FOOTE JAMES SIMPSON NANNETTE REGION CODE ADDRESS : 20346 CLIFDEN WAY 02 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 343,000.00 OPTION TO CONVERT : UNPAID BALANCE : 341,929.56 ANNUAL RATE ADJUST: MONTHLY P&I : 3,107.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.97800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,762,950.00 P & I AMT: 15,880.45 UPB AMT: 1,751,401.02 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 20 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682297 MORTGAGORS: NOBARI FARHAD REGION CODE ADDRESS : 152 STRATFORD NORTH 02 CITY : ROSLYN HEIGHTS STATE/ZIP : NY 11577 MORTGAGE AMOUNT : 240,500.00 OPTION TO CONVERT : UNPAID BALANCE : 238,185.65 ANNUAL RATE ADJUST: MONTHLY P&I : 2,144.91 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 81.52500 ---------------------------------------------------------------- 0 0007682305 MORTGAGORS: WALSH FRANCIS WALSH BARBARA REGION CODE ADDRESS : 12 RED BIRD TRAIL 02 CITY : OLD SAYBROOK STATE/ZIP : CT 06475 MORTGAGE AMOUNT : 580,000.00 OPTION TO CONVERT : UNPAID BALANCE : 578,130.02 ANNUAL RATE ADJUST: MONTHLY P&I : 5,132.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 69.87900 ---------------------------------------------------------------- 0 0007682313 MORTGAGORS: REED DIANNE REGION CODE ADDRESS : 4107 ALPINE ROAD 02 CITY : PORTOLA VALLEY STATE/ZIP : CA 94028 MORTGAGE AMOUNT : 485,000.00 OPTION TO CONVERT : UNPAID BALANCE : 481,519.14 ANNUAL RATE ADJUST: MONTHLY P&I : 4,224.88 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 44.09000 ---------------------------------------------------------------- 0 0007682339 MORTGAGORS: MORRIS PETER MORRIS LAURA REGION CODE ADDRESS : 201 PROSPECT ROAD 02 CITY : CENTERPORT STATE/ZIP : NY 11721 MORTGAGE AMOUNT : 377,600.00 OPTION TO CONVERT : UNPAID BALANCE : 376,382.58 ANNUAL RATE ADJUST: MONTHLY P&I : 3,341.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 53.94200 ---------------------------------------------------------------- 0 0007682347 MORTGAGORS: LUFKIN DANIEL BOUBA JANICE REGION CODE ADDRESS : 36743 MONTECITO DRIVE 02 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,110.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,351.99 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 67.16400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,953,100.00 P & I AMT: 17,195.68 UPB AMT: 1,943,327.90 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 21 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682354 MORTGAGORS: CUSHING R CUSHING ALISON REGION CODE ADDRESS : 696 COMMERCIAL STREET 02 CITY : WEYMOUTH STATE/ZIP : MA 02189 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,296.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,240.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 73.45600 ---------------------------------------------------------------- 0 0007682362 MORTGAGORS: WIELE RANDALL WIELE JANIS REGION CODE ADDRESS : 15600 CUSTER TRAIL 02 CITY : FRISCO STATE/ZIP : TX 75035 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,335.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,195.20 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 72.00000 ---------------------------------------------------------------- 0 0007682370 MORTGAGORS: FULLER JON REGION CODE ADDRESS : 291 CORBETT AVENUE 02 CITY : SAN FRANCISCO STATE/ZIP : CA 94114 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,221.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.51 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 67.07300 ---------------------------------------------------------------- 0 0007682396 MORTGAGORS: ATWAL RAVINDER ATWAL MANDEEP REGION CODE ADDRESS : 1907 CAPE HATTERAS WAY 02 CITY : SAN JOSE STATE/ZIP : CA 95133 MORTGAGE AMOUNT : 261,500.00 OPTION TO CONVERT : UNPAID BALANCE : 259,999.54 ANNUAL RATE ADJUST: MONTHLY P&I : 3,053.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/08 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 76.01700 ---------------------------------------------------------------- 0 0007682404 MORTGAGORS: YEP KENT YEP PATRICIA REGION CODE ADDRESS : 3884 GLENEAGLES DR 02 CITY : STOCKTON STATE/ZIP : CA 95219 MORTGAGE AMOUNT : 273,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,100.62 ANNUAL RATE ADJUST: MONTHLY P&I : 2,378.13 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 59.34700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,299,500.00 P & I AMT: 12,300.20 UPB AMT: 1,292,953.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 22 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682412 MORTGAGORS: BERGHOLTZ STEVEN BERGHOLTZ KATHERINE REGION CODE ADDRESS : 40 WILLIAM FAIRFIELD DRIVE 02 CITY : WENHAM STATE/ZIP : MA 01984 MORTGAGE AMOUNT : 452,250.00 OPTION TO CONVERT : UNPAID BALANCE : 450,838.60 ANNUAL RATE ADJUST: MONTHLY P&I : 4,096.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0007682420 MORTGAGORS: FORSYTHE BRENT FORSYTHE KATHLEEN REGION CODE ADDRESS : 1762 AUSTIN AVE 02 CITY : LOS ALTOS STATE/ZIP : CA 94024 MORTGAGE AMOUNT : 435,000.00 OPTION TO CONVERT : UNPAID BALANCE : 433,581.56 ANNUAL RATE ADJUST: MONTHLY P&I : 3,819.28 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 62.14200 ---------------------------------------------------------------- 0 0007682446 MORTGAGORS: BLEVANS ROBERT BLEVANS JENNIFER REGION CODE ADDRESS : 1886 HERITAGE WAY 02 CITY : YOUNTVILLE STATE/ZIP : CA 94599 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 343,923.32 ANNUAL RATE ADJUST: MONTHLY P&I : 3,125.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0007682461 MORTGAGORS: LINDENMAYER WARD LINDENMAYER ELAINE REGION CODE ADDRESS : 40 HIGHLAND AVENUE 02 CITY : PIEDMONT STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 545,000.00 OPTION TO CONVERT : UNPAID BALANCE : 543,299.16 ANNUAL RATE ADJUST: MONTHLY P&I : 4,936.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 59.89000 ---------------------------------------------------------------- 0 0007682479 MORTGAGORS: DORF JULIE JENKINS RHESA REGION CODE ADDRESS : 2976-2978 FOLSOM ST 02 CITY : SAN FRANCISCO STATE/ZIP : CA 94110 MORTGAGE AMOUNT : 326,500.00 OPTION TO CONVERT : UNPAID BALANCE : 324,478.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,980.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 69.46800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,103,750.00 P & I AMT: 18,958.32 UPB AMT: 2,096,120.75 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 23 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682487 MORTGAGORS: BROOKS DONNA CONHEIM CATHERINE REGION CODE ADDRESS : 2718 AZALEA AVENUE 02 CITY : JULIAN STATE/ZIP : CA 92036 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,022.91 ANNUAL RATE ADJUST: MONTHLY P&I : 2,943.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682495 MORTGAGORS: CHESTNUT THOMAS CHESTNUT WENDY REGION CODE ADDRESS : 12342 E BARRY BAKER PLACE 02 CITY : TUCSON STATE/ZIP : AZ 85749 MORTGAGE AMOUNT : 240,500.00 OPTION TO CONVERT : UNPAID BALANCE : 238,732.34 ANNUAL RATE ADJUST: MONTHLY P&I : 2,144.91 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 64.13300 ---------------------------------------------------------------- 0 0007682503 MORTGAGORS: CABINIAN ANTONIO CABINIAN CATHERINE REGION CODE ADDRESS : 284 BONITA CANYON DRIVE 02 CITY : CHULA VISTA STATE/ZIP : CA 91902 MORTGAGE AMOUNT : 269,600.00 OPTION TO CONVERT : UNPAID BALANCE : 268,749.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,423.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682511 MORTGAGORS: MILLER H. MILLER CAROL REGION CODE ADDRESS : 651 SILVER LAKE DRIVE 02 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 234,400.00 OPTION TO CONVERT : UNPAID BALANCE : 233,684.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,156.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682529 MORTGAGORS: LAMMI EDWARD LAMMI FELICE REGION CODE ADDRESS : 4936 HILLARD AVE 02 CITY : LA CANADA FLINTRIDGE STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 386,250.00 OPTION TO CONVERT : UNPAID BALANCE : 385,018.10 ANNUAL RATE ADJUST: MONTHLY P&I : 3,444.79 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,450,750.00 P & I AMT: 13,113.02 UPB AMT: 1,445,207.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 24 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682537 MORTGAGORS: BENSON RONALD BENSON FRANCES REGION CODE ADDRESS : 272 POMONA AVE 02 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,043.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,675.57 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- 0 0007682545 MORTGAGORS: PURSCH KAREN PURSCH ANDREW REGION CODE ADDRESS : 9257 GUNBARREL RIDGE RD 02 CITY : BOULDER STATE/ZIP : CO 80301 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 333,808.10 ANNUAL RATE ADJUST: MONTHLY P&I : 3,034.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.44400 ---------------------------------------------------------------- 0 0007682552 MORTGAGORS: GREGGOR CHARLES GREGGOR JENNIFER REGION CODE ADDRESS : 4 REBELO LANE 02 CITY : NOVATO STATE/ZIP : CA 94947 MORTGAGE AMOUNT : 525,000.00 OPTION TO CONVERT : UNPAID BALANCE : 523,396.96 ANNUAL RATE ADJUST: MONTHLY P&I : 4,829.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 52.76300 ---------------------------------------------------------------- 0 0007682560 MORTGAGORS: O'SHEA THOMAS O'SHEA AGNES REGION CODE ADDRESS : 514 CARBONERA DRIVE 02 CITY : SANTA CRUZ STATE/ZIP : CA 95060 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,015.65 ANNUAL RATE ADJUST: MONTHLY P&I : 2,804.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 65.68400 ---------------------------------------------------------------- 0 0007682578 MORTGAGORS: BOYENS BRUCE BOYENS BETSY REGION CODE ADDRESS : 1001 SOUTH JOSEPHINE ST 02 CITY : DENVER STATE/ZIP : CO 80209 MORTGAGE AMOUNT : 394,800.00 OPTION TO CONVERT : UNPAID BALANCE : 393,526.42 ANNUAL RATE ADJUST: MONTHLY P&I : 3,493.63 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,866,800.00 P & I AMT: 16,837.69 UPB AMT: 1,860,790.31 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 25 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682586 MORTGAGORS: BLOUNT JOHN BLOUNT TAMI REGION CODE ADDRESS : 19617 E OCOTILLO RD 02 CITY : QUEEN CREEK STATE/ZIP : AZ 85242 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,218.60 ANNUAL RATE ADJUST: MONTHLY P&I : 2,185.05 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 46.22600 ---------------------------------------------------------------- 0 0007682594 MORTGAGORS: CHEN GENG CHEN HOI REGION CODE ADDRESS : 2679 BROOKHOLLOW DRIVE 02 CITY : SAN JOSE STATE/ZIP : CA 95132 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,032.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 70.58800 ---------------------------------------------------------------- 0 0007682602 MORTGAGORS: ROSENBLUM CRAIG REGION CODE ADDRESS : 74937 SOUTH COVE DRIVE 02 CITY : INDIAN WELL STATE/ZIP : CA 92210 MORTGAGE AMOUNT : 354,500.00 OPTION TO CONVERT : UNPAID BALANCE : 353,429.37 ANNUAL RATE ADJUST: MONTHLY P&I : 3,286.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.66200 ---------------------------------------------------------------- 0 0007682610 MORTGAGORS: LIEN JORGEN REGION CODE ADDRESS : 5435 CALUMET AVENUE 02 CITY : LA JOLLA STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,063.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,717.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 21.73900 ---------------------------------------------------------------- 0 0007682644 MORTGAGORS: HACKER ALEXIS HACKER JOHN REGION CODE ADDRESS : 244 ST JAMES DRIVE 02 CITY : PIEDMONT STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 610,000.00 OPTION TO CONVERT : UNPAID BALANCE : 608,011.94 ANNUAL RATE ADJUST: MONTHLY P&I : 5,355.77 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 67.77700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,809,500.00 P & I AMT: 16,199.31 UPB AMT: 1,803,756.43 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 26 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682685 MORTGAGORS: WEINSTEIN DAVID WEINSTEIN DENA REGION CODE ADDRESS : 30 REGENCY WAY 02 CITY : MANALAPAN STATE/ZIP : NJ 07726 MORTGAGE AMOUNT : 263,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,306.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,345.58 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 03/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 66.58200 ---------------------------------------------------------------- 0 0007682693 MORTGAGORS: FRIES PHILIP FRIES MOLI REGION CODE ADDRESS : 20269 THELMA AVENUE 02 CITY : SARATOGA STATE/ZIP : CA 95070 MORTGAGE AMOUNT : 356,050.00 OPTION TO CONVERT : UNPAID BALANCE : 352,586.75 ANNUAL RATE ADJUST: MONTHLY P&I : 3,150.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 55.20100 ---------------------------------------------------------------- 0 0007682701 MORTGAGORS: OBRIEN EDWARD OBRIEN ANASTASIA REGION CODE ADDRESS : 814 N COLUMBIAN AVE 02 CITY : OAK PARK STATE/ZIP : IL 60302 MORTGAGE AMOUNT : 243,750.00 OPTION TO CONVERT : UNPAID BALANCE : 242,989.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,207.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0007682719 MORTGAGORS: YOKOMOTO RANDAL YOKOMOTO LAWREN REGION CODE ADDRESS : 2077 WEST 231ST STREET 02 CITY : TORRANCE STATE/ZIP : CA 90501 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,574.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,247.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 77.53800 ---------------------------------------------------------------- 0 0007682727 MORTGAGORS: GEIST WILLIAM GEIST NANCY REGION CODE ADDRESS : 770 APSLEY WAY 02 CITY : ALPHARETTA STATE/ZIP : GA 30022 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,151.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,510.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.32400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,389,800.00 P & I AMT: 12,462.14 UPB AMT: 1,378,608.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 27 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682735 MORTGAGORS: VALLELY JAMES VALLELY AUDREY REGION CODE ADDRESS : 1531 DUG HILL ROAD 02 CITY : HUNTSVILLE STATE/ZIP : AL 35711 MORTGAGE AMOUNT : 363,000.00 OPTION TO CONVERT : UNPAID BALANCE : 361,891.61 ANNUAL RATE ADJUST: MONTHLY P&I : 3,339.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 51.85700 ---------------------------------------------------------------- 0 0007682743 MORTGAGORS: LYTLE ROBERT LYTLE LINDA REGION CODE ADDRESS : 529 13TH STREET 02 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 310,500.00 OPTION TO CONVERT : UNPAID BALANCE : 309,488.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,726.18 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 62.72700 ---------------------------------------------------------------- 0 0007682750 MORTGAGORS: ROGERS HARRY ROGERS KATHY REGION CODE ADDRESS : 3333 S BLUE RIDGE COURT 02 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 288,400.00 OPTION TO CONVERT : UNPAID BALANCE : 287,519.40 ANNUAL RATE ADJUST: MONTHLY P&I : 2,653.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.58300 ---------------------------------------------------------------- 0 0007682768 MORTGAGORS: O'CONNOR WILLIAM MC CAHILL JANE REGION CODE ADDRESS : 247 SHENSTONE ROAD 02 CITY : RIVERSIDE STATE/ZIP : IL 60546 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 648,015.28 ANNUAL RATE ADJUST: MONTHLY P&I : 5,979.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.09000 ---------------------------------------------------------------- 0 0007682776 MORTGAGORS: SHAMAH ISAAC SHAMAH NITZA REGION CODE ADDRESS : 39 WOODS ROAD 02 CITY : ORANGETOWN STATE/ZIP : NY 10964 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 647,835.50 ANNUAL RATE ADJUST: MONTHLY P&I : 5,617.63 OUTSIDE CONV DATE : LIFETIME RATE : 6.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.37500 PRODUCT CODE : 002 LTV : 67.70800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,261,900.00 P & I AMT: 20,315.71 UPB AMT: 2,254,749.83 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 28 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682784 MORTGAGORS: BEVAN WILLIAM BEVAN MARTHA REGION CODE ADDRESS : 0025 COTTONWOOD ROAD 02 CITY : EAGLE VAIL STATE/ZIP : CO 81620 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 309,008.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,786.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 53.44827 ---------------------------------------------------------------- 0 0007682792 MORTGAGORS: HAAPALA RANDY HAAPALA JULIE REGION CODE ADDRESS : 27560 LINDELL ROAD 02 CITY : LAKE ELSINORE STATE/ZIP : CA 92532 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,188.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,355.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.78700 ---------------------------------------------------------------- 0 0007682800 MORTGAGORS: TERPENING DAVID REGION CODE ADDRESS : 424 AVENUE E 02 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,016.94 ANNUAL RATE ADJUST: MONTHLY P&I : 2,853.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.75000 ---------------------------------------------------------------- 0 0007682818 MORTGAGORS: TYLER MARIA TYLER MICHAEL REGION CODE ADDRESS : 1030 ALHAMBRE CIRCLE 02 CITY : CORAL GABLES STATE/ZIP : FL 33134 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,196.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,125.51 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 54.83100 ---------------------------------------------------------------- 0 0007682826 MORTGAGORS: HANLEY JOHN HANLEY JOANNE REGION CODE ADDRESS : 4119 ASPEN STREET 02 CITY : CHEVY CHASE STATE/ZIP : MD 20815 MORTGAGE AMOUNT : 329,500.00 OPTION TO CONVERT : UNPAID BALANCE : 328,437.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,915.78 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 71.94323 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,458,500.00 P & I AMT: 13,036.20 UPB AMT: 1,453,847.67 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 29 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682834 MORTGAGORS: COX FRANKLIN COX EILEEN REGION CODE ADDRESS : 8 RIVERVIEW LANE 02 CITY : HO HO KUS STATE/ZIP : NJ 07423 MORTGAGE AMOUNT : 337,500.00 OPTION TO CONVERT : UNPAID BALANCE : 336,364.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,893.81 OUTSIDE CONV DATE : LIFETIME RATE : 6.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.25000 PRODUCT CODE : 002 LTV : 76.70400 ---------------------------------------------------------------- 0 0007682842 MORTGAGORS: CARRICK JOE CARRICK SANDRA REGION CODE ADDRESS : 596 LA CRESTA BOULEVARD 02 CITY : EL CAJON STATE/ZIP : CA 92021 MORTGAGE AMOUNT : 318,700.00 OPTION TO CONVERT : UNPAID BALANCE : 317,705.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,886.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.98800 ---------------------------------------------------------------- 0 0007682859 MORTGAGORS: BELFIORE WILLIAM BELFIORE SUSAN REGION CODE ADDRESS : 174 OLD GEORGETOWN ROAD 02 CITY : PRINCETON STATE/ZIP : NJ 08540 MORTGAGE AMOUNT : 318,300.00 OPTION TO CONVERT : UNPAID BALANCE : 317,306.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,883.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 61.80500 ---------------------------------------------------------------- 0 0007682867 MORTGAGORS: CULLER FLOYD CULLER DONNA REGION CODE ADDRESS : 28682 WALNUT GROVE 02 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 249,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,231.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,273.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.61500 ---------------------------------------------------------------- 0 0007682883 MORTGAGORS: TENEDIOS STEVE TENEDIOS OLGA REGION CODE ADDRESS : 58 SNYDER ROAD 02 CITY : ENGLEWOOD CLIFFS STATE/ZIP : NJ 07632 MORTGAGE AMOUNT : 396,000.00 OPTION TO CONVERT : UNPAID BALANCE : 394,777.56 ANNUAL RATE ADJUST: MONTHLY P&I : 3,614.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 68.86900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,619,500.00 P & I AMT: 14,551.94 UPB AMT: 1,614,384.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 30 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682891 MORTGAGORS: YOUNG MICHAEL YOUNG CATHERINE REGION CODE ADDRESS : 5490 KATHERINE AVENUE 02 CITY : LOS ANGELES STATE/ZIP : CA 91401 MORTGAGE AMOUNT : 388,000.00 OPTION TO CONVERT : UNPAID BALANCE : 386,344.17 ANNUAL RATE ADJUST: MONTHLY P&I : 3,541.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007682909 MORTGAGORS: BORKOWSKI GEORGE REGION CODE ADDRESS : 16451 WILSON FARM DRIVE 02 CITY : CHESTERFIELD STATE/ZIP : MO 63005 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 241,219.76 ANNUAL RATE ADJUST: MONTHLY P&I : 2,141.49 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 63.18500 ---------------------------------------------------------------- 0 0007682917 MORTGAGORS: MACINTOSH SUSAN MACINTOSH WILLIAM REGION CODE ADDRESS : 5040 CANYON CREST DRIVE 02 CITY : SAN RAMON STATE/ZIP : CA 94583 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,100.83 ANNUAL RATE ADJUST: MONTHLY P&I : 2,561.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.07600 ---------------------------------------------------------------- 0 0007682925 MORTGAGORS: LEWIS WARREN LEWIS NANCY REGION CODE ADDRESS : 1 HERITAGE DRIVE 02 CITY : PLEASANTVILLE STATE/ZIP : NY 10570 MORTGAGE AMOUNT : 357,000.00 OPTION TO CONVERT : UNPAID BALANCE : 354,451.58 ANNUAL RATE ADJUST: MONTHLY P&I : 4,168.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/08 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 66.72800 ---------------------------------------------------------------- 0 0007682933 MORTGAGORS: CHUA HOWSIENG CHUA AMY REGION CODE ADDRESS : 25511 RAPID FALLS ROAD 02 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 509,000.00 OPTION TO CONVERT : UNPAID BALANCE : 507,411.50 ANNUAL RATE ADJUST: MONTHLY P&I : 4,610.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 68.78300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,781,000.00 P & I AMT: 17,023.87 UPB AMT: 1,773,527.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 31 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682941 MORTGAGORS: CUNDIFF DAVID CUNDIFF JENNIFER REGION CODE ADDRESS : 319 GRAND AVENUE 02 CITY : LONG BEACH STATE/ZIP : CA 90814 MORTGAGE AMOUNT : 278,400.00 OPTION TO CONVERT : UNPAID BALANCE : 277,462.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,387.07 OUTSIDE CONV DATE : LIFETIME RATE : 6.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.25000 PRODUCT CODE : 002 LTV : 85.66100 ---------------------------------------------------------------- 0 0007682958 MORTGAGORS: CHANG KUO-HOU CHANG HSIN-PING REGION CODE ADDRESS : 11106 PALOS VERDES DRIVE 02 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 350,800.00 OPTION TO CONVERT : UNPAID BALANCE : 349,705.22 ANNUAL RATE ADJUST: MONTHLY P&I : 3,177.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 71.59100 ---------------------------------------------------------------- 0 0007682966 MORTGAGORS: OTTE ADRIAN OTTE ALISON REGION CODE ADDRESS : 109 KELLY DRIVE 02 CITY : CHADDS FORD STATE/ZIP : PA 19317 MORTGAGE AMOUNT : 477,500.00 OPTION TO CONVERT : UNPAID BALANCE : 475,858.08 ANNUAL RATE ADJUST: MONTHLY P&I : 4,029.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.00000 PRODUCT CODE : 002 LTV : 78.60000 ---------------------------------------------------------------- 0 0007682974 MORTGAGORS: CALDWELL EUGENIA CALDWELL PETER REGION CODE ADDRESS : 1 NEWBURG STREET 02 CITY : SAN FRANCISCO STATE/ZIP : CA 94131 MORTGAGE AMOUNT : 281,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,506.12 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 71.13900 ---------------------------------------------------------------- 0 0007682982 MORTGAGORS: BEVER CHARLES BEVER DORIS REGION CODE ADDRESS : 7821 LOBELIA LANE 02 CITY : SPRINGFIELD STATE/ZIP : VA 22152 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 257,194.83 ANNUAL RATE ADJUST: MONTHLY P&I : 2,337.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.47100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,645,700.00 P & I AMT: 14,437.32 UPB AMT: 1,641,221.06 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 32 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007682990 MORTGAGORS: BONTEMPO BLAINE BONTEMPO ELAINE REGION CODE ADDRESS : 24 POLO DRIVE 02 CITY : SOUTH BARRINGTON STATE/ZIP : IL 60010 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,132.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,471.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 29.63300 ---------------------------------------------------------------- 0 0007683006 MORTGAGORS: TIRRELL MICHAEL MARTINEZ CARLOS REGION CODE ADDRESS : 900 N LAKE SHORE DRIVE, UNIT 601/02 02 CITY : CHICAGO STATE/ZIP : IL 60611 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,907.72 ANNUAL RATE ADJUST: MONTHLY P&I : 3,170.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 66.03700 ---------------------------------------------------------------- 0 0007683014 MORTGAGORS: BOGNON PIERRE BOGNON LEIGH REGION CODE ADDRESS : 728 SMITH RIDGE RD 02 CITY : NEW CANAAN STATE/ZIP : CT 06840 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,032.31 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 30.90900 ---------------------------------------------------------------- 0 0007683022 MORTGAGORS: PETROULEAS WILLIAM PETROULEAS JOANNA REGION CODE ADDRESS : 5 HELENA ROAD 02 CITY : STATEN ISLAND STATE/ZIP : NY 10304 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,595.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,738.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 32.96700 ---------------------------------------------------------------- 0 0007683030 MORTGAGORS: SEAMAN ALEX SEAMAN DAWN REGION CODE ADDRESS : 6 THE DOGWOODS 02 CITY : ROSLYN ESTATES STATE/ZIP : NY 11576 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,032.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 43.16500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,565,000.00 P & I AMT: 14,067.82 UPB AMT: 1,558,668.38 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 33 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007683048 MORTGAGORS: PALMER CHRISTOPHER SHEARER GAIL REGION CODE ADDRESS : 7210 DENTON ROAD 02 CITY : BETHESDA STATE/ZIP : MD 20814 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 445,622.92 ANNUAL RATE ADJUST: MONTHLY P&I : 3,982.10 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 67.16400 ---------------------------------------------------------------- 0 0007683055 MORTGAGORS: BRODIE STEPHAN REGION CODE ADDRESS : 7001 BUXTON TERRACE 02 CITY : BETHESDA STATE/ZIP : MD 20817 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,919.55 ANNUAL RATE ADJUST: MONTHLY P&I : 3,195.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0007683063 MORTGAGORS: CHEN KUO HUNG YUH-JUAN REGION CODE ADDRESS : 1673 NEWCASTLE DRIVE 02 CITY : LOS ALTOS STATE/ZIP : CA 94024 MORTGAGE AMOUNT : 390,000.00 OPTION TO CONVERT : UNPAID BALANCE : 390,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,451.15 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 58.20800 ---------------------------------------------------------------- 0 0007683071 MORTGAGORS: VILLANUEVA ROBERT VILLANUEVA EUGENIA REGION CODE ADDRESS : 5 SEAGATE PLACE 02 CITY : BELMONT STATE/ZIP : CA 94002 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,751.67 ANNUAL RATE ADJUST: MONTHLY P&I : 3,623.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 73.39400 ---------------------------------------------------------------- 0 0007683097 MORTGAGORS: NEASON PHILIP REGION CODE ADDRESS : 245 DRAEGER DRIVE 02 CITY : MORAGA STATE/ZIP : CA 94556 MORTGAGE AMOUNT : 410,000.00 OPTION TO CONVERT : UNPAID BALANCE : 408,748.10 ANNUAL RATE ADJUST: MONTHLY P&I : 3,771.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.54500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,000,000.00 P & I AMT: 18,023.30 UPB AMT: 1,992,042.24 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 34 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007683105 MORTGAGORS: CURRAN MARK REGION CODE ADDRESS : 1976 MANZANITA DRIVE 02 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,985.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,943.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 46.42800 ---------------------------------------------------------------- 0 0007683113 MORTGAGORS: YANG JOO YANG HACK REGION CODE ADDRESS : 13416 CAMPUS DRIVE 02 CITY : OAKLAND STATE/ZIP : CA 94619 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,724.25 ANNUAL RATE ADJUST: MONTHLY P&I : 3,567.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 55.94400 ---------------------------------------------------------------- 0 0007683121 MORTGAGORS: NGUYEN TICH NGUYEN KIM AHN REGION CODE ADDRESS : 706 WEST SUNNYOAKS AVENUE 02 CITY : CAMPBELL STATE/ZIP : CA 95008 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 365,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,331.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 57.75300 ---------------------------------------------------------------- 0 0007683139 MORTGAGORS: SMITH DOUGLAS SMITH ELAINE REGION CODE ADDRESS : 1107 STARWOOD COURT 02 CITY : SAN JOSE STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,070.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,543.64 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 65.61700 ---------------------------------------------------------------- 0 0007683147 MORTGAGORS: WANG SHEN ZHOU YVONNE REGION CODE ADDRESS : 10619 CULBERTSON DRIVE 02 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,808.95 ANNUAL RATE ADJUST: MONTHLY P&I : 3,170.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 58.33300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,732,000.00 P & I AMT: 15,557.38 UPB AMT: 1,725,589.77 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 35 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007683162 MORTGAGORS: CONCEPCION LUZMINDA REGION CODE ADDRESS : 8705 ROBINSON RIDGE DRIVE 02 CITY : LAS VEGAS STATE/ZIP : NV 89117 MORTGAGE AMOUNT : 396,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,764.15 ANNUAL RATE ADJUST: MONTHLY P&I : 3,587.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.00000 ---------------------------------------------------------------- 0 0007683188 MORTGAGORS: ARAZOZA EDUARDO ARAZOZA SARA REGION CODE ADDRESS : 470 CAMPANA AVENUE 02 CITY : CORAL GABLES STATE/ZIP : FL 33156 MORTGAGE AMOUNT : 459,500.00 OPTION TO CONVERT : UNPAID BALANCE : 457,936.73 ANNUAL RATE ADJUST: MONTHLY P&I : 3,908.63 OUTSIDE CONV DATE : LIFETIME RATE : 6.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.12500 PRODUCT CODE : 002 LTV : 77.88100 ---------------------------------------------------------------- 0 0007683196 MORTGAGORS: GONZALEZ CARLOS MASUD LYDIA REGION CODE ADDRESS : 7345 PONCE DE LEON ROAD 02 CITY : MIAMI STATE/ZIP : FL 33143 MORTGAGE AMOUNT : 410,000.00 OPTION TO CONVERT : UNPAID BALANCE : 408,734.34 ANNUAL RATE ADJUST: MONTHLY P&I : 3,742.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 51.25000 ---------------------------------------------------------------- 0 0007683204 MORTGAGORS: FILUK ROBERT FILUK HEATHER REGION CODE ADDRESS : 17180 CRESCENT DRIVE 02 CITY : LOS GATOS STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 416,500.00 OPTION TO CONVERT : UNPAID BALANCE : 415,127.87 ANNUAL RATE ADJUST: MONTHLY P&I : 3,628.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 37.25400 ---------------------------------------------------------------- 0 0007683212 MORTGAGORS: GUILDER STEPHEN GUILDER SHEILA REGION CODE ADDRESS : 2671 RIVIERA MANOR 02 CITY : WESTON STATE/ZIP : FL 33332 MORTGAGE AMOUNT : 437,000.00 OPTION TO CONVERT : UNPAID BALANCE : 435,621.29 ANNUAL RATE ADJUST: MONTHLY P&I : 3,927.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 56.75300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,119,000.00 P & I AMT: 18,794.52 UPB AMT: 2,068,184.38 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 36 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007683220 MORTGAGORS: BENGIVENO LARRY BENGIVENO VALARIE REGION CODE ADDRESS : 1225 HILLCREST DRIVE 02 CITY : SAN JOSE STATE/ZIP : CA 95120 MORTGAGE AMOUNT : 266,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,960.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,390.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 46.26000 ---------------------------------------------------------------- 0 0007683246 MORTGAGORS: CHAN STEAVEN CHAN HEIDI REGION CODE ADDRESS : 1512 EL PRADO AVENUE 02 CITY : TORRANCE STATE/ZIP : CA 90501 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,058.56 ANNUAL RATE ADJUST: MONTHLY P&I : 2,583.94 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0007683253 MORTGAGORS: EHRENREICH YUVAL EHRENREICH BARBARA REGION CODE ADDRESS : 9 HILLSIDE ST 02 CITY : TARRYTOWN STATE/ZIP : NY 10591 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,903.39 ANNUAL RATE ADJUST: MONTHLY P&I : 2,158.29 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.34400 ---------------------------------------------------------------- 0 0007683261 MORTGAGORS: BECKER LISA BECKER GARY REGION CODE ADDRESS : 19240 INKWOOD COURT 02 CITY : BOCA RATON STATE/ZIP : FL 33498 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,572.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.32900 ---------------------------------------------------------------- 0 0007683279 MORTGAGORS: SCHREIBER ALAN SCHREIBER PATRICIA REGION CODE ADDRESS : 6507 PRINCETON DRIVE 02 CITY : ALEXANDRIA STATE/ZIP : VA 22307 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,606.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.45200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,374,000.00 P & I AMT: 12,312.30 UPB AMT: 1,370,922.73 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 37 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007683287 MORTGAGORS: GOPAL RAVI GOPAL PRATIBHA REGION CODE ADDRESS : 1050 WOODBINE WAY 02 CITY : SAN JOSE STATE/ZIP : CA 95117 MORTGAGE AMOUNT : 296,400.00 OPTION TO CONVERT : UNPAID BALANCE : 295,485.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,705.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.63900 ---------------------------------------------------------------- 0 0007683303 MORTGAGORS: SOUSA EDWARD BERNARDINI SUSAN REGION CODE ADDRESS : 2765 CASA GRANDE COURT 02 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,204.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,309.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 67.10500 ---------------------------------------------------------------- 0 0007683329 MORTGAGORS: MARTIN MURDOCK CRAWFORD SUSAN REGION CODE ADDRESS : 2318 44TH STREET NORTHWEST 02 CITY : WASHINGTON STATE/ZIP : DC 20007 MORTGAGE AMOUNT : 391,000.00 OPTION TO CONVERT : UNPAID BALANCE : 387,237.35 ANNUAL RATE ADJUST: MONTHLY P&I : 3,487.16 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 84.63200 ---------------------------------------------------------------- 0 0007683337 MORTGAGORS: SLADKY KENNETH SLADKY MARITA REGION CODE ADDRESS : 01 LANDINGS UNIT A 02 CITY : KEY LARGO STATE/ZIP : FL 33037 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,156.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,445.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0007683345 MORTGAGORS: COHEN STEVEN COHEN KAREN REGION CODE ADDRESS : 24234 PARK ATHENA 02 CITY : CALABASAS STATE/ZIP : CA 91302 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 372,626.88 ANNUAL RATE ADJUST: MONTHLY P&I : 3,370.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 50.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,587,400.00 P & I AMT: 14,319.12 UPB AMT: 1,578,710.13 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 38 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007683360 MORTGAGORS: VANDERFORD GENE VANDERFORD SUZANNE REGION CODE ADDRESS : 21300 NASHVILLE STREET 02 CITY : CHATSWORTH STATE/ZIP : CA 91311 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,108.40 ANNUAL RATE ADJUST: MONTHLY P&I : 2,686.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.49400 ---------------------------------------------------------------- 0 0007683378 MORTGAGORS: PERRY JAMES PERRY DONA REGION CODE ADDRESS : 11160 BREESE DRIVE 02 CITY : CAMARILLO STATE/ZIP : CA 93012 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 377,516.24 ANNUAL RATE ADJUST: MONTHLY P&I : 3,336.38 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 67.85700 ---------------------------------------------------------------- 0 0007683386 MORTGAGORS: SIGEL RICHARD SIGEL RACHEL REGION CODE ADDRESS : 18 KIRK COURT 02 CITY : ALAMO STATE/ZIP : CA 94507 MORTGAGE AMOUNT : 396,000.00 OPTION TO CONVERT : UNPAID BALANCE : 393,493.99 ANNUAL RATE ADJUST: MONTHLY P&I : 3,559.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 49.50000 ---------------------------------------------------------------- 0 0007683394 MORTGAGORS: HUANG SAMUEL HUANG SABRINA REGION CODE ADDRESS : 9405 WING FOOT COURT 02 CITY : POTOMAC STATE/ZIP : MD 20854 MORTGAGE AMOUNT : 485,550.00 OPTION TO CONVERT : UNPAID BALANCE : 485,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,364.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 65.00000 ---------------------------------------------------------------- 0 0007683410 MORTGAGORS: GRILES EDWARD GRILES DANIELLE REGION CODE ADDRESS : 47 SARLES STREET 02 CITY : ARMONK STATE/ZIP : NY 10504 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 358,814.27 ANNUAL RATE ADJUST: MONTHLY P&I : 3,311.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,913,550.00 P & I AMT: 17,257.93 UPB AMT: 1,906,482.90 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 39 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007683428 MORTGAGORS: KAY GREGORY REGION CODE ADDRESS : 2623 N BOSWORTH AVENUE 02 CITY : CHICAGO STATE/ZIP : IL 60614 MORTGAGE AMOUNT : 486,500.00 OPTION TO CONVERT : UNPAID BALANCE : 484,998.19 ANNUAL RATE ADJUST: MONTHLY P&I : 4,441.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 68.04100 ---------------------------------------------------------------- 0 0007683436 MORTGAGORS: HOFFMAN JOHN HOFFMAN PAMELA REGION CODE ADDRESS : 46 CIDER MILL PLACE 02 CITY : WILTON STATE/ZIP : CT 06897 MORTGAGE AMOUNT : 580,000.00 OPTION TO CONVERT : UNPAID BALANCE : 578,189.92 ANNUAL RATE ADJUST: MONTHLY P&I : 5,253.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 61.05200 ---------------------------------------------------------------- 0 0030817241 MORTGAGORS: LAUGHLIN ROBERT LAUGHLIN SUSAN REGION CODE ADDRESS : 8900 MONTMEDY COURT 01 CITY : BAKERSFIELD STATE/ZIP : CA 93311 MORTGAGE AMOUNT : 382,500.00 OPTION TO CONVERT : UNPAID BALANCE : 365,997.42 ANNUAL RATE ADJUST: MONTHLY P&I : 3,600.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/12 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031280753 MORTGAGORS: SCHULTZ ALLAN SCHULTZ BECKY REGION CODE ADDRESS : 49 SONIA STREET 01 CITY : OAKLAND STATE/ZIP : CA 94618 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,671.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,140.45 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 57.14285 ---------------------------------------------------------------- 0 0031293905 MORTGAGORS: PALMER GEORGE PALMER DEBRA REGION CODE ADDRESS : 287 WYNN MARSH ROAD 01 CITY : STATESBORO STATE/ZIP : GA 30458 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,978.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,818.26 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,005,000.00 P & I AMT: 18,254.00 UPB AMT: 1,980,835.32 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 40 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031295017 MORTGAGORS: MARTEL ROBERT MARTEL HANNAH REGION CODE ADDRESS : 60 NE ALICE AVENUE 01 CITY : JENSEN BEACH STATE/ZIP : FL 34957 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 345,544.28 ANNUAL RATE ADJUST: MONTHLY P&I : 3,145.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 58.33300 ---------------------------------------------------------------- 0 0031328891 MORTGAGORS: DICKEY DAVID DICKEY CONSTANCE REGION CODE ADDRESS : 690 PINE LANE 01 CITY : FRIENDSVILLE STATE/ZIP : TN 37737 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,355.63 ANNUAL RATE ADJUST: MONTHLY P&I : 2,437.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 11/01/11 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 68.26600 ---------------------------------------------------------------- 0 0031329303 MORTGAGORS: KHALFAN SAJJAD KHALFAN SALMA REGION CODE ADDRESS : 48 WESTWOOD COURT 01 CITY : WOODBURY STATE/ZIP : NY 11797 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 455,573.40 ANNUAL RATE ADJUST: MONTHLY P&I : 4,102.53 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 67.64700 ---------------------------------------------------------------- 0 0031352891 MORTGAGORS: COOPER JOHN COOPER VALERIE REGION CODE ADDRESS : 5 WESTVIEW DRIVE 01 CITY : DERRY STATE/ZIP : NH 03038 MORTGAGE AMOUNT : 362,700.00 OPTION TO CONVERT : UNPAID BALANCE : 359,194.70 ANNUAL RATE ADJUST: MONTHLY P&I : 3,224.67 OUTSIDE CONV DATE : LIFETIME RATE : 6.82500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.82500 PRODUCT CODE : 002 LTV : 72.54000 ---------------------------------------------------------------- 0 0031371578 MORTGAGORS: MOSS RONALD REGION CODE ADDRESS : 9904 MATHIAS COURT 01 CITY : RALEIGH STATE/ZIP : NC 27615 MORTGAGE AMOUNT : 433,000.00 OPTION TO CONVERT : UNPAID BALANCE : 391,579.05 ANNUAL RATE ADJUST: MONTHLY P&I : 3,891.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/11 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 77.32100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,861,700.00 P & I AMT: 16,802.94 UPB AMT: 1,803,247.06 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 41 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031375462 MORTGAGORS: PEARLMAN STEPHEN PEARLMAN LORRAINE REGION CODE ADDRESS : 103 UNDERCLIFF ROAD 01 CITY : MONTCLAIR STATE/ZIP : NJ 07042 MORTGAGE AMOUNT : 490,500.00 OPTION TO CONVERT : UNPAID BALANCE : 490,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,443.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031375835 MORTGAGORS: SHEPP STEVEN REGION CODE ADDRESS : 2604 NESBITT ROAD 01 CITY : TOPANGA STATE/ZIP : CA 90290 MORTGAGE AMOUNT : 319,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,450.06 ANNUAL RATE ADJUST: MONTHLY P&I : 2,934.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.75000 ---------------------------------------------------------------- 0 0031375868 MORTGAGORS: LYMAN RICHARD LYMAN SHANNON REGION CODE ADDRESS : 1541 21ST STREET 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 425,000.00 OPTION TO CONVERT : UNPAID BALANCE : 423,644.52 ANNUAL RATE ADJUST: MONTHLY P&I : 3,790.38 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 78.70300 ---------------------------------------------------------------- 0 0031376734 MORTGAGORS: BECKMAN MICHAEL BECKMAN ELIZABETH REGION CODE ADDRESS : 9655 LAKEWOOD CIRCLE 01 CITY : CHASKA STATE/ZIP : MN 55318 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,191.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,665.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031379472 MORTGAGORS: DALLI JOSEPH DALLI SANDRA REGION CODE ADDRESS : 55 ADAM COURT 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,355.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 32.50000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,786,500.00 P & I AMT: 16,188.77 UPB AMT: 1,778,786.35 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 42 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031388044 MORTGAGORS: MARINO VINCENT MARINO ELIZABETH REGION CODE ADDRESS : 221 SANDY VALLEY ROAD 01 CITY : DEDHAM STATE/ZIP : MA 02026 MORTGAGE AMOUNT : 575,000.00 OPTION TO CONVERT : UNPAID BALANCE : 575,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 5,168.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 47.91600 ---------------------------------------------------------------- 0 0031395205 MORTGAGORS: GIBBONS-NEFF PETER GIBBONS-NEFF DEBORAH REGION CODE ADDRESS : 120 BROWNING LANE 01 CITY : ROSEMONT STATE/ZIP : PA 19010 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,204.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,647.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.50000 ---------------------------------------------------------------- 0 0031407547 MORTGAGORS: COSTISEVSCHI CONSTANTIN COSTISEVSCHI LIDIA REGION CODE ADDRESS : 60 AMBERWOOD LANE 01 CITY : WALNUT CREEK STATE/ZIP : CA 94598 MORTGAGE AMOUNT : 239,200.00 OPTION TO CONVERT : UNPAID BALANCE : 236,898.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,133.32 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031413289 MORTGAGORS: HLA PHYU REGION CODE ADDRESS : 7809 JOLIET DRIVE SOUTH 01 CITY : TINLEY PARK STATE/ZIP : IL 60477 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 328,981.30 ANNUAL RATE ADJUST: MONTHLY P&I : 3,012.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031413313 MORTGAGORS: BROTINE BRENT BROTINE BARBARA REGION CODE ADDRESS : 2758 PRAIRIE AVE 01 CITY : EVANSTON STATE/ZIP : IL 60201 MORTGAGE AMOUNT : 283,600.00 OPTION TO CONVERT : UNPAID BALANCE : 281,156.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,629.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.69800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,717,800.00 P & I AMT: 15,590.34 UPB AMT: 1,710,239.72 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 43 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031414337 MORTGAGORS: MELNICK AVROHM MELNICK LISA REGION CODE ADDRESS : 24 BUCKSKIN DR 01 CITY : WESTON STATE/ZIP : MA 02193 MORTGAGE AMOUNT : 595,000.00 OPTION TO CONVERT : UNPAID BALANCE : 591,355.30 ANNUAL RATE ADJUST: MONTHLY P&I : 5,473.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 59.50000 ---------------------------------------------------------------- 0 0031438740 MORTGAGORS: MCKENZIE ROBERT REGION CODE ADDRESS : 1800 NORTH ALANTON DRIVE 01 CITY : VIRGINIA BEACH STATE/ZIP : VA 23454 MORTGAGE AMOUNT : 555,000.00 OPTION TO CONVERT : UNPAID BALANCE : 555,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,872.87 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 63.79300 ---------------------------------------------------------------- 0 0031444904 MORTGAGORS: LITTLE THOMAS LITTLE RUTH REGION CODE ADDRESS : TEXAS RD 01 CITY : EASTON STATE/ZIP : PA 18042 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 500,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,355.54 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 72.72700 ---------------------------------------------------------------- 0 0031446594 MORTGAGORS: BLAYLOCK KIM BLAYLOCK MICHELE REGION CODE ADDRESS : 4651 PANNONIA ROAD 01 CITY : CARLSBAD STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,847.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,452.60 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 02/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 74.32400 ---------------------------------------------------------------- 0 0031454291 MORTGAGORS: LINSMAYER J. REGION CODE ADDRESS : 8170 HILL TRAIL NORTH 01 CITY : LAKE ELMO STATE/ZIP : MN 55042 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,679.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 58.82300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,325,000.00 P & I AMT: 20,834.25 UPB AMT: 2,316,203.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 44 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031455322 MORTGAGORS: SIMS DEAN REGION CODE ADDRESS : 834 S DAKOTA AVE 01 CITY : TAMPA STATE/ZIP : FL 33606 MORTGAGE AMOUNT : 436,950.00 OPTION TO CONVERT : UNPAID BALANCE : 435,571.44 ANNUAL RATE ADJUST: MONTHLY P&I : 3,927.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031458193 MORTGAGORS: WILLIA N. WILLIA ROOKMINI REGION CODE ADDRESS : 1385 FOX RIDGE TRAIL 01 CITY : SIOUX CITY STATE/ZIP : IA 51104 MORTGAGE AMOUNT : 255,750.00 OPTION TO CONVERT : UNPAID BALANCE : 254,969.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,352.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 71.04100 ---------------------------------------------------------------- 0 0031461072 MORTGAGORS: TONE THOMAS TONE BARBARA REGION CODE ADDRESS : 455 OLDSTONE PLACE 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,145.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,633.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.13300 ---------------------------------------------------------------- 0 0031461957 MORTGAGORS: MICHAELSON DANIEL MICHAELSON KAYE REGION CODE ADDRESS : 12108 VIEWCREST ROAD 01 CITY : STUDIO CITY (AREA) STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,209.03 ANNUAL RATE ADJUST: MONTHLY P&I : 2,211.80 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 78.73000 ---------------------------------------------------------------- 0 0031471642 MORTGAGORS: DOETZER WILLIAM DOETZER KATHLEEN REGION CODE ADDRESS : NYS ROUTE 9L EAST SIDE (T/O QUEENSB 01 CITY : LAKE GEORGE STATE/ZIP : NY 12845 MORTGAGE AMOUNT : 383,000.00 OPTION TO CONVERT : UNPAID BALANCE : 383,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,496.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/08 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 52.46500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,616,700.00 P & I AMT: 15,621.98 UPB AMT: 1,611,895.36 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 45 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031473051 MORTGAGORS: GATES GARY GATES JANIE REGION CODE ADDRESS : 3605 WESTERN HILLS DRIVE 01 CITY : WEST DESMOINES STATE/ZIP : IA 50265 MORTGAGE AMOUNT : 89,250.00 OPTION TO CONVERT : UNPAID BALANCE : 89,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 802.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 250 LTV : 78.28900 ---------------------------------------------------------------- 0 0031481245 MORTGAGORS: DUMAS ROBERT DUMAS JANE REGION CODE ADDRESS : 114 SIGSBEE AVENUE 01 CITY : ALBERTSON STATE/ZIP : NY 11507 MORTGAGE AMOUNT : 262,500.00 OPTION TO CONVERT : UNPAID BALANCE : 261,707.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,433.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031488869 MORTGAGORS: SOMOANO JULIO REGION CODE ADDRESS : 288 ST. THOMAS AVENUE 01 CITY : KEY LARGO STATE/ZIP : FL 33037 MORTGAGE AMOUNT : 472,500.00 OPTION TO CONVERT : UNPAID BALANCE : 470,993.01 ANNUAL RATE ADJUST: MONTHLY P&I : 4,214.02 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031489214 MORTGAGORS: WISSLER JIM WISSLER LISA REGION CODE ADDRESS : 3737 PERKINS AVENUE 01 CITY : WALL LAKE STATE/ZIP : IA 51466 MORTGAGE AMOUNT : 61,600.00 OPTION TO CONVERT : UNPAID BALANCE : 61,409.98 ANNUAL RATE ADJUST: MONTHLY P&I : 571.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 76.04900 ---------------------------------------------------------------- 0 0031496292 MORTGAGORS: CHANDLER PHIL CHANDLER VAN REGION CODE ADDRESS : 1984 FREEBORN WAY 01 CITY : CAMARILLO STATE/ZIP : CA 93012 MORTGAGE AMOUNT : 563,100.00 OPTION TO CONVERT : UNPAID BALANCE : 559,458.81 ANNUAL RATE ADJUST: MONTHLY P&I : 4,982.93 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 75.08000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,448,950.00 P & I AMT: 13,003.61 UPB AMT: 1,442,819.02 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 46 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031497191 MORTGAGORS: RHODIN JEFFREY NETSKI CHRISTINE REGION CODE ADDRESS : 422 HANOVER STREET UNIT 4 01 CITY : BOSTON STATE/ZIP : MA 02113 MORTGAGE AMOUNT : 109,000.00 OPTION TO CONVERT : UNPAID BALANCE : 108,670.80 ANNUAL RATE ADJUST: MONTHLY P&I : 1,010.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 48.44400 ---------------------------------------------------------------- 0 0031498959 MORTGAGORS: DAVIS CHARLES DAVIS PATRICIA REGION CODE ADDRESS : 29356 PORT ROYAL WAY 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 267,900.00 OPTION TO CONVERT : UNPAID BALANCE : 265,430.85 ANNUAL RATE ADJUST: MONTHLY P&I : 2,464.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031500754 MORTGAGORS: FARNUNG FRANK FARNUNG DEBORAH REGION CODE ADDRESS : 11 ANGELICA DRIVE 01 CITY : AVONDALE STATE/ZIP : PA 19311 MORTGAGE AMOUNT : 259,250.00 OPTION TO CONVERT : UNPAID BALANCE : 258,432.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,330.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031500820 MORTGAGORS: SCHWARZ ROBERT REGION CODE ADDRESS : 25488 EAST COMFORT DRIVE 01 CITY : FOREST LAKE STATE/ZIP : MN 55025 MORTGAGE AMOUNT : 302,000.00 OPTION TO CONVERT : UNPAID BALANCE : 301,047.20 ANNUAL RATE ADJUST: MONTHLY P&I : 2,714.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 68.63600 ---------------------------------------------------------------- 0 0031501067 MORTGAGORS: WEIGLEIN FRANZ WEIGLEIN JERILYN REGION CODE ADDRESS : 6948 APPLEWOOD DRIVE 01 CITY : TOWN OF MIDDLETON STATE/ZIP : WI 53562 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,061.56 ANNUAL RATE ADJUST: MONTHLY P&I : 2,775.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,242,150.00 P & I AMT: 11,294.73 UPB AMT: 1,236,642.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 47 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031502818 MORTGAGORS: BRUCE EVE DEVANEY ALICE REGION CODE ADDRESS : 4 PINE SPRING LANE 01 CITY : OWINGS MILLS STATE/ZIP : MD 21117 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,064.31 ANNUAL RATE ADJUST: MONTHLY P&I : 2,906.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031503006 MORTGAGORS: REYNOLDS JAMES REYNOLDS ELMA REGION CODE ADDRESS : 1819 HARMON PLACE 01 CITY : GLENDALE STATE/ZIP : CA 91208 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,211.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,247.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.92307 ---------------------------------------------------------------- 0 0031505365 MORTGAGORS: NEUMANN DANIEL NEUMANN GAYLE REGION CODE ADDRESS : 62 SANDWEDGE 01 CITY : ST CHARLES STATE/ZIP : MO 63303 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,032.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 92.30700 ---------------------------------------------------------------- 0 0031505472 MORTGAGORS: RAHEBI MOHAMMAD REGION CODE ADDRESS : 15341 LONGBOW DRIVE 01 CITY : SHERMAN OAKS AREA STATE/ZIP : CA 91403 MORTGAGE AMOUNT : 318,000.00 OPTION TO CONVERT : UNPAID BALANCE : 316,996.73 ANNUAL RATE ADJUST: MONTHLY P&I : 2,858.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 70.66600 ---------------------------------------------------------------- 0 0031507312 MORTGAGORS: ANDERSON WILLIAM ANDERSON JAYNE REGION CODE ADDRESS : 4644 BLUEBONNET ROAD 01 CITY : BATON ROUGE STATE/ZIP : LA 70809 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,043.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,675.57 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 44.44400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,484,000.00 P & I AMT: 13,342.60 UPB AMT: 1,478,348.26 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 48 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031511173 MORTGAGORS: LAMOURELLE ALAIN LAMOURELLE REGINA REGION CODE ADDRESS : 22186 WESTCLIFF 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,487.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,556.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 40.00000 ---------------------------------------------------------------- 0 0031512379 MORTGAGORS: STROBER MICHEAL STROBER SHEILA REGION CODE ADDRESS : 9410 HARGIS STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90034 MORTGAGE AMOUNT : 333,500.00 OPTION TO CONVERT : UNPAID BALANCE : 332,413.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,928.11 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 79.40400 ---------------------------------------------------------------- 0 0031515463 MORTGAGORS: ASSARIAN STEVEN ASSARIAN HILDA REGION CODE ADDRESS : 18 EDMUNDS WAY 01 CITY : BELMONT STATE/ZIP : MA 02178 MORTGAGE AMOUNT : 418,000.00 OPTION TO CONVERT : UNPAID BALANCE : 416,723.68 ANNUAL RATE ADJUST: MONTHLY P&I : 3,845.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 49.17600 ---------------------------------------------------------------- 0 0031515794 MORTGAGORS: WALLACE ROBERT WALLACE LINDA REGION CODE ADDRESS : 840 MILMAR ROAD 01 CITY : NEWTOWN SQUARE STATE/ZIP : PA 19073 MORTGAGE AMOUNT : 297,500.00 OPTION TO CONVERT : UNPAID BALANCE : 297,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,757.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031518749 MORTGAGORS: HAWKINS WILLIAM HAWKINS CRYSTAL REGION CODE ADDRESS : 27841 WEST SHORE ROAD 01 CITY : LAKE ARROWHEAD STATE/ZIP : CA 92352 MORTGAGE AMOUNT : 277,100.00 OPTION TO CONVERT : UNPAID BALANCE : 275,961.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,568.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 64.44100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,606,100.00 P & I AMT: 14,656.02 UPB AMT: 1,601,085.80 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 49 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031520323 MORTGAGORS: MIGDAL BRUCE MIGDAL COLLEEN REGION CODE ADDRESS : 10934 BOULDER CANYON ROAD 01 CITY : RANCHO CUCAMONGA STATE/ZIP : CA 91730 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,176.85 ANNUAL RATE ADJUST: MONTHLY P&I : 2,541.78 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 71.25000 ---------------------------------------------------------------- 0 0031520810 MORTGAGORS: PIERSON DENNIS PIERSON KATHY REGION CODE ADDRESS : 3000 STEWART ROAD 01 CITY : LIMA STATE/ZIP : OH 45801 MORTGAGE AMOUNT : 455,000.00 OPTION TO CONVERT : UNPAID BALANCE : 453,548.83 ANNUAL RATE ADJUST: MONTHLY P&I : 4,057.94 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 63.63600 ---------------------------------------------------------------- 0 0031521057 MORTGAGORS: STERLING GAIL STERLING BECKY REGION CODE ADDRESS : 30104 WATERFORD DR 01 CITY : PERRYSBURG STATE/ZIP : OH 43551 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,692.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.72900 ---------------------------------------------------------------- 0 0031522279 MORTGAGORS: LEON JOSE SARRAGA-LEON MARY REGION CODE ADDRESS : 11 BROOK LANE 01 CITY : MANHASSETT STATE/ZIP : NY 11030 MORTGAGE AMOUNT : 385,000.00 OPTION TO CONVERT : UNPAID BALANCE : 385,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,487.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.75700 ---------------------------------------------------------------- 0 0031522816 MORTGAGORS: SHETTY VIVEKANANDA SHETTY SAPNA REGION CODE ADDRESS : LOT 88 SHIPLEY CIRCLE 01 CITY : WESTFORD STATE/ZIP : MA 01886 MORTGAGE AMOUNT : 279,900.00 OPTION TO CONVERT : UNPAID BALANCE : 279,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,476.87 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 73.67700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,699,900.00 P & I AMT: 15,257.00 UPB AMT: 1,696,625.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 50 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031523186 MORTGAGORS: BURKE BRENDAN BURKE PATRICIA REGION CODE ADDRESS : 5902 WELBORN DRIVE 01 CITY : BETHESDA STATE/ZIP : MD 20816 MORTGAGE AMOUNT : 302,750.00 OPTION TO CONVERT : UNPAID BALANCE : 300,854.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,742.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.12900 ---------------------------------------------------------------- 0 0031525256 MORTGAGORS: WOLF ARNOLD WOLF DOLORES REGION CODE ADDRESS : 11430 N BAYSHORE DR 01 CITY : NORTH MIAMI STATE/ZIP : FL 33181 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 498,422.53 ANNUAL RATE ADJUST: MONTHLY P&I : 4,494.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 58.82300 ---------------------------------------------------------------- 0 0031525363 MORTGAGORS: HOWELL RODNEY HOWELL JOAN REGION CODE ADDRESS : 9166 REGENCY WOODS DRIVE 01 CITY : KIRTLAND STATE/ZIP : OH 44094 MORTGAGE AMOUNT : 386,000.00 OPTION TO CONVERT : UNPAID BALANCE : 386,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,469.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.52300 ---------------------------------------------------------------- 0 0031526981 MORTGAGORS: SILVERMAN IRA SILVERMAN DIANA REGION CODE ADDRESS : 45 JOSEPH PLACE 01 CITY : WAYNE STATE/ZIP : NJ 07470 MORTGAGE AMOUNT : 321,000.00 OPTION TO CONVERT : UNPAID BALANCE : 321,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.26 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 72.95400 ---------------------------------------------------------------- 0 0031530728 MORTGAGORS: CULP BURRELL CULP BARBARA REGION CODE ADDRESS : 8772 PHEASANT LANE 01 CITY : KIRTLAND STATE/ZIP : OH 44094 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,471.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 52.38095 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,784,750.00 P & I AMT: 15,974.06 UPB AMT: 1,781,277.28 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 51 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031532807 MORTGAGORS: NGUYEN JEANNIE REGION CODE ADDRESS : 429 SOUTHWEST 347TH STREET 01 CITY : FEDERAL WAY STATE/ZIP : WA 98023 MORTGAGE AMOUNT : 267,750.00 OPTION TO CONVERT : UNPAID BALANCE : 266,923.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,444.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 65.66500 ---------------------------------------------------------------- 0 0031536444 MORTGAGORS: GEARY RUSSELL GEARY NANCIE REGION CODE ADDRESS : 3899 HUNTERS GROVE COURT 01 CITY : MOORPARK STATE/ZIP : CA 93021 MORTGAGE AMOUNT : 270,500.00 OPTION TO CONVERT : UNPAID BALANCE : 269,664.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,469.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.13800 ---------------------------------------------------------------- 0 0031537392 MORTGAGORS: YADGARI HOUSHANG MOADDEL JILLA REGION CODE ADDRESS : 201 S. OAKHURST DRIVE 01 CITY : BEVERLY HILLS STATE/ZIP : CA 90212 MORTGAGE AMOUNT : 356,000.00 OPTION TO CONVERT : UNPAID BALANCE : 353,722.66 ANNUAL RATE ADJUST: MONTHLY P&I : 3,175.00 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 53.13400 ---------------------------------------------------------------- 0 0031537699 MORTGAGORS: SMITH RAYMOND REGION CODE ADDRESS : 49 WATERMAN AVENUE 01 CITY : RUMSON STATE/ZIP : NJ 07760 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,094.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,626.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 61.83300 ---------------------------------------------------------------- 0 0031538093 MORTGAGORS: HARTMAN JOHN CARDINO STEPHEN REGION CODE ADDRESS : 1031 CLARKS LANE 01 CITY : SCOTCH PLAINS TOWNSHIP OF STATE/ZIP : NJ 07076 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,237.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,254.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.67700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,431,250.00 P & I AMT: 12,970.19 UPB AMT: 1,425,643.57 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 52 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031541667 MORTGAGORS: HARRIS E HARRIS ADELE REGION CODE ADDRESS : 8151 CIELO VISTA DRIVE 01 CITY : WHITTIER STATE/ZIP : CA 90605 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,167.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,327.74 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 52.20000 ---------------------------------------------------------------- 0 0031542418 MORTGAGORS: OROSZ EUGENE REGION CODE ADDRESS : 15 ADAMS HILL LANE 01 CITY : NEWTOWN STATE/ZIP : CT 06470 MORTGAGE AMOUNT : 366,750.00 OPTION TO CONVERT : UNPAID BALANCE : 365,554.72 ANNUAL RATE ADJUST: MONTHLY P&I : 3,220.05 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031554504 MORTGAGORS: TAKETA RICHARD TAKETA PATRICIA REGION CODE ADDRESS : 225 POINSETTIA AVENUE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92625 MORTGAGE AMOUNT : 665,000.00 OPTION TO CONVERT : UNPAID BALANCE : 662,924.66 ANNUAL RATE ADJUST: MONTHLY P&I : 6,023.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 015 LTV : 51.15300 ---------------------------------------------------------------- 0 0031555188 MORTGAGORS: HALL FRANKLIN JOHNSON HALL PATRICIA REGION CODE ADDRESS : 6 WATERVIEW CIRCLE 01 CITY : SMITHFIELD STATE/ZIP : VA 23430 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,333.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,549.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 68.75000 ---------------------------------------------------------------- 0 0031556681 MORTGAGORS: JABARA RICHARD REGION CODE ADDRESS : 87 HIGH RIDGE RD 01 CITY : RIDGEFIELD STATE/ZIP : CT 06877 MORTGAGE AMOUNT : 987,500.00 OPTION TO CONVERT : UNPAID BALANCE : 987,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 9,154.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 015 LTV : 62.30284 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,555,250.00 P & I AMT: 23,275.10 UPB AMT: 2,549,480.70 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 53 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031557408 MORTGAGORS: DUGGAN FRANCIS DUGGAN PATRICIA REGION CODE ADDRESS : 992 SHORE LAND DRIVE 01 CITY : GLEN BURNIE STATE/ZIP : MD 21060 MORTGAGE AMOUNT : 80,000.00 OPTION TO CONVERT : UNPAID BALANCE : 79,753.03 ANNUAL RATE ADJUST: MONTHLY P&I : 730.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 250 LTV : 74.76600 ---------------------------------------------------------------- 0 0031560030 MORTGAGORS: COHEN STEVEN COHEN DEBRA REGION CODE ADDRESS : 10726 OLD COACH LANE 01 CITY : HOUSTON STATE/ZIP : TX 77024 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 647,926.90 ANNUAL RATE ADJUST: MONTHLY P&I : 5,797.06 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 250 LTV : 70.44600 ---------------------------------------------------------------- 0 0031560337 MORTGAGORS: SMITH MERRILL SMITH JUDIE REGION CODE ADDRESS : 6389 WHITMORE HILL ROAD 01 CITY : DEER PARK STATE/ZIP : WA 99006 MORTGAGE AMOUNT : 69,000.00 OPTION TO CONVERT : UNPAID BALANCE : 68,798.38 ANNUAL RATE ADJUST: MONTHLY P&I : 654.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 38.33300 ---------------------------------------------------------------- 0 0031561814 MORTGAGORS: HSU KEIKO BEILSTEIN KENNETH REGION CODE ADDRESS : 23 LOOKOUT HILL ROAD 01 CITY : ESSEX STATE/ZIP : CT 06426 MORTGAGE AMOUNT : 288,850.00 OPTION TO CONVERT : UNPAID BALANCE : 286,982.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,556.07 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 67.96400 ---------------------------------------------------------------- 0 0031562168 MORTGAGORS: FRANKEL MARK FRANKEL CHRISTINE REGION CODE ADDRESS : 1510 KENTWOOD LANE 01 CITY : YORK STATE/ZIP : PA 17403 MORTGAGE AMOUNT : 490,000.00 OPTION TO CONVERT : UNPAID BALANCE : 488,503.83 ANNUAL RATE ADJUST: MONTHLY P&I : 4,507.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.15000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,577,850.00 P & I AMT: 14,245.50 UPB AMT: 1,571,964.32 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 54 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031564206 MORTGAGORS: GILMARTIN JOHN GILMARTIN STACEY REGION CODE ADDRESS : 88 ROCK ROAD 01 CITY : GLEN ROCK STATE/ZIP : NJ 07452 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,219.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 73.13400 ---------------------------------------------------------------- 0 0031564370 MORTGAGORS: HEPPES GERALD HEPPES MARA REGION CODE ADDRESS : 43788 HALEY COURT 01 CITY : ASHBURN STATE/ZIP : VA 20147 MORTGAGE AMOUNT : 265,600.00 OPTION TO CONVERT : UNPAID BALANCE : 264,780.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,424.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031564982 MORTGAGORS: BROWNING GLORIA REGION CODE ADDRESS : 2125 1ST AVE #3103 01 CITY : SEATTLE STATE/ZIP : WA 98121 MORTGAGE AMOUNT : 230,000.00 OPTION TO CONVERT : UNPAID BALANCE : 229,297.71 ANNUAL RATE ADJUST: MONTHLY P&I : 2,115.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 54.11700 ---------------------------------------------------------------- 0 0031566425 MORTGAGORS: KILPATRICK KEVIN KILPATRICK SHARON REGION CODE ADDRESS : 3648 BROUSSARD STREET 01 CITY : BATON ROUGE STATE/ZIP : LA 70808 MORTGAGE AMOUNT : 402,400.00 OPTION TO CONVERT : UNPAID BALANCE : 401,116.59 ANNUAL RATE ADJUST: MONTHLY P&I : 3,588.83 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 72.84500 ---------------------------------------------------------------- 0 0031567175 MORTGAGORS: FRIES DONALD FRIES KATHLEEN REGION CODE ADDRESS : 6 BLIND BROOK ROAD SOUTH 01 CITY : WESTPORT STATE/ZIP : CT 06880 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,940.79 ANNUAL RATE ADJUST: MONTHLY P&I : 2,853.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 57.93200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,468,000.00 P & I AMT: 13,201.99 UPB AMT: 1,464,135.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 55 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031567787 MORTGAGORS: LAVINE STEVEN LAVINE LAURI REGION CODE ADDRESS : 7690 WICKLEY WAY 01 CITY : ATLANTA STATE/ZIP : GA 30350 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,172.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,400.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.66600 ---------------------------------------------------------------- 0 0031568785 MORTGAGORS: MURRAY JOHN MURRAY PAULA REGION CODE ADDRESS : 18 BEVERLY ROAD 01 CITY : MADISON STATE/ZIP : NJ 07940 MORTGAGE AMOUNT : 348,750.00 OPTION TO CONVERT : UNPAID BALANCE : 347,685.13 ANNUAL RATE ADJUST: MONTHLY P&I : 3,208.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031569163 MORTGAGORS: TARASON ROBERT TARASON MARY REGION CODE ADDRESS : 4 NAUTICAL LANE 01 CITY : NAHANT STATE/ZIP : MA 01908 MORTGAGE AMOUNT : 535,000.00 OPTION TO CONVERT : UNPAID BALANCE : 532,306.27 ANNUAL RATE ADJUST: MONTHLY P&I : 4,808.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 72.00500 ---------------------------------------------------------------- 0 0031569627 MORTGAGORS: ZAMOST MARVIN REGION CODE ADDRESS : 5521 E. LONNA LINDA DRIVE 01 CITY : LONG BEACH STATE/ZIP : CA 90815 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,974.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,921.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 65.00000 ---------------------------------------------------------------- 0 0031569635 MORTGAGORS: SONG BAIZHENG GONG JIANLIN REGION CODE ADDRESS : 106 COCHITUATE ROAD 01 CITY : WAYLAND STATE/ZIP : MA 01778 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 352,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,188.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,825,750.00 P & I AMT: 16,527.14 UPB AMT: 1,820,139.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 56 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031570245 MORTGAGORS: RICHARDS STEPHEN RICHARDS CHRISTINE REGION CODE ADDRESS : 25 CIDER MILL ROAD 01 CITY : FRAMINGHAM STATE/ZIP : MA 01701 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,536.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031570641 MORTGAGORS: HOLSTEGE CHRISTOPHER HOLSTEGE ANGELA REGION CODE ADDRESS : 12508 CHADSWORTH PLACE 01 CITY : GLEN ALLEN STATE/ZIP : VA 23060 MORTGAGE AMOUNT : 251,702.00 OPTION TO CONVERT : UNPAID BALANCE : 250,890.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,227.33 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 94.99900 ---------------------------------------------------------------- 0 0031572076 MORTGAGORS: RICH LARRY RICH JANET REGION CODE ADDRESS : 317 NW ROYAL BOULEVARD 01 CITY : PORTLAND STATE/ZIP : OR 97210 MORTGAGE AMOUNT : 491,250.00 OPTION TO CONVERT : UNPAID BALANCE : 486,673.05 ANNUAL RATE ADJUST: MONTHLY P&I : 4,484.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031572134 MORTGAGORS: OSBERG JAMES OSBERG ELIZABETH REGION CODE ADDRESS : 815 GLASGOW CIRCLE 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 321,000.00 OPTION TO CONVERT : UNPAID BALANCE : 317,944.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,885.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 77.34900 ---------------------------------------------------------------- 0 0031573801 MORTGAGORS: NGUYEN PAUL PHAM THANH REGION CODE ADDRESS : 5401 BACKLICK WOODS COURT 01 CITY : SPRINGFIELD STATE/ZIP : VA 22151 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,936.78 ANNUAL RATE ADJUST: MONTHLY P&I : 3,029.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.29400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,680,952.00 P & I AMT: 15,162.39 UPB AMT: 1,671,444.34 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 57 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031574551 MORTGAGORS: MCMANUS MARY REGION CODE ADDRESS : 22 PRESTON COURT 01 CITY : SWAMPSCOTT STATE/ZIP : MA 01907 MORTGAGE AMOUNT : 550,000.00 OPTION TO CONVERT : UNPAID BALANCE : 550,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,867.00 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 67.07300 ---------------------------------------------------------------- 0 0031575350 MORTGAGORS: SULLIVAN PAUL SULLIVAN ULLA REGION CODE ADDRESS : 6 ACORN STREET 01 CITY : BOSTON STATE/ZIP : MA 02108 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 363,860.91 ANNUAL RATE ADJUST: MONTHLY P&I : 3,306.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 33.18100 ---------------------------------------------------------------- 0 0031575426 MORTGAGORS: JONES HENRY OXENRIDER STEPHEN REGION CODE ADDRESS : 810 19TH STREET SOUTH 01 CITY : ARLINGTON STATE/ZIP : VA 22202 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,259.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,190.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031579378 MORTGAGORS: JORDAN J. REGION CODE ADDRESS : 5841 SKY PARK DRIVE 01 CITY : PLANO STATE/ZIP : TX 75093 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,093.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,781.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 93.75000 ---------------------------------------------------------------- 0 0031579691 MORTGAGORS: NUNNERY LARRY GLICK EILENE REGION CODE ADDRESS : 4N941 CRANE RD 01 CITY : ST. CHARLES STATE/ZIP : IL 60175 MORTGAGE AMOUNT : 445,000.00 OPTION TO CONVERT : UNPAID BALANCE : 445,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 5,282.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/08 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,900,000.00 P & I AMT: 18,427.42 UPB AMT: 1,897,214.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 58 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031580764 MORTGAGORS: JACKSON JONATHAN JACKSON REBECCA REGION CODE ADDRESS : 610 SOUTH UDALL 01 CITY : MESA STATE/ZIP : AZ 85204 MORTGAGE AMOUNT : 56,800.00 OPTION TO CONVERT : UNPAID BALANCE : 56,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 559.33 OUTSIDE CONV DATE : LIFETIME RATE : 8.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 8.50000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031581341 MORTGAGORS: REPASKY RONALD KERESMAN MAUREEN REGION CODE ADDRESS : 144 WIDENER DRIVE 01 CITY : WINCHESTER STATE/ZIP : VA 22603 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,197.38 ANNUAL RATE ADJUST: MONTHLY P&I : 2,373.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031582729 MORTGAGORS: CAMPBELL ROBERT CLARK SANDRA REGION CODE ADDRESS : 15600 SOL SEMENTE TRAIL 01 CITY : REDDING STATE/ZIP : CA 96001 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,458.38 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 64.36700 ---------------------------------------------------------------- 0 0031584634 MORTGAGORS: REMEIKA FRANCIS GALLIPEAU CAROLE REGION CODE ADDRESS : 31 BROWN STREET 01 CITY : MARBLEHEAD STATE/ZIP : MA 01945 MORTGAGE AMOUNT : 317,000.00 OPTION TO CONVERT : UNPAID BALANCE : 316,032.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,916.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 63.40000 ---------------------------------------------------------------- 0 0031589443 MORTGAGORS: WILLIAMS ELIZABETH WILLIAMS JOHN REGION CODE ADDRESS : 112 STONE CLIFF ROAD 01 CITY : PRINCETON STATE/ZIP : NJ 08540 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 647,993.47 ANNUAL RATE ADJUST: MONTHLY P&I : 5,933.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.21600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,563,800.00 P & I AMT: 14,240.93 UPB AMT: 1,560,022.92 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 59 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031589609 MORTGAGORS: BROOKER STEVEN BROOKER CHRISTI REGION CODE ADDRESS : 615 E. WALNUT STREET 01 CITY : HINSDALE STATE/ZIP : IL 60521 MORTGAGE AMOUNT : 515,000.00 OPTION TO CONVERT : UNPAID BALANCE : 513,391.81 ANNUAL RATE ADJUST: MONTHLY P&I : 4,665.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.23000 ---------------------------------------------------------------- 0 0031589690 MORTGAGORS: LEITSTEIN SCOTT LEITSTEIN MARGARET REGION CODE ADDRESS : 8 CHAMPION WAY 01 CITY : MANALAPAN TOWNSHIP STATE/ZIP : NJ 07726 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,651.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 83.41300 ---------------------------------------------------------------- 0 0031590755 MORTGAGORS: STOLPMAN THOMAS STOLPMAN MARILYN REGION CODE ADDRESS : 4157 OCEAN DRIVE 01 CITY : OXNARD STATE/ZIP : CA 93035 MORTGAGE AMOUNT : 465,000.00 OPTION TO CONVERT : UNPAID BALANCE : 460,008.77 ANNUAL RATE ADJUST: MONTHLY P&I : 4,082.67 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 50.27020 ---------------------------------------------------------------- 0 0031590763 MORTGAGORS: HYNES JAMES HYNES CARDELLA REGION CODE ADDRESS : 1413 WEST KIRKWALL ROAD 01 CITY : CITY OF SAN DIMAS STATE/ZIP : CA 91773 MORTGAGE AMOUNT : 171,000.00 OPTION TO CONVERT : UNPAID BALANCE : 169,372.04 ANNUAL RATE ADJUST: MONTHLY P&I : 1,537.00 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031591381 MORTGAGORS: RUBENSTEIN BRADLEY REGION CODE ADDRESS : 30 IRONWOOD ROAD 01 CITY : NORTH ANDOVER STATE/ZIP : MA 01845 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,572.27 OUTSIDE CONV DATE : LIFETIME RATE : 6.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.25000 PRODUCT CODE : 002 LTV : 47.69400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,851,000.00 P & I AMT: 16,508.43 UPB AMT: 1,842,772.62 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 60 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031591407 MORTGAGORS: CARTER SHANNON REGION CODE ADDRESS : 650 TIGERVILLE RD 01 CITY : LIVINGSTON STATE/ZIP : TX 77351 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,013.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,677.89 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 03/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 76.25000 ---------------------------------------------------------------- 0 0031591779 MORTGAGORS: WANG THOMAS LEE RUTH REGION CODE ADDRESS : 12423 BEAUCHAMPS LANE 01 CITY : SARATOGA STATE/ZIP : CA 95070 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 316,994.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,943.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 26.66660 ---------------------------------------------------------------- 0 0031592074 MORTGAGORS: FOTCH ROGER FOTCH JUDITH REGION CODE ADDRESS : 2101 SMOKEWOOD AVENUE 01 CITY : FULLERTON STATE/ZIP : CA 92831 MORTGAGE AMOUNT : 252,750.00 OPTION TO CONVERT : UNPAID BALANCE : 251,218.55 ANNUAL RATE ADJUST: MONTHLY P&I : 2,343.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031592959 MORTGAGORS: SWITZER BARRY REGION CODE ADDRESS : 404 BERKSHIRE LANE 01 CITY : COPPELL STATE/ZIP : TX 75019 MORTGAGE AMOUNT : 488,000.00 OPTION TO CONVERT : UNPAID BALANCE : 486,426.64 ANNUAL RATE ADJUST: MONTHLY P&I : 4,318.36 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031592967 MORTGAGORS: DAEN MATTHEW DAEN KIRSTIN REGION CODE ADDRESS : 422 CUMNOR AVENUE 01 CITY : KENILWORTH STATE/ZIP : IL 60043 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 498,473.30 ANNUAL RATE ADJUST: MONTHLY P&I : 4,599.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 49.26100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,865,750.00 P & I AMT: 16,882.65 UPB AMT: 1,853,126.31 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 61 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031594328 MORTGAGORS: SWANBERG CHARLES SWANBERG ROBIN REGION CODE ADDRESS : 101 HUNDREDS RD 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 800,000.00 OPTION TO CONVERT : UNPAID BALANCE : 797,530.43 ANNUAL RATE ADJUST: MONTHLY P&I : 7,302.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 015 LTV : 43.95600 ---------------------------------------------------------------- 0 0031594591 MORTGAGORS: PHILIPPIDES STYLIANOS REGION CODE ADDRESS : 1831 MUSEUM ROAD 01 CITY : WYOMISSING STATE/ZIP : PA 19610 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,717.36 ANNUAL RATE ADJUST: MONTHLY P&I : 2,236.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 27.84000 ---------------------------------------------------------------- 0 0031595978 MORTGAGORS: STANLEY ANDREW STANLEY MARY REGION CODE ADDRESS : 21 BEAVER CREEK 01 CITY : SHELBURNE STATE/ZIP : VT 05482 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,427.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031596133 MORTGAGORS: STUTZMAN CHARLES STUTZMAN JEAN REGION CODE ADDRESS : 1 BOULDER BROOK ROAD 01 CITY : EAST SANDWICH STATE/ZIP : MA 02537 MORTGAGE AMOUNT : 203,000.00 OPTION TO CONVERT : UNPAID BALANCE : 202,386.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,881.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 78.07600 ---------------------------------------------------------------- 0 0031597909 MORTGAGORS: KARPENSKE DAVID KARPENSKE MARY REGION CODE ADDRESS : 277 HIDDEN GLEN DRIVE 01 CITY : SCOTTS VALLEY STATE/ZIP : CA 95066 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 426,678.78 ANNUAL RATE ADJUST: MONTHLY P&I : 3,907.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,944,000.00 P & I AMT: 17,755.92 UPB AMT: 1,937,313.49 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 62 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031597933 MORTGAGORS: PETTY CLIFTON PETTY SHIRLEY REGION CODE ADDRESS : 16911 MEADOW LANE 01 CITY : BELTON STATE/ZIP : MO 64012 MORTGAGE AMOUNT : 432,000.00 OPTION TO CONVERT : UNPAID BALANCE : 430,666.43 ANNUAL RATE ADJUST: MONTHLY P&I : 3,943.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031598857 MORTGAGORS: KRIWANEK LAWRENCE KRIWANEK GRETCHEN REGION CODE ADDRESS : 27969 WEST SHORE ROAD 01 CITY : LAKE ARROWHEAD STATE/ZIP : CA 92352 MORTGAGE AMOUNT : 295,600.00 OPTION TO CONVERT : UNPAID BALANCE : 294,717.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,761.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031598980 MORTGAGORS: GUPTA SHAILENDER GUPTA RENUKA REGION CODE ADDRESS : 11720 LAKE POTOMAC DRIVE 01 CITY : POTOMAC STATE/ZIP : MD 20854 MORTGAGE AMOUNT : 600,000.00 OPTION TO CONVERT : UNPAID BALANCE : 598,107.03 ANNUAL RATE ADJUST: MONTHLY P&I : 5,392.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 50.00000 ---------------------------------------------------------------- 0 0031600497 MORTGAGORS: FADEN GLENN COX BETTY REGION CODE ADDRESS : 60 LAS CASAS 01 CITY : SAN RAFAEL STATE/ZIP : CA 94901 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,651.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 65.57300 ---------------------------------------------------------------- 0 0031600646 MORTGAGORS: TIEMAN WILLIAM TIEMAN KATHLEEN REGION CODE ADDRESS : 3966 MONROE STREET 01 CITY : CARLSBAD STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 281,500.00 OPTION TO CONVERT : UNPAID BALANCE : 280,611.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,530.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 64.56400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,009,100.00 P & I AMT: 18,279.49 UPB AMT: 2,004,102.33 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 63 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031601164 MORTGAGORS: PENNINGTON MARK REGION CODE ADDRESS : 195 SILVERADO SPRINGS DRIVE 01 CITY : NAPA STATE/ZIP : CA 94558 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,736.79 ANNUAL RATE ADJUST: MONTHLY P&I : 3,097.18 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 77.77700 ---------------------------------------------------------------- 0 0031601875 MORTGAGORS: KATSUKI GARY KATSUKI ANNA REGION CODE ADDRESS : 9886 PETUNIA AVENUE 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,217.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,229.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031602204 MORTGAGORS: HACKETT WILLIAM BURKS-HACKETT KATHERINE REGION CODE ADDRESS : 34 WILSHIRE DRIVE 01 CITY : BELLE MEAD STATE/ZIP : NJ 08502 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,641.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.82200 ---------------------------------------------------------------- 0 0031603244 MORTGAGORS: VIDELEFSKY SEARLE VIDELEFSKY RENEE REGION CODE ADDRESS : 4620 RIVER BOTTOM DRIVE 01 CITY : NORCROSS STATE/ZIP : GA 30092 MORTGAGE AMOUNT : 300,001.00 OPTION TO CONVERT : UNPAID BALANCE : 300,001.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,675.57 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 66.66600 ---------------------------------------------------------------- 0 0031603632 MORTGAGORS: MITNIK OLEG MITNIK RONIT REGION CODE ADDRESS : 120 EAST 87TH STREET APT#R16E 01 CITY : NEW YORK STATE/ZIP : NY 10128 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 647,993.47 ANNUAL RATE ADJUST: MONTHLY P&I : 5,933.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 250 LTV : 73.44600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,833,001.00 P & I AMT: 16,577.44 UPB AMT: 1,827,948.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 64 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031603640 MORTGAGORS: PATEL MAYUR PATEL KALPANA REGION CODE ADDRESS : 29 GRAY STONE WAY 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 559,300.00 OPTION TO CONVERT : UNPAID BALANCE : 557,592.23 ANNUAL RATE ADJUST: MONTHLY P&I : 5,145.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031604192 MORTGAGORS: CONRARDY JOHN CONRARDY STEPHANIE REGION CODE ADDRESS : 772 FRANKLIN STREET 01 CITY : DENVER STATE/ZIP : CO 80218 MORTGAGE AMOUNT : 263,750.00 OPTION TO CONVERT : UNPAID BALANCE : 262,926.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,389.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 59.94300 ---------------------------------------------------------------- 0 0031604515 MORTGAGORS: MUELLER FRANCIS MUELLER ANGELA REGION CODE ADDRESS : 1515 DIAMOND MOUNTAIN ROAD 01 CITY : CALISTOGA STATE/ZIP : CA 94515 MORTGAGE AMOUNT : 378,550.00 OPTION TO CONVERT : UNPAID BALANCE : 377,342.67 ANNUAL RATE ADJUST: MONTHLY P&I : 3,376.11 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 43.26200 ---------------------------------------------------------------- 0 0031605199 MORTGAGORS: CALVIN JAMES MADHU KAMALA REGION CODE ADDRESS : 286 EMERSON ROAD 01 CITY : LEXINGTON STATE/ZIP : MA 02173 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,219.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 67.12300 ---------------------------------------------------------------- 0 0031605678 MORTGAGORS: NATAPOW ROBERT NATAPOW KATHLEEN REGION CODE ADDRESS : 100 HARBOR DRIVE UNIT2404 01 CITY : SAN DIEGO STATE/ZIP : CA 92101 MORTGAGE AMOUNT : 306,000.00 OPTION TO CONVERT : UNPAID BALANCE : 306,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,793.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 50.49500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,752,600.00 P & I AMT: 15,923.03 UPB AMT: 1,748,861.79 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 65 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031606072 MORTGAGORS: MORALES CATHERINE MORALES FERNANDO REGION CODE ADDRESS : 923 22ND STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90403 MORTGAGE AMOUNT : 445,800.00 OPTION TO CONVERT : UNPAID BALANCE : 445,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,038.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.30000 ---------------------------------------------------------------- 0 0031607310 MORTGAGORS: HERNANDEZ OSCAR HERNANDEZ ELISE REGION CODE ADDRESS : 41452 FRITCHIE LANE 01 CITY : SLIDELL STATE/ZIP : LA 70461 MORTGAGE AMOUNT : 309,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,046.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,820.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.57100 ---------------------------------------------------------------- 0 0031607435 MORTGAGORS: SALAVATIAN FARZIN SHOKRAI NEDA REGION CODE ADDRESS : 25 EAST YALE LOOP 01 CITY : IRVINE STATE/ZIP : CA 92604 MORTGAGE AMOUNT : 289,700.00 OPTION TO CONVERT : UNPAID BALANCE : 288,825.08 ANNUAL RATE ADJUST: MONTHLY P&I : 2,685.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.98300 ---------------------------------------------------------------- 0 0031607914 MORTGAGORS: HARNIK ALAN HARNIK GILLIAN REGION CODE ADDRESS : 4 RIDGEWAY WEST 01 CITY : WEST ANN ARBOR STATE/ZIP : MI 48104 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,150.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,282.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.20400 ---------------------------------------------------------------- 0 0031608748 MORTGAGORS: OWENS BARRY OWENS DEBORAH REGION CODE ADDRESS : 1699 WATER GLEN DRIVE 01 CITY : WEST CHESTER STATE/ZIP : PA 19382 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,853.93 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,614,500.00 P & I AMT: 14,680.59 UPB AMT: 1,610,821.25 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 66 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031609449 MORTGAGORS: MOLITOR THEODORE MOLITOR ANN REGION CODE ADDRESS : 743 KESSLER LAKE DRIVE 01 CITY : DALLAS STATE/ZIP : TX 75208 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,516.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031609621 MORTGAGORS: SOLTYSIAK SAMUEL SOLTYSIAK CAROL REGION CODE ADDRESS : 1648 WEST AVENUE, K-11 01 CITY : LANCASTER STATE/ZIP : CA 93534 MORTGAGE AMOUNT : 92,150.00 OPTION TO CONVERT : UNPAID BALANCE : 92,150.00 ANNUAL RATE ADJUST: MONTHLY P&I : 847.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 95.00000 ---------------------------------------------------------------- 0 0031609936 MORTGAGORS: MANGILI VINCENT REGION CODE ADDRESS : 109 SUMMER STREET 01 CITY : HINGHAM STATE/ZIP : MA 02043 MORTGAGE AMOUNT : 317,250.00 OPTION TO CONVERT : UNPAID BALANCE : 317,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,918.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031610686 MORTGAGORS: CURRIER JOSEPH CURRIER ELIZABETH REGION CODE ADDRESS : 1071 MEADOWSWEET DRIVE 01 CITY : CORTE MADERA STATE/ZIP : CA 94925 MORTGAGE AMOUNT : 389,000.00 OPTION TO CONVERT : UNPAID BALANCE : 387,825.17 ANNUAL RATE ADJUST: MONTHLY P&I : 3,606.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 64.83300 ---------------------------------------------------------------- 0 0031612328 MORTGAGORS: FRISK JAMES FRISK JULIE REGION CODE ADDRESS : 6407 15TH ST N 01 CITY : FARGO STATE/ZIP : ND 58102 MORTGAGE AMOUNT : 379,000.00 OPTION TO CONVERT : UNPAID BALANCE : 379,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,433.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.31300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,457,400.00 P & I AMT: 13,322.07 UPB AMT: 1,456,225.17 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 67 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031613821 MORTGAGORS: BOX ALAN BOX JUDITH REGION CODE ADDRESS : 9949 SOUTH CLYDE PLACE 01 CITY : HIGHLANDS RANCH STATE/ZIP : CO 80126 MORTGAGE AMOUNT : 245,800.00 OPTION TO CONVERT : UNPAID BALANCE : 245,024.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,209.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99700 ---------------------------------------------------------------- 0 0031614118 MORTGAGORS: KEHOE MARY REGION CODE ADDRESS : 196 NEPTUNE AVENUE 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 348,000.00 OPTION TO CONVERT : UNPAID BALANCE : 345,797.76 ANNUAL RATE ADJUST: MONTHLY P&I : 3,127.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031616766 MORTGAGORS: LYONS JOHN LYONS PAMELA REGION CODE ADDRESS : 436 ROUND HILL ROAD 01 CITY : SAINT DAVIDS STATE/ZIP : PA 19087 MORTGAGE AMOUNT : 286,800.00 OPTION TO CONVERT : UNPAID BALANCE : 286,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,597.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 59.13400 ---------------------------------------------------------------- 0 0031616873 MORTGAGORS: TSENG YUNG TSENG MIN-LING REGION CODE ADDRESS : 357 MELLOW LANE 01 CITY : LA CANADA - FLINTRIDGE STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 450,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,044.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 70.86600 ---------------------------------------------------------------- 0 0031617079 MORTGAGORS: COX LOUIS COX MELISSA REGION CODE ADDRESS : 7052 HIGHWAY CR-30A 01 CITY : PORT ST. JOE STATE/ZIP : FL 32456 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,318.83 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,590,600.00 P & I AMT: 14,298.72 UPB AMT: 1,587,622.27 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 68 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031617293 MORTGAGORS: CAVANAUGH WAYNE REGION CODE ADDRESS : 1361 INDEPENDENCE WAY 01 CITY : VISTA STATE/ZIP : CA 92084 MORTGAGE AMOUNT : 60,000.00 OPTION TO CONVERT : UNPAID BALANCE : 59,628.44 ANNUAL RATE ADJUST: MONTHLY P&I : 547.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 250 LTV : 40.00000 ---------------------------------------------------------------- 0 0031617319 MORTGAGORS: LIZZA FERDINAND REGION CODE ADDRESS : 963 EDWARDS ROAD 01 CITY : PARSIPPANY STATE/ZIP : NJ 07054 MORTGAGE AMOUNT : 153,750.00 OPTION TO CONVERT : UNPAID BALANCE : 153,302.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,469.32 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 8.00000 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- 0 0031617616 MORTGAGORS: KAUDERS CHRISTOPHER REGION CODE ADDRESS : 337 HIGHLAND AVE 01 CITY : NEWTON STATE/ZIP : MA 99999 MORTGAGE AMOUNT : 600,000.00 OPTION TO CONVERT : UNPAID BALANCE : 600,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 5,519.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 58.53600 ---------------------------------------------------------------- 0 0031617871 MORTGAGORS: NOAH RAYMOND NOAH TINA REGION CODE ADDRESS : 4330 VALLEY RIDGE ROAD 01 CITY : DALLAS STATE/ZIP : TX 75220 MORTGAGE AMOUNT : 323,350.00 OPTION TO CONVERT : UNPAID BALANCE : 321,634.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,883.82 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 76.80500 ---------------------------------------------------------------- 0 0031618663 MORTGAGORS: MARSTON GREGG MARSTON CAROLINE REGION CODE ADDRESS : 114 FORESIDE ROAD 01 CITY : CUMBERLAND FORESIDE STATE/ZIP : ME 04110 MORTGAGE AMOUNT : 263,350.00 OPTION TO CONVERT : UNPAID BALANCE : 263,350.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,348.70 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 72.15000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,400,450.00 P & I AMT: 12,769.10 UPB AMT: 1,397,915.45 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 69 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031619265 MORTGAGORS: GATES DON GATES ROBIN REGION CODE ADDRESS : 9361 TAHITI CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 220,700.00 OPTION TO CONVERT : UNPAID BALANCE : 220,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,061.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.62500 PRODUCT CODE : 250 LTV : 79.99200 ---------------------------------------------------------------- 0 0031619299 MORTGAGORS: COGAN JAMES COGAN JOANNE REGION CODE ADDRESS : 576 CRITCKETFIELD COURT 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 447,121.33 ANNUAL RATE ADJUST: MONTHLY P&I : 4,013.35 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 52.02300 ---------------------------------------------------------------- 0 0031619976 MORTGAGORS: NEILSON DAVID NEILSON SHERI REGION CODE ADDRESS : 24327 FAIRWAY DRIVE 01 CITY : DAVIS STATE/ZIP : CA 95616 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,942.96 ANNUAL RATE ADJUST: MONTHLY P&I : 3,244.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.06800 ---------------------------------------------------------------- 0 0031620560 MORTGAGORS: TUNIS PETER TUNIS PAMELA REGION CODE ADDRESS : 2212 STACY LANE 01 CITY : CAMARILLO STATE/ZIP : CA 93012 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,301.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031620693 MORTGAGORS: MAKINENI SIVAKUMAR GULLAPALLI SUPRIYA REGION CODE ADDRESS : 481 SOUTH FRANCES STREET 01 CITY : SUNNYVALE STATE/ZIP : CA 94086 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,626.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 69.87900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,566,700.00 P & I AMT: 14,247.44 UPB AMT: 1,562,764.29 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 70 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031620966 MORTGAGORS: CURRY PETER REGION CODE ADDRESS : 100 FOOTHILL BLVD 01 CITY : SAN LUIS OBISPO STATE/ZIP : CA 93405 MORTGAGE AMOUNT : 91,500.00 OPTION TO CONVERT : UNPAID BALANCE : 91,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 848.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 31.01600 ---------------------------------------------------------------- 0 0031621048 MORTGAGORS: HOFMA LAWRENCE HOFMA LINDA REGION CODE ADDRESS : 15280 HOPEFUL CHURCH ROAD 01 CITY : BUMPASS STATE/ZIP : VA 23024 MORTGAGE AMOUNT : 80,000.00 OPTION TO CONVERT : UNPAID BALANCE : 80,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 724.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 43.59600 ---------------------------------------------------------------- 0 0031621162 MORTGAGORS: QUAGLIATA LOUIS REGION CODE ADDRESS : 46 COMMONWEALTH AVENUE UNIT 7 01 CITY : BOSTON STATE/ZIP : MA 02116 MORTGAGE AMOUNT : 309,750.00 OPTION TO CONVERT : UNPAID BALANCE : 309,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,827.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031621287 MORTGAGORS: YOON ICK YOON HYOHI REGION CODE ADDRESS : 12 SAN GARIN 01 CITY : IRVINE STATE/ZIP : CA 92606 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,043.18 ANNUAL RATE ADJUST: MONTHLY P&I : 2,675.57 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.87200 ---------------------------------------------------------------- 0 0031621303 MORTGAGORS: HE LI-JING LIOU FANG-LIN REGION CODE ADDRESS : 1706 LEXINGTON ROAD 01 CITY : GREEN OAKS STATE/ZIP : IL 60048 MORTGAGE AMOUNT : 303,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,744.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 76.13000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,084,250.00 P & I AMT: 9,820.72 UPB AMT: 1,083,293.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 71 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031621477 MORTGAGORS: DONG ROBERT DONG ANNIE REGION CODE ADDRESS : 7616 MARINA COVE DRIVE 01 CITY : SACRAMENTO STATE/ZIP : CA 95831 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,432.27 ANNUAL RATE ADJUST: MONTHLY P&I : 2,927.37 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 10/01/11 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 67.18849 ---------------------------------------------------------------- 0 0031621782 MORTGAGORS: JIMENEZ ALEX JIMENEZ CONNIE REGION CODE ADDRESS : 7689 VALE DRIVE 01 CITY : WHITTIER STATE/ZIP : CA 90602 MORTGAGE AMOUNT : 105,000.00 OPTION TO CONVERT : UNPAID BALANCE : 104,672.32 ANNUAL RATE ADJUST: MONTHLY P&I : 951.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 32.30769 ---------------------------------------------------------------- 0 0031623390 MORTGAGORS: MAHDAVI SHERRI REGION CODE ADDRESS : 928 GOLDENROD AVENUE 01 CITY : MEWPORT BEACH STATE/ZIP : CA 92625 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 328,947.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,943.12 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 51.16200 ---------------------------------------------------------------- 0 0031623457 MORTGAGORS: NELSON WALTER NELSON DELORES REGION CODE ADDRESS : 1800 WASHOE ROAD 01 CITY : OLYMPIC VALLEY STATE/ZIP : CA 96146 MORTGAGE AMOUNT : 322,500.00 OPTION TO CONVERT : UNPAID BALANCE : 322,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,943.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031623804 MORTGAGORS: RINGLE EDWARD RINGLE RUTH REGION CODE ADDRESS : 4091 SOUTH DELAWARE STREET 01 CITY : ENGLEWOOD STATE/ZIP : CA 80110 MORTGAGE AMOUNT : 64,000.00 OPTION TO CONVERT : UNPAID BALANCE : 64,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 607.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 55.17200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,121,500.00 P & I AMT: 10,372.60 UPB AMT: 1,105,552.10 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 72 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031624174 MORTGAGORS: CHAPARRO THOMAS REGION CODE ADDRESS : 2019 VIA SOLONA 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92673 MORTGAGE AMOUNT : 258,750.00 OPTION TO CONVERT : UNPAID BALANCE : 257,951.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,362.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031624570 MORTGAGORS: FISHMAN ALAN FISHMAN PHYLLIS REGION CODE ADDRESS : 4 PRAIRIE FALCON LANE 01 CITY : LITTLETON STATE/ZIP : CO 80127 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,566.24 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 48.98600 ---------------------------------------------------------------- 0 0031624760 MORTGAGORS: SIEGEL RICHARD SIEGEL SHARON REGION CODE ADDRESS : 1014 43RD STREET SOUTH 01 CITY : BIRMINGHAM STATE/ZIP : AL 35222 MORTGAGE AMOUNT : 338,250.00 OPTION TO CONVERT : UNPAID BALANCE : 338,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,040.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031624828 MORTGAGORS: SABUTIS CHARLES SABUTIS JUDITH REGION CODE ADDRESS : 3636 FAIR OAKS PLACE 01 CITY : LONGBOAT KEY STATE/ZIP : FL 34228 MORTGAGE AMOUNT : 600,000.00 OPTION TO CONVERT : UNPAID BALANCE : 598,127.51 ANNUAL RATE ADJUST: MONTHLY P&I : 5,434.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 65.21700 ---------------------------------------------------------------- 0 0031625460 MORTGAGORS: BOHNE HENRY BOHNE GRACE REGION CODE ADDRESS : 6101 CLAY PIT ROAD 01 CITY : COLLEGE STATION STATE/ZIP : TX 77845 MORTGAGE AMOUNT : 265,900.00 OPTION TO CONVERT : UNPAID BALANCE : 264,271.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,446.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 67.31600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,752,900.00 P & I AMT: 15,849.62 UPB AMT: 1,748,599.95 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 73 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031627920 MORTGAGORS: DAVIS PAUL DAVIS KARON REGION CODE ADDRESS : 103 POST OAK TRAIL 01 CITY : ATHENS STATE/ZIP : GA 30606 MORTGAGE AMOUNT : 570,000.00 OPTION TO CONVERT : UNPAID BALANCE : 568,182.06 ANNUAL RATE ADJUST: MONTHLY P&I : 5,083.57 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 55.60900 ---------------------------------------------------------------- 0 0031628464 MORTGAGORS: DAVIS RANDALL TURPIN-DAVIS KIM REGION CODE ADDRESS : 211 WOODLAND TERRACE 01 CITY : ALEXANDRIA STATE/ZIP : VA 22302 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,759.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 67.41500 ---------------------------------------------------------------- 0 0031628738 MORTGAGORS: WANDKE ROLAND WANDKE KATHLEEN REGION CODE ADDRESS : 1373 BROADWAY 01 CITY : ALAMEDA STATE/ZIP : CA 94501 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,058.56 ANNUAL RATE ADJUST: MONTHLY P&I : 2,583.94 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031628878 MORTGAGORS: CHOI SIMON CHOI SHARON REGION CODE ADDRESS : 19110 KILLOCH WAY 01 CITY : NORTHRIDGE AREA STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 234,000.00 OPTION TO CONVERT : UNPAID BALANCE : 234,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,169.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 78.00000 ---------------------------------------------------------------- 0 0031629587 MORTGAGORS: YI YONG YI WHA REGION CODE ADDRESS : 13034 DESTINO LANE 01 CITY : CERRITOS STATE/ZIP : CA 90703 MORTGAGE AMOUNT : 258,400.00 OPTION TO CONVERT : UNPAID BALANCE : 257,602.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,358.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,654,400.00 P & I AMT: 14,955.33 UPB AMT: 1,650,842.95 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 74 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031631468 MORTGAGORS: TSAI FORMING TSAI CHEN REGION CODE ADDRESS : 15367 LA BELLE STREET 01 CITY : HACIENDA HEIGHTS AREA STATE/ZIP : CA 91745 MORTGAGE AMOUNT : 220,000.00 OPTION TO CONVERT : UNPAID BALANCE : 218,577.39 ANNUAL RATE ADJUST: MONTHLY P&I : 1,946.81 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031631641 MORTGAGORS: FREEMAN STEPHEN FREEMAN CORRINE REGION CODE ADDRESS : 19 SUNLIGHT 01 CITY : IRVINE STATE/ZIP : CA 92612 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 373,829.69 ANNUAL RATE ADJUST: MONTHLY P&I : 3,396.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.11500 ---------------------------------------------------------------- 0 0031631658 MORTGAGORS: TILLOTSON JOHN TILLOTSON PATRICIA REGION CODE ADDRESS : 234 STONE VALLEY WAY 01 CITY : ALAMO STATE/ZIP : CA 94507 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 458,595.43 ANNUAL RATE ADJUST: MONTHLY P&I : 4,231.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.31000 ---------------------------------------------------------------- 0 0031631815 MORTGAGORS: CASSEL SCOTT PODZIBA SUSAN REGION CODE ADDRESS : 21 ORCHARD ROAD 01 CITY : BROOKLINE STATE/ZIP : MA 02146 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 285,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,502.29 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031631864 MORTGAGORS: MORALES IVAN REGION CODE ADDRESS : 7965 NORTHWEST 164TH TERRACE 01 CITY : MIAMI STATE/ZIP : FL 33016 MORTGAGE AMOUNT : 246,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,257.05 ANNUAL RATE ADJUST: MONTHLY P&I : 2,280.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,586,000.00 P & I AMT: 14,358.07 UPB AMT: 1,581,259.56 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 75 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031631872 MORTGAGORS: ELLSWORTH MARK ELLSWORTH DEBRA REGION CODE ADDRESS : 7313 FOXTREE COVE 01 CITY : AUSTIN STATE/ZIP : TX 78750 MORTGAGE AMOUNT : 185,500.00 OPTION TO CONVERT : UNPAID BALANCE : 185,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,667.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031632706 MORTGAGORS: HOFFMAN DOUGLAS HOFFMAN CONSTANCE REGION CODE ADDRESS : 24646 HEATHER HEIGHTS PLACE 01 CITY : SARATOGA STATE/ZIP : CA 95070 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 438,596.67 ANNUAL RATE ADJUST: MONTHLY P&I : 3,924.16 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 44.08800 ---------------------------------------------------------------- 0 0031632748 MORTGAGORS: HEIDINGSFELDER ROBERT LE BEAU ANN-MARIE REGION CODE ADDRESS : 108 OHLONE COURT 01 CITY : LOS GATOS STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,749.93 ANNUAL RATE ADJUST: MONTHLY P&I : 3,219.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 43.47800 ---------------------------------------------------------------- 0 0031632763 MORTGAGORS: SEYMOUR THOMAS SEYMOUR LORETTA REGION CODE ADDRESS : 4520 WINNETKA CIRCLE (WOODLAND HILL 01 CITY : LOS ANGELES STATE/ZIP : CA 91364 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,059.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,630.97 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 53.63600 ---------------------------------------------------------------- 0 0031633068 MORTGAGORS: SPENCER MICHAEL SPENCER SUZANNE REGION CODE ADDRESS : 101 MIDDLETON PLACE 01 CITY : PONTE VERDA BEACH STATE/ZIP : FL 32082 MORTGAGE AMOUNT : 475,000.00 OPTION TO CONVERT : UNPAID BALANCE : 470,379.75 ANNUAL RATE ADJUST: MONTHLY P&I : 4,203.33 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 59.37500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,745,500.00 P & I AMT: 15,645.53 UPB AMT: 1,737,285.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 76 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031635394 MORTGAGORS: MERRILL MICHAEL MERRILL DELORES REGION CODE ADDRESS : 501 OLINDA DRIVE 01 CITY : LA HABRA STATE/ZIP : CA 90631 MORTGAGE AMOUNT : 261,900.00 OPTION TO CONVERT : UNPAID BALANCE : 261,073.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,354.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.36300 ---------------------------------------------------------------- 0 0031635931 MORTGAGORS: HIRSIG ALAN HIRSIG NANCY REGION CODE ADDRESS : 526 COLLEGE AVENUE 01 CITY : HAVERFORD STATE/ZIP : PA 19041 MORTGAGE AMOUNT : 610,000.00 OPTION TO CONVERT : UNPAID BALANCE : 610,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 5,482.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 57.71000 ---------------------------------------------------------------- 0 0031637028 MORTGAGORS: FENDER EARL REGION CODE ADDRESS : 280 BONNIE LANE 01 CITY : AURORA STATE/ZIP : OH 44202 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 316,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,774.47 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031637978 MORTGAGORS: SCHAMBACH ROBERT SCHAMBACH MARY REGION CODE ADDRESS : 13590 MURPHY HILL DRIVE 01 CITY : WHITTIER STATE/ZIP : CA 90601 MORTGAGE AMOUNT : 137,900.00 OPTION TO CONVERT : UNPAID BALANCE : 137,464.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,239.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031638166 MORTGAGORS: WATSON PAUL WATSON EVA REGION CODE ADDRESS : 3348 ANDY WAY 01 CITY : SANTA ROSA STATE/ZIP : CA 95404 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,154.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,408.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,593,800.00 P & I AMT: 14,259.69 UPB AMT: 1,591,693.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 77 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031640683 MORTGAGORS: KHAN MAZHAR KHAN TAIYEBA REGION CODE ADDRESS : 15470 LA PALA COURT 01 CITY : MORGAN HILL STATE/ZIP : CA 95037 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,667.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 67.12900 ---------------------------------------------------------------- 0 0031644271 MORTGAGORS: GUSTAFSON JAMES GUSTAFSON CONSTANCE REGION CODE ADDRESS : 11710 SPRIGGS WAY 01 CITY : HOUSTON STATE/ZIP : TX 77024 MORTGAGE AMOUNT : 436,000.00 OPTION TO CONVERT : UNPAID BALANCE : 434,639.32 ANNUAL RATE ADJUST: MONTHLY P&I : 3,949.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.89400 ---------------------------------------------------------------- 0 0031645773 MORTGAGORS: SILVER MICHAEL SILVER VICKIE REGION CODE ADDRESS : 7115 WEST LANTERN LANE 01 CITY : MEQUON STATE/ZIP : WI 53092 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 310,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,743.22 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 72.94100 ---------------------------------------------------------------- 0 0031647084 MORTGAGORS: ROBICHAUX WALTER ROBICHAUX CINDY REGION CODE ADDRESS : 619 DAVIS STREET 01 CITY : TAYLOR STATE/ZIP : TX 76574 MORTGAGE AMOUNT : 66,500.00 OPTION TO CONVERT : UNPAID BALANCE : 66,299.17 ANNUAL RATE ADJUST: MONTHLY P&I : 616.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 51.15300 ---------------------------------------------------------------- 0 0031648447 MORTGAGORS: GROSS JOEL REGION CODE ADDRESS : 833 ROSEDALE AVENUE 01 CITY : LAFAYETTE STATE/ZIP : CA 94549 MORTGAGE AMOUNT : 286,500.00 OPTION TO CONVERT : UNPAID BALANCE : 285,596.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,575.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.46100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,389,000.00 P & I AMT: 12,552.04 UPB AMT: 1,386,534.59 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 78 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648728 MORTGAGORS: BARNES THOMAS REGION CODE ADDRESS : 34300 LANTERN BAY DRIVE #57 01 CITY : DANA POINT STATE/ZIP : CA 92629 MORTGAGE AMOUNT : 390,000.00 OPTION TO CONVERT : UNPAID BALANCE : 390,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,532.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648892 MORTGAGORS: HOWE CHARLES HOWE KATHY REGION CODE ADDRESS : 940 SHORELINE CIRCLE 01 CITY : CICERO STATE/ZIP : IN 46034 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,188.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,355.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 65.00000 ---------------------------------------------------------------- 0 0031650195 MORTGAGORS: WOO HENRY WOO SUSAN REGION CODE ADDRESS : 25712 RAIN TREE ROAD 01 CITY : LAGUNA HILLS STATE/ZIP : CA 92653 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,121.50 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 63.63600 ---------------------------------------------------------------- 0 0031650245 MORTGAGORS: TANSEY FRANCIS TANSEY MARIJKE REGION CODE ADDRESS : 7 BAILEY DRIVE 01 CITY : GUILFORD STATE/ZIP : CT 06437 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,230.11 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 78.15400 ---------------------------------------------------------------- 0 0031650369 MORTGAGORS: LINN MARSHALL LINN JOYCE REGION CODE ADDRESS : 1275 PACIFIC AVENUE 01 CITY : LAGUNA BEACH STATE/ZIP : CA 92651 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,623.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 28.57100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,654,000.00 P & I AMT: 14,862.85 UPB AMT: 1,653,188.58 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 79 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031650518 MORTGAGORS: HILL DEBORAH REGION CODE ADDRESS : 25652 RIMGATE DRIVE #1F 01 CITY : LAKE FOREST STATE/ZIP : CA 92630 MORTGAGE AMOUNT : 84,000.00 OPTION TO CONVERT : UNPAID BALANCE : 84,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 778.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- 0 0031651417 MORTGAGORS: EIRANOVA FLORENCIO EIRANOVA LIDIA REGION CODE ADDRESS : 25431 PACIFICA AVENUE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92691 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,190.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031652233 MORTGAGORS: GURGANUS LARRY DRAXLER GREG REGION CODE ADDRESS : 508 21ST STREET 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 328,000.00 OPTION TO CONVERT : UNPAID BALANCE : 326,953.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,925.28 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 77.17600 ---------------------------------------------------------------- 0 0031652910 MORTGAGORS: KULZE JOHN KULZE ANN REGION CODE ADDRESS : 1 PITT STREET 01 CITY : CHARLESTON STATE/ZIP : SC 29401 MORTGAGE AMOUNT : 329,000.00 OPTION TO CONVERT : UNPAID BALANCE : 327,950.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,934.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 62.07500 ---------------------------------------------------------------- 0 0031652936 MORTGAGORS: KARAPOGOSIAN MELKON REGION CODE ADDRESS : 733 SOUTH SHORE DRIVE 01 CITY : SEAL BEACH STATE/ZIP : CA 90740 MORTGAGE AMOUNT : 281,250.00 OPTION TO CONVERT : UNPAID BALANCE : 280,362.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,527.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,262,250.00 P & I AMT: 11,357.01 UPB AMT: 1,259,267.24 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 80 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031653710 MORTGAGORS: KITSELMAN KURT KITSELMAN JEANETTE REGION CODE ADDRESS : 155 NORTH CLEVELAND STREET 01 CITY : ORANGE STATE/ZIP : CA 92866 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 282,202.77 ANNUAL RATE ADJUST: MONTHLY P&I : 2,552.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.88800 ---------------------------------------------------------------- 0 0031653751 MORTGAGORS: AHUJA DUSHANT AHUJA VEENA REGION CODE ADDRESS : 23807 RIDGE LINE ROAD 01 CITY : DIAMOND BAR STATE/ZIP : CA 91765 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,069.86 ANNUAL RATE ADJUST: MONTHLY P&I : 2,741.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 42.06800 ---------------------------------------------------------------- 0 0031653850 MORTGAGORS: PHARAR VIJAY REGION CODE ADDRESS : 23810 RIDGELINE ROAD 01 CITY : DIAMOND BAR STATE/ZIP : CA 91765 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 357,721.81 ANNUAL RATE ADJUST: MONTHLY P&I : 3,235.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 43.63600 ---------------------------------------------------------------- 0 0031656226 MORTGAGORS: MARTIN RICHARD MARTIN MICHELE REGION CODE ADDRESS : 911 LILAC LANE 01 CITY : NAPERVILLE STATE/ZIP : IL 60540 MORTGAGE AMOUNT : 37,000.00 OPTION TO CONVERT : UNPAID BALANCE : 37,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 335.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 250 LTV : 22.15500 ---------------------------------------------------------------- 0 0031656440 MORTGAGORS: SCHNEIDERMAN STEPHEN KLEPPE JOHANNA REGION CODE ADDRESS : 2725 PINE STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94115 MORTGAGE AMOUNT : 283,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,266.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,603.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 63.59500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,269,000.00 P & I AMT: 11,468.43 UPB AMT: 1,261,260.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 81 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031656457 MORTGAGORS: HOYAS ALAN HOYAS BONNIE REGION CODE ADDRESS : 389 EDGEWATER ROAD 01 CITY : PASADENA STATE/ZIP : MD 21122 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,131.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,805.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 66.44800 ---------------------------------------------------------------- 0 0031657372 MORTGAGORS: ALFON KEITH ALFON SANDRA REGION CODE ADDRESS : 7801 MCCONNELL AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,536.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031658396 MORTGAGORS: MCGINTY PATRICK MCGINTY CHRISTA REGION CODE ADDRESS : 19495 RIVERDALE LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,827.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.22000 ---------------------------------------------------------------- 0 0031660624 MORTGAGORS: MASON FRED MASON LIZA REGION CODE ADDRESS : 5911 AMBERDALE DRIVE 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 105,000.00 OPTION TO CONVERT : UNPAID BALANCE : 105,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 929.15 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 50.00000 ---------------------------------------------------------------- 0 0031661226 MORTGAGORS: MEDRANO LYNNE GUERRA GEORGE REGION CODE ADDRESS : 3667 WYNDHAM DRIVE 01 CITY : FREMONT STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 234,000.00 OPTION TO CONVERT : UNPAID BALANCE : 233,277.65 ANNUAL RATE ADJUST: MONTHLY P&I : 2,136.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.28500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,229,000.00 P & I AMT: 11,234.74 UPB AMT: 1,226,409.35 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 82 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031661234 MORTGAGORS: HENRY CHARLES HENRY GRACE REGION CODE ADDRESS : 12013 TRETAGNIER CIRCLE 01 CITY : SAN DIEGO STATE/ZIP : CA 92128 MORTGAGE AMOUNT : 251,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,199.46 ANNUAL RATE ADJUST: MONTHLY P&I : 2,238.56 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 66.05200 ---------------------------------------------------------------- 0 0031661242 MORTGAGORS: VOITH JOHN VOITH ROBIN REGION CODE ADDRESS : 22082 OAK GROVE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 425,400.00 OPTION TO CONVERT : UNPAID BALANCE : 424,043.24 ANNUAL RATE ADJUST: MONTHLY P&I : 3,793.95 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 52.97600 ---------------------------------------------------------------- 0 0031661259 MORTGAGORS: KIM KWANG KIM SOO REGION CODE ADDRESS : 1439 HIGH BLUFF DRIVE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 343,923.32 ANNUAL RATE ADJUST: MONTHLY P&I : 3,125.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 46.30800 ---------------------------------------------------------------- 0 0031661267 MORTGAGORS: GUEST STEVEN GUEST L. REGION CODE ADDRESS : 22755 MAPLEWOOD, 01 CITY : MISSION VIEJO, STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 328,981.30 ANNUAL RATE ADJUST: MONTHLY P&I : 3,012.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.57100 ---------------------------------------------------------------- 0 0031661978 MORTGAGORS: RICHARDSON MICHAEL RICHARDSON MARY ANNE REGION CODE ADDRESS : 9 RYDDINGTON PLACE 01 CITY : DALLAS STATE/ZIP : TX 75230 MORTGAGE AMOUNT : 454,600.00 OPTION TO CONVERT : UNPAID BALANCE : 447,109.81 ANNUAL RATE ADJUST: MONTHLY P&I : 3,991.36 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 02/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 48.62000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,806,000.00 P & I AMT: 16,161.44 UPB AMT: 1,794,257.13 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 83 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031662828 MORTGAGORS: SINATRA STEPHEN REGION CODE ADDRESS : 101 SNOWMASS ROAD, #1A 01 CITY : MT. CRESTED BUTTE STATE/ZIP : CO 81225 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,468.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,299.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 88.96700 ---------------------------------------------------------------- 0 0031662844 MORTGAGORS: STAVOLONE PAUL REGION CODE ADDRESS : 820 WINDMILL PALM COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95133 MORTGAGE AMOUNT : 285,550.00 OPTION TO CONVERT : UNPAID BALANCE : 283,781.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,606.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99500 ---------------------------------------------------------------- 0 0031662869 MORTGAGORS: PICKRELL ROBERT PICKRELL LOREN REGION CODE ADDRESS : 7020 WESTERN AVE 01 CITY : CHEVY CHASE STATE/ZIP : MD 20815 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,316.01 ANNUAL RATE ADJUST: MONTHLY P&I : 2,436.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.11700 ---------------------------------------------------------------- 0 0031662919 MORTGAGORS: MILES KENNETH MILES DIANA REGION CODE ADDRESS : 9465 GULLEY'S COVE LANE 01 CITY : EASTON STATE/ZIP : MD 21601 MORTGAGE AMOUNT : 289,600.00 OPTION TO CONVERT : UNPAID BALANCE : 287,707.12 ANNUAL RATE ADJUST: MONTHLY P&I : 2,542.68 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031662935 MORTGAGORS: LANG JAMES REGION CODE ADDRESS : 26 CAPE JASMINE PLACE 01 CITY : THE WOODLANDS STATE/ZIP : TX 77381 MORTGAGE AMOUNT : 365,300.00 OPTION TO CONVERT : UNPAID BALANCE : 364,134.93 ANNUAL RATE ADJUST: MONTHLY P&I : 3,257.95 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 69.99425 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,459,450.00 P & I AMT: 13,143.82 UPB AMT: 1,451,408.36 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 84 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031663008 MORTGAGORS: SU HUA SU SU REGION CODE ADDRESS : 22717 SOUTHEAST 27TH STREET 01 CITY : ISSAQUAH STATE/ZIP : WA 98029 MORTGAGE AMOUNT : 316,000.00 OPTION TO CONVERT : UNPAID BALANCE : 314,992.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,818.26 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031663040 MORTGAGORS: THOMPSON WILLIAM THOMPSON PAULA REGION CODE ADDRESS : 200 IPSWICH PLACE 01 CITY : CHARLOTTESVILLE STATE/ZIP : VA 22901 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,005.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,247.68 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 71.54900 ---------------------------------------------------------------- 0 0031663081 MORTGAGORS: KEANE WILLIAM ROMANOKE JILL REGION CODE ADDRESS : 1943 LORRAINE AVENUE 01 CITY : MCLEAN STATE/ZIP : VA 22101 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,451.86 ANNUAL RATE ADJUST: MONTHLY P&I : 2,282.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 69.83200 ---------------------------------------------------------------- 0 0031663107 MORTGAGORS: HELVESTON STEVE HELVESTON LINDA REGION CODE ADDRESS : 2782 DAWSONS CHASE 01 CITY : DULUTH STATE/ZIP : GA 30097 MORTGAGE AMOUNT : 409,500.00 OPTION TO CONVERT : UNPAID BALANCE : 407,018.79 ANNUAL RATE ADJUST: MONTHLY P&I : 3,796.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 60.66600 ---------------------------------------------------------------- 0 0031663123 MORTGAGORS: FANCY ARVIND FANCY BHADRA REGION CODE ADDRESS : 112 LOCKHART LANE 01 CITY : LOS ALTOS STATE/ZIP : CA 94022 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,651.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 57.14200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,629,500.00 P & I AMT: 14,795.67 UPB AMT: 1,622,468.38 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 85 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031663131 MORTGAGORS: HEATON RONALD HEATON ANNE REGION CODE ADDRESS : 201 EAST HIGHFIELD ROAD 01 CITY : BALTIMORE STATE/ZIP : MD 21218 MORTGAGE AMOUNT : 260,700.00 OPTION TO CONVERT : UNPAID BALANCE : 257,051.10 ANNUAL RATE ADJUST: MONTHLY P&I : 2,343.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 41.38000 ---------------------------------------------------------------- 0 0031663164 MORTGAGORS: COOK WILLIAM COOK TINA REGION CODE ADDRESS : 2301 HAZELTINE DRIVE 01 CITY : JONESBORO STATE/ZIP : AR 72401 MORTGAGE AMOUNT : 600,000.00 OPTION TO CONVERT : UNPAID BALANCE : 598,086.37 ANNUAL RATE ADJUST: MONTHLY P&I : 5,351.13 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 66.02400 ---------------------------------------------------------------- 0 0031663214 MORTGAGORS: CALLAHAN THOMAS CALLAHAN JANIFER REGION CODE ADDRESS : 3202 SOUTH THREE BARS ROAD 01 CITY : ST GEORGE STATE/ZIP : UT 84790 MORTGAGE AMOUNT : 288,750.00 OPTION TO CONVERT : UNPAID BALANCE : 286,981.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,656.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031663230 MORTGAGORS: BEYER RICHARD BEYER CINDY REGION CODE ADDRESS : 11593 NEWPORT COVE LANE 01 CITY : RESTON STATE/ZIP : VA 22094 MORTGAGE AMOUNT : 346,500.00 OPTION TO CONVERT : UNPAID BALANCE : 345,382.84 ANNUAL RATE ADJUST: MONTHLY P&I : 3,066.22 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031663370 MORTGAGORS: OBAJI SUHAIL OBAJI ROLA REGION CODE ADDRESS : 3424 HOLLOW CREEK ROAD 01 CITY : MEMPHIS STATE/ZIP : TN 38125 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 397,249.94 ANNUAL RATE ADJUST: MONTHLY P&I : 3,662.77 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 09/01/12 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 57.14200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,895,950.00 P & I AMT: 17,079.65 UPB AMT: 1,884,751.49 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 86 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031663388 MORTGAGORS: SCHIBLER RICHARD SCHIBLER SUSAN REGION CODE ADDRESS : 1760 AVENIDA DEL MUNDO #805 01 CITY : CORONADO STATE/ZIP : CA 92118 MORTGAGE AMOUNT : 337,200.00 OPTION TO CONVERT : UNPAID BALANCE : 335,134.46 ANNUAL RATE ADJUST: MONTHLY P&I : 3,101.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031663420 MORTGAGORS: KUEHN ALAN REGION CODE ADDRESS : 175 DORRIS ROAD 01 CITY : ALPHARETTA STATE/ZIP : GA 30201 MORTGAGE AMOUNT : 331,200.00 OPTION TO CONVERT : UNPAID BALANCE : 330,108.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,885.11 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 79.95100 ---------------------------------------------------------------- 0 0031663438 MORTGAGORS: BONUCCELLI CATHERINE RYAN THOMAS REGION CODE ADDRESS : 1030 WELDIN CIRCLE 01 CITY : WILMINGTON STATE/ZIP : DE 19803 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,362.36 ANNUAL RATE ADJUST: MONTHLY P&I : 2,283.15 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031663446 MORTGAGORS: MILLER JAMES MILLER MARY REGION CODE ADDRESS : 10704 HAWES END COURT 01 CITY : LAS VEGAS STATE/ZIP : NV 89123 MORTGAGE AMOUNT : 272,050.00 OPTION TO CONVERT : UNPAID BALANCE : 270,365.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,483.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.99600 ---------------------------------------------------------------- 0 0031663453 MORTGAGORS: PETTIBONE WILLIAM PETTIBONE JANE REGION CODE ADDRESS : 915 ALMAS COURT 01 CITY : SANIBEL STATE/ZIP : FL 33957 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 397,495.93 ANNUAL RATE ADJUST: MONTHLY P&I : 3,623.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 55.17200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,596,450.00 P & I AMT: 14,377.03 UPB AMT: 1,587,466.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 87 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031663495 MORTGAGORS: NELSON RICHARD DZUBERA PATRICIA REGION CODE ADDRESS : 2115 S OCEAN BLVD #3 01 CITY : DELRAY BEACH STATE/ZIP : FL 33483 MORTGAGE AMOUNT : 253,700.00 OPTION TO CONVERT : UNPAID BALANCE : 252,882.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,245.02 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 71.46400 ---------------------------------------------------------------- 0 0031663545 MORTGAGORS: HISCOX STEVEN HISCOX TAMMY REGION CODE ADDRESS : 11 RYAN LANE 01 CITY : HONEY BROOK STATE/ZIP : PA 19344 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,705.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,283.15 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 03/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 88.58100 ---------------------------------------------------------------- 0 0031663560 MORTGAGORS: FORT LEWIS FORT GLORIA REGION CODE ADDRESS : 1533 MASSEY MANOR LANE 01 CITY : MEMPHIS STATE/ZIP : TN 38120 MORTGAGE AMOUNT : 444,000.00 OPTION TO CONVERT : UNPAID BALANCE : 441,190.23 ANNUAL RATE ADJUST: MONTHLY P&I : 3,990.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 71.04000 ---------------------------------------------------------------- 0 0031663578 MORTGAGORS: SMITH MICHAEL SMITH BEVERLY REGION CODE ADDRESS : 4231 PINEHURST CIRCLE 01 CITY : STOCKTON STATE/ZIP : CA 95219 MORTGAGE AMOUNT : 256,600.00 OPTION TO CONVERT : UNPAID BALANCE : 254,993.63 ANNUAL RATE ADJUST: MONTHLY P&I : 2,324.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.56500 ---------------------------------------------------------------- 0 0031663602 MORTGAGORS: NGUYEN BAN TRAN QUY REGION CODE ADDRESS : 1 WILLOWTREE COURT 01 CITY : ROCKVILLE STATE/ZIP : MD 20850 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,114.40 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.73 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 01/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 52.81600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,510,300.00 P & I AMT: 13,498.07 UPB AMT: 1,495,886.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 88 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031663826 MORTGAGORS: MIDGETTE JODY EVANS STEPHEN REGION CODE ADDRESS : 128 FLIGHT DRIVE 01 CITY : DUCK STATE/ZIP : NC 27949 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 390,789.90 ANNUAL RATE ADJUST: MONTHLY P&I : 3,578.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031664006 MORTGAGORS: FARNAN JOHN REGION CODE ADDRESS : 704 SUMMIT COUNTY RD 672 01 CITY : BRECKENRIDGE STATE/ZIP : CO 80424 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,244.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,317.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031664022 MORTGAGORS: LAWRENCE RICHARD REGION CODE ADDRESS : 4450 NORTHSIDE DR 01 CITY : ATLANTA STATE/ZIP : GA 30327 MORTGAGE AMOUNT : 649,900.00 OPTION TO CONVERT : UNPAID BALANCE : 645,742.58 ANNUAL RATE ADJUST: MONTHLY P&I : 5,796.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 64.99000 ---------------------------------------------------------------- 0 0031664030 MORTGAGORS: YOUNG MICHAEL YOUNG MILLICENT REGION CODE ADDRESS : 6244 E SHADY GROVE RD 01 CITY : MEMPHIS STATE/ZIP : TN 38120 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,507.17 ANNUAL RATE ADJUST: MONTHLY P&I : 3,170.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.94600 ---------------------------------------------------------------- 0 0031664071 MORTGAGORS: TINKER EUGENE REGION CODE ADDRESS : 35568 BUENA VISTA LANE 01 CITY : CRESWELL STATE/ZIP : OR 97426 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,383.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,382.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 60.69700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,902,900.00 P & I AMT: 17,245.13 UPB AMT: 1,892,668.33 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 89 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031664105 MORTGAGORS: EICHACKER PETER EICHACKER NANCY REGION CODE ADDRESS : 18605 BROOKE ROAD 01 CITY : SANDY SPRINGS STATE/ZIP : MD 20860 MORTGAGE AMOUNT : 262,600.00 OPTION TO CONVERT : UNPAID BALANCE : 260,938.19 ANNUAL RATE ADJUST: MONTHLY P&I : 2,360.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 87.24200 ---------------------------------------------------------------- 0 0031664147 MORTGAGORS: DE ANGELIS MICHAEL DE ANGELIS ANGELINA REGION CODE ADDRESS : 103 STONEYBROOK BLVD. 01 CITY : NEWTOWN SQUARE STATE/ZIP : PA 19073 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 342,840.25 ANNUAL RATE ADJUST: MONTHLY P&I : 3,125.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031664154 MORTGAGORS: MASSARI KERRY REGION CODE ADDRESS : 6075 BAYOU GRANDE BLVD NE 01 CITY : ST PETERSBURG STATE/ZIP : FL 33703 MORTGAGE AMOUNT : 275,100.00 OPTION TO CONVERT : UNPAID BALANCE : 273,377.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,491.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 83.87100 ---------------------------------------------------------------- 0 0031664170 MORTGAGORS: KLIMECKI KERRY KLIMECKI KELLY REGION CODE ADDRESS : 1012 HICKORY AVENUE 01 CITY : HIXSON STATE/ZIP : TN 37343 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 277,779.05 ANNUAL RATE ADJUST: MONTHLY P&I : 2,574.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 10/01/12 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.66600 ---------------------------------------------------------------- 0 0031664204 MORTGAGORS: MONACELLI MIRO MONACELLI NANCY REGION CODE ADDRESS : 2402 BURNHAM DRIVE 01 CITY : FALLSTON STATE/ZIP : MD 21047 MORTGAGE AMOUNT : 246,500.00 OPTION TO CONVERT : UNPAID BALANCE : 244,437.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,215.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 62.40500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,409,200.00 P & I AMT: 12,767.61 UPB AMT: 1,399,372.45 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 90 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031664220 MORTGAGORS: OLSON DONALD OLSON SANDRA REGION CODE ADDRESS : 208 ROCK RIDGE ROAD 01 CITY : MILLERSVILLE STATE/ZIP : MD 21108 MORTGAGE AMOUNT : 474,450.00 OPTION TO CONVERT : UNPAID BALANCE : 471,479.86 ANNUAL RATE ADJUST: MONTHLY P&I : 4,297.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.07500 ---------------------------------------------------------------- 0 0031664246 MORTGAGORS: AGNEW JOHN POLK DANA REGION CODE ADDRESS : 5723 HIGH LANE 01 CITY : BURKE STATE/ZIP : VA 22015 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,414.62 ANNUAL RATE ADJUST: MONTHLY P&I : 2,192.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 69.14200 ---------------------------------------------------------------- 0 0031664899 MORTGAGORS: HOLZBERGER KEITH HOLZBERGER CAROL REGION CODE ADDRESS : 12403 N. GOLF DRIVE UNIT 7 01 CITY : MEQUON STATE/ZIP : WI 53092 MORTGAGE AMOUNT : 278,000.00 OPTION TO CONVERT : UNPAID BALANCE : 277,141.82 ANNUAL RATE ADJUST: MONTHLY P&I : 2,537.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 77.22200 ---------------------------------------------------------------- 0 0031664931 MORTGAGORS: COHEN STEVEN RUBIN JANET REGION CODE ADDRESS : 28 NATHAN DRIVE 01 CITY : MONTVILLE (AKA TOWACO) STATE/ZIP : NJ 07082 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,567.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.39400 ---------------------------------------------------------------- 0 0031665078 MORTGAGORS: CURTIS JEFFREY CURTIS ZDENKA REGION CODE ADDRESS : 7135 WINTERWOOD LANE 01 CITY : HIGHLAND STATE/ZIP : CA 92346 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,156.63 ANNUAL RATE ADJUST: MONTHLY P&I : 2,230.04 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,650,450.00 P & I AMT: 14,825.06 UPB AMT: 1,644,192.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 91 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031665094 MORTGAGORS: NGUYEN THIEN TRAN LEE REGION CODE ADDRESS : 3394 OAKMONT VIEW DRIVE 01 CITY : GLENDALE STATE/ZIP : CA 91208 MORTGAGE AMOUNT : 430,000.00 OPTION TO CONVERT : UNPAID BALANCE : 428,672.60 ANNUAL RATE ADJUST: MONTHLY P&I : 3,925.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.56300 ---------------------------------------------------------------- 0 0031665110 MORTGAGORS: NINYO HAYIM NINYO MIRIAM REGION CODE ADDRESS : 8 BRILLANTEZ 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,110.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,581.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.08200 ---------------------------------------------------------------- 0 0031665953 MORTGAGORS: MANGAN MICHAEL MANGAN KIM REGION CODE ADDRESS : 7309 BELLONA AVENUE 01 CITY : BALTIMORE STATE/ZIP : MD 21212 MORTGAGE AMOUNT : 393,200.00 OPTION TO CONVERT : UNPAID BALANCE : 388,140.44 ANNUAL RATE ADJUST: MONTHLY P&I : 3,506.78 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 03/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 37.44700 ---------------------------------------------------------------- 0 0031665995 MORTGAGORS: TOWNSEND JOANNE TOWNSEND GREG REGION CODE ADDRESS : 581 REGALIA COURT 01 CITY : BARRINGTON STATE/ZIP : IL 60010 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 495,341.51 ANNUAL RATE ADJUST: MONTHLY P&I : 4,564.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 56.76600 ---------------------------------------------------------------- 0 0031667413 MORTGAGORS: SCHNELL BRENT SCHNELL LAURIE REGION CODE ADDRESS : 2445 WEST GULF DRIVE # E-26 01 CITY : SANIBEL STATE/ZIP : FL 33957 MORTGAGE AMOUNT : 378,000.00 OPTION TO CONVERT : UNPAID BALANCE : 376,807.42 ANNUAL RATE ADJUST: MONTHLY P&I : 3,397.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 63.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,986,200.00 P & I AMT: 17,975.62 UPB AMT: 1,973,072.54 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 92 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031667462 MORTGAGORS: KRONICK LAURA WEICHBRODT WILLIAM REGION CODE ADDRESS : 2499 PERRY PARK AVENUE 01 CITY : LARKSPUR STATE/ZIP : CO 80118 MORTGAGE AMOUNT : 234,750.00 OPTION TO CONVERT : UNPAID BALANCE : 234,025.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,142.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031667470 MORTGAGORS: ALLEN DENNIS ALLEN JUDITH REGION CODE ADDRESS : 14525 EIGHTEENTH FAIRWAY 01 CITY : ALPHARETTA STATE/ZIP : GA 30004 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,030.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,711.24 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031667512 MORTGAGORS: STRESS JAMES STRESS DIANA REGION CODE ADDRESS : 6705 EAST BARWICK DRIVE 01 CITY : CAVE CREEK STATE/ZIP : AZ 85331 MORTGAGE AMOUNT : 251,900.00 OPTION TO CONVERT : UNPAID BALANCE : 250,323.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,281.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031667546 MORTGAGORS: GRIER JOHN REGION CODE ADDRESS : 100 VINE STREET 01 CITY : DENVER STATE/ZIP : CO 80206 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 323,963.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,898.53 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 35.13500 ---------------------------------------------------------------- 0 0031667579 MORTGAGORS: HAERIAN MOHAMMAD REGION CODE ADDRESS : 10630 POT SPRING ROAD 01 CITY : COCKEYSVILLE STATE/ZIP : MD 21030 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 448,564.78 ANNUAL RATE ADJUST: MONTHLY P&I : 4,013.35 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.77000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,565,650.00 P & I AMT: 14,047.86 UPB AMT: 1,559,907.06 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 93 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031667603 MORTGAGORS: WIEZEL JAMES WIEZEL JENNIFER REGION CODE ADDRESS : 6310 INDIAN SPRINGS ROAD 01 CITY : LOOMIS STATE/ZIP : CA 95650 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,122.92 ANNUAL RATE ADJUST: MONTHLY P&I : 2,452.60 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 53.92100 ---------------------------------------------------------------- 0 0031667637 MORTGAGORS: PARLAPIANO DOMINICK PARLAPIANO MAYRA REGION CODE ADDRESS : 6650 SW 118 STREET 01 CITY : PINECREST STATE/ZIP : FL 33156 MORTGAGE AMOUNT : 361,500.00 OPTION TO CONVERT : UNPAID BALANCE : 360,359.49 ANNUAL RATE ADJUST: MONTHLY P&I : 3,249.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 75.31200 ---------------------------------------------------------------- 0 0031667744 MORTGAGORS: MITTAR PREM MITTAR ASHA REGION CODE ADDRESS : 3202 GLOUCHESTER DRIVE 01 CITY : FALLSTON STATE/ZIP : MD 21047 MORTGAGE AMOUNT : 328,500.00 OPTION TO CONVERT : UNPAID BALANCE : 327,452.28 ANNUAL RATE ADJUST: MONTHLY P&I : 2,929.75 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031667793 MORTGAGORS: FERRELL DON FERRELL BARBARA REGION CODE ADDRESS : 11000 SW 190TH STREET 01 CITY : DUNNELLON STATE/ZIP : FL 34432 MORTGAGE AMOUNT : 311,200.00 OPTION TO CONVERT : UNPAID BALANCE : 310,218.17 ANNUAL RATE ADJUST: MONTHLY P&I : 2,797.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031667926 MORTGAGORS: PHAM DIEN NGUYEN HENNY REGION CODE ADDRESS : 7732 LEHIGH PLACE 01 CITY : WESTMINSTER STATE/ZIP : CA 92683 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 253,666.02 ANNUAL RATE ADJUST: MONTHLY P&I : 2,373.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,532,200.00 P & I AMT: 13,801.94 UPB AMT: 1,525,818.88 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 94 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031667967 MORTGAGORS: BUCKINGHAM EDWARD BUCKINGHAM PAMELA REGION CODE ADDRESS : 7043 S. ROBB STREET 01 CITY : LITTLETON STATE/ZIP : CO 80127 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 266,913.55 ANNUAL RATE ADJUST: MONTHLY P&I : 3,169.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/08 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031667991 MORTGAGORS: MERICKLE ROBERT MERICKLE TINA REGION CODE ADDRESS : 1156 AURORIA ROAD 01 CITY : DAWSONVILLE STATE/ZIP : GA 30534 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,720.83 ANNUAL RATE ADJUST: MONTHLY P&I : 3,595.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 43.01000 ---------------------------------------------------------------- 0 0031668122 MORTGAGORS: MONTAVON ROBERT MONTAVON LAVONNE REGION CODE ADDRESS : 5001 SABLE KEY CIRCLE 01 CITY : PUNTA GORDA STATE/ZIP : FL 33955 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 234,200.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,247.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 66.66600 ---------------------------------------------------------------- 0 0031668148 MORTGAGORS: WONNACOTT BRADLEY WONNACOTT MARION REGION CODE ADDRESS : 1004 STREAM VALLEY CT 01 CITY : ALPHARETTA STATE/ZIP : GA 30022 MORTGAGE AMOUNT : 245,900.00 OPTION TO CONVERT : UNPAID BALANCE : 244,343.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.51500 ---------------------------------------------------------------- 0 0031668221 MORTGAGORS: ROGERS JAMES ROGERS CAROLYN REGION CODE ADDRESS : 9355 COLONNADE TRAIL 01 CITY : ALPHARETTA STATE/ZIP : GA 30022 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 645,779.83 ANNUAL RATE ADJUST: MONTHLY P&I : 5,751.92 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 59.09000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,815,900.00 P & I AMT: 16,974.37 UPB AMT: 1,765,958.50 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 95 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031668262 MORTGAGORS: BRUZZONE LUIGINA KRANDELL BRIAN REGION CODE ADDRESS : 11131 MAHOGANY DRIVE 01 CITY : HAGERSTOWN STATE/ZIP : MD 21740 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,116.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,516.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031669807 MORTGAGORS: SHAHINFAR SHAHIN REGION CODE ADDRESS : 1324 RAINBOW DRIVE 01 CITY : SAN MATEO STATE/ZIP : CA 94402 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,883.71 ANNUAL RATE ADJUST: MONTHLY P&I : 3,121.50 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.26800 ---------------------------------------------------------------- 0 0031672157 MORTGAGORS: IRWIN THOMAS IRWIN MARY REGION CODE ADDRESS : 11309 E ARABIAN PARK DRIVE 01 CITY : SCOTTSDALE STATE/ZIP : AZ 85259 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 438,611.82 ANNUAL RATE ADJUST: MONTHLY P&I : 3,954.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 67.69230 ---------------------------------------------------------------- 0 0031675846 MORTGAGORS: HARKNESS M VAYO MARSHELLA REGION CODE ADDRESS : 7883 CLEARWATER COVE DRIVE 01 CITY : INDIANAPOLIS STATE/ZIP : IN 46240 MORTGAGE AMOUNT : 302,800.00 OPTION TO CONVERT : UNPAID BALANCE : 301,844.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,721.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676018 MORTGAGORS: IONOV STANISLAV IONOVA IRINA REGION CODE ADDRESS : 26025 MULHOLLAND HIGHWAY 01 CITY : CALABASAS STATE/ZIP : CA 91302 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,081.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.36700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,707,800.00 P & I AMT: 15,396.47 UPB AMT: 1,703,456.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 96 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676182 MORTGAGORS: TSOU JOHN TSOU ANNA REGION CODE ADDRESS : 32 PORT ROYAL AVENUE 01 CITY : FOSTER CITY STATE/ZIP : CA 94404 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,751.67 ANNUAL RATE ADJUST: MONTHLY P&I : 3,623.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 250 LTV : 70.79600 ---------------------------------------------------------------- 0 0031677891 MORTGAGORS: WACHTER KEVIN WACHTER CHERYL REGION CODE ADDRESS : 21842 CAMINITO DRIVE 01 CITY : TRABUCO CANYON STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 261,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,364.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.57100 ---------------------------------------------------------------- 0 0031680762 MORTGAGORS: ROGACHYOV SAM ROGACHYOVA GALINA REGION CODE ADDRESS : 1655 NORTH OGDEN DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90046 MORTGAGE AMOUNT : 310,000.00 OPTION TO CONVERT : UNPAID BALANCE : 310,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,764.75 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 54.86700 ---------------------------------------------------------------- 0 0031680796 MORTGAGORS: BOBIT EDWARD REGION CODE ADDRESS : 2008 PASEO DEL MAR 01 CITY : PALOS VERDES ESTATES STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 317,000.00 OPTION TO CONVERT : UNPAID BALANCE : 317,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,938.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 24.38400 ---------------------------------------------------------------- 0 0031680820 MORTGAGORS: KONSTANTINIDIS BYRON KONSTANTINIDIS KAITE REGION CODE ADDRESS : 6831 DERBY CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 434,000.00 OPTION TO CONVERT : UNPAID BALANCE : 432,615.81 ANNUAL RATE ADJUST: MONTHLY P&I : 3,870.65 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 59.86200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,722,000.00 P & I AMT: 15,561.58 UPB AMT: 1,719,367.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 97 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031683261 MORTGAGORS: KELLEY SCOTT KELLEY LATITIA REGION CODE ADDRESS : 101 METZ COURT 01 CITY : FOLSOM STATE/ZIP : CA 95630 MORTGAGE AMOUNT : 310,500.00 OPTION TO CONVERT : UNPAID BALANCE : 309,562.25 ANNUAL RATE ADJUST: MONTHLY P&I : 2,878.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.62500 ---------------------------------------------------------------- 0 0031683832 MORTGAGORS: KLITZSCH JOACHIM KLITZSCH CLAUDIA REGION CODE ADDRESS : 20402 STAGHORN CT 01 CITY : CORNELIUS STATE/ZIP : NC 28031 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 338,927.31 ANNUAL RATE ADJUST: MONTHLY P&I : 3,056.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 74.67600 ---------------------------------------------------------------- 0 0031683915 MORTGAGORS: STEENBLIK JAN TIDYMAN KATHRYN REGION CODE ADDRESS : 9109 CRICKLEWOOD COURT 01 CITY : VIENNA STATE/ZIP : VA 22182 MORTGAGE AMOUNT : 290,800.00 OPTION TO CONVERT : UNPAID BALANCE : 289,872.53 ANNUAL RATE ADJUST: MONTHLY P&I : 2,593.51 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031688138 MORTGAGORS: WU PEYJEN REGION CODE ADDRESS : 304 WINDMILL PARK LANE 01 CITY : MOUNTAIN VIEW STATE/ZIP : CA 94043 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,938.45 OUTSIDE CONV DATE : LIFETIME RATE : 6.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.37500 PRODUCT CODE : 002 LTV : 74.72500 ---------------------------------------------------------------- 0 0031688302 MORTGAGORS: CANSLER ROYCE CANSLER LAURA REGION CODE ADDRESS : 34822 CALLE FORTUNA 01 CITY : DANA POINT STATE/ZIP : CA 92624 MORTGAGE AMOUNT : 239,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,131.53 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 66.75900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,520,300.00 P & I AMT: 13,597.89 UPB AMT: 1,517,362.09 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 98 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031688401 MORTGAGORS: GHAJAR ANTHONY GHAJAR AMIR REGION CODE ADDRESS : 19 & 21 RIDGE AVENUE 01 CITY : SAN RAFAEL STATE/ZIP : CA 94901 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,675.57 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031689961 MORTGAGORS: RISSMAN ROBERT RISSMAN PEARL REGION CODE ADDRESS : 3715 SHALLOWBROOK DR 01 CITY : BLOOMFEILD HILLS STATE/ZIP : MI 48302 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 278,303.46 ANNUAL RATE ADJUST: MONTHLY P&I : 2,595.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031690167 MORTGAGORS: GAINES JAMES GAINES NANCY REGION CODE ADDRESS : 5489 EAST ANAHEIM ROAD 01 CITY : LONG BEACH STATE/ZIP : CA 90815 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 420,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,804.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 73.68400 ---------------------------------------------------------------- 0 0031690449 MORTGAGORS: NOVAK MARIAN NOVAK KENNETH REGION CODE ADDRESS : 13753 RECUERDO DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,209.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 53.77700 ---------------------------------------------------------------- 0 0031690464 MORTGAGORS: CHUNG ANDY CHUNG AILEEN REGION CODE ADDRESS : 1297 INVERNESS COURT 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,396.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.94700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,617,000.00 P & I AMT: 14,681.70 UPB AMT: 1,615,303.46 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 99 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031690472 MORTGAGORS: MCCARTHY THOMAS MCCARTHY KATHLEEN REGION CODE ADDRESS : 440 VIA EL CHICO 01 CITY : TORRANCE STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,230.04 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 40.31400 ---------------------------------------------------------------- 0 0031690480 MORTGAGORS: GRIMES STEVEN GRIMES NANCY REGION CODE ADDRESS : 6639 RIDGE MANOR AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92120 MORTGAGE AMOUNT : 250,400.00 OPTION TO CONVERT : UNPAID BALANCE : 250,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,321.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031691975 MORTGAGORS: FERNANDO ROGER FERNANDO SUSAN REGION CODE ADDRESS : 429 STONEYBROOK COURT 01 CITY : DANVILLE STATE/ZIP : CA 94506 MORTGAGE AMOUNT : 396,000.00 OPTION TO CONVERT : UNPAID BALANCE : 396,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,587.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031693252 MORTGAGORS: TAYLOR CHARLES TAYLOR MINNA REGION CODE ADDRESS : 2254 KELTON AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 450,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,139.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 65.21700 ---------------------------------------------------------------- 0 0070027479 MORTGAGORS: FORTH MICHAEL FORTH NANETTE REGION CODE ADDRESS : 5609 WEST IRVINE DRIVE 01 CITY : EDMOND STATE/ZIP : OK 73003 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,945.97 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/08 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 74.78261 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,610,400.00 P & I AMT: 15,224.01 UPB AMT: 1,610,400.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 100 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070064209 MORTGAGORS: FRELINGHUYSE RODNEY FRELINGHUYSE VIRGINIA REGION CODE ADDRESS : 3271 P STREET NORTHWEST 01 CITY : WASHINGTON STATE/ZIP : DC 20007 MORTGAGE AMOUNT : 271,500.00 OPTION TO CONVERT : UNPAID BALANCE : 270,337.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,402.53 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 33.72671 ---------------------------------------------------------------- 0 0070069489 MORTGAGORS: WATERHOUSE SCOTT WATERHOUSE SUE REGION CODE ADDRESS : 250 WEST 90TH STREET 01 CITY : NEW YORK STATE/ZIP : NY 10024 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,212.15 OUTSIDE CONV DATE : LIFETIME RATE : 6.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.25000 PRODUCT CODE : 002 LTV : 67.89474 ---------------------------------------------------------------- 0 0070071923 MORTGAGORS: HESS JAMES HESS JULIA REGION CODE ADDRESS : 11722 EAST DESERT VISTA 01 CITY : PHOENIX STATE/ZIP : AZ 85255 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,516.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070095344 MORTGAGORS: HUTCHENS JON HUTCHENS PATRICIA REGION CODE ADDRESS : 179 DAVID DRIVE 01 CITY : EVERGREEN STATE/ZIP : CO 80439 MORTGAGE AMOUNT : 257,950.00 OPTION TO CONVERT : UNPAID BALANCE : 257,950.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,211.72 OUTSIDE CONV DATE : LIFETIME RATE : 6.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.25000 PRODUCT CODE : 002 LTV : 59.29885 ---------------------------------------------------------------- 0 0070105614 MORTGAGORS: BRIDE PETER BRIDE LYNN REGION CODE ADDRESS : 4345 ARISTA STREET 01 CITY : SAN DIEGO STATE/ZIP : CA 92103 MORTGAGE AMOUNT : 320,500.00 OPTION TO CONVERT : UNPAID BALANCE : 320,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,880.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 65.40816 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,387,950.00 P & I AMT: 12,223.86 UPB AMT: 1,386,787.24 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 101 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070109707 MORTGAGORS: MEJIA RICARDO MEJIA KIM REGION CODE ADDRESS : 5607 FAIRVIEW PL 01 CITY : AGOURA HILL STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 321,500.00 OPTION TO CONVERT : UNPAID BALANCE : 321,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,912.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 50.23438 ---------------------------------------------------------------- 0 0070110887 MORTGAGORS: TORRES YOLANDA TORRES FRANK REGION CODE ADDRESS : 16316 VILLA REAL 01 CITY : TAMPA STATE/ZIP : FL 33613 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,724.25 ANNUAL RATE ADJUST: MONTHLY P&I : 3,567.42 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 69.20415 ---------------------------------------------------------------- 0 0070114228 MORTGAGORS: PECKIS JOSEPH PECKIS EILEEN REGION CODE ADDRESS : 11828 HUNTING RIDGE COURT 01 CITY : POTOMAC STATE/ZIP : MD 20854 MORTGAGE AMOUNT : 444,000.00 OPTION TO CONVERT : UNPAID BALANCE : 442,614.36 ANNUAL RATE ADJUST: MONTHLY P&I : 4,021.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070122924 MORTGAGORS: CAMPBELL THOMAS CAMPBELL MARY REGION CODE ADDRESS : 517 QUEEN STREET 01 CITY : ALEXANDRIA STATE/ZIP : VA 22314 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 348,907.72 ANNUAL RATE ADJUST: MONTHLY P&I : 3,170.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 37.23404 ---------------------------------------------------------------- 0 0070125455 MORTGAGORS: SKOLNICK ALAN SKOLNICK ELIZABETH REGION CODE ADDRESS : 14 BUCKSPARK COURT 01 CITY : POTOMAC STATE/ZIP : MD 20854 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,094.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,626.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 76.31579 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,805,500.00 P & I AMT: 16,298.88 UPB AMT: 1,800,841.29 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 102 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070129770 MORTGAGORS: ALVARADO CLARK ALVARADO JOANNE REGION CODE ADDRESS : 3850 SOUTHWEST 106TH 01 CITY : DAVIE STATE/ZIP : FL 33328 MORTGAGE AMOUNT : 246,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,228.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 67.02997 ---------------------------------------------------------------- 0 0070150727 MORTGAGORS: ROBB TIMOTHY ROBB CELESTE REGION CODE ADDRESS : 6705 EAST TOWNSEND WINONA 01 CITY : FLAGSTAFF STATE/ZIP : AZ 86004 MORTGAGE AMOUNT : 263,400.00 OPTION TO CONVERT : UNPAID BALANCE : 259,944.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,349.14 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 41.15625 ---------------------------------------------------------------- 0 0070157102 MORTGAGORS: ZAFFARANO FRANK ZAFFARANO ANTONETTE REGION CODE ADDRESS : 5465-12 MONTEREY CIRCLE 01 CITY : DELRAY BEAC STATE/ZIP : FL 33484 MORTGAGE AMOUNT : 81,350.00 OPTION TO CONVERT : UNPAID BALANCE : 81,350.00 ANNUAL RATE ADJUST: MONTHLY P&I : 742.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 63.55469 ---------------------------------------------------------------- 0 0070167846 MORTGAGORS: ANDERSON BRUCE ANDERSON NANCY REGION CODE ADDRESS : 8118 NORTH 12TH STREET 01 CITY : TACOMA STATE/ZIP : WA 98406 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,235.40 ANNUAL RATE ADJUST: MONTHLY P&I : 2,219.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 66.39566 ---------------------------------------------------------------- 0 0070175641 MORTGAGORS: TOLKSDORF MATTHIAS TOLKSDORF TERESA REGION CODE ADDRESS : 849 WEATHERHILL ROAD 01 CITY : JEFFERSON C STATE/ZIP : MO 65101 MORTGAGE AMOUNT : 342,950.00 OPTION TO CONVERT : UNPAID BALANCE : 341,868.01 ANNUAL RATE ADJUST: MONTHLY P&I : 3,082.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 64.70755 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,178,700.00 P & I AMT: 10,621.91 UPB AMT: 1,173,397.74 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 103 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070176102 MORTGAGORS: CHUANG CHUN MEI REGION CODE ADDRESS : 888 COUNTRY ROAD 01 CITY : MONTEREY STATE/ZIP : CA 91755 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 83.73702 ---------------------------------------------------------------- 0 0070176706 MORTGAGORS: RAO RAM RAO LALITHA REGION CODE ADDRESS : 1402 SOUTH STONECREST PLAC 01 CITY : DIAMOND BAR STATE/ZIP : CA 91765 MORTGAGE AMOUNT : 237,000.00 OPTION TO CONVERT : UNPAID BALANCE : 237,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,130.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.45161 ---------------------------------------------------------------- 0 0070178033 MORTGAGORS: RAE IAN RAE CATHERINE REGION CODE ADDRESS : 580 DUNE ROAD 01 CITY : WESTHAMPTON STATE/ZIP : NY 11977 MORTGAGE AMOUNT : 295,500.00 OPTION TO CONVERT : UNPAID BALANCE : 295,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,676.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 73.87500 ---------------------------------------------------------------- 0 0070182183 MORTGAGORS: EBELING CHARLES EBELING JOAN REGION CODE ADDRESS : 12445 RUE FOUNTAINBLEAU 01 CITY : SAN DIEGO STATE/ZIP : CA 92131 MORTGAGE AMOUNT : 273,400.00 OPTION TO CONVERT : UNPAID BALANCE : 237,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,344.19 OUTSIDE CONV DATE : LIFETIME RATE : 6.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.25000 PRODUCT CODE : 002 LTV : 45.19008 ---------------------------------------------------------------- 0 0070186556 MORTGAGORS: ENG RATHNARY LIM NORMAN REGION CODE ADDRESS : 2816 GLEN DECKER COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95148 MORTGAGE AMOUNT : 250,950.00 OPTION TO CONVERT : UNPAID BALANCE : 250,166.84 ANNUAL RATE ADJUST: MONTHLY P&I : 2,273.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 69.70833 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,298,850.00 P & I AMT: 11,599.48 UPB AMT: 1,262,066.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 104 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070189626 MORTGAGORS: GIROIR SCOTT GIROIR CYNTHIA REGION CODE ADDRESS : 422 PALM DRIVE 01 CITY : BRAITHWAITE STATE/ZIP : LA 70040 MORTGAGE AMOUNT : 125,000.00 OPTION TO CONVERT : UNPAID BALANCE : 125,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,097.49 OUTSIDE CONV DATE : LIFETIME RATE : 6.62500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.62500 PRODUCT CODE : 002 LTV : 69.63788 ---------------------------------------------------------------- 0 0070194824 MORTGAGORS: OBRIEN EDWARD OBRIEN CAMILLE REGION CODE ADDRESS : 38 LAWNDALE STREET 01 CITY : BELMONT STATE/ZIP : MA 02178 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 330,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,989.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 65.34653 ---------------------------------------------------------------- 0 0070195748 MORTGAGORS: COBB TYRUS COBB SUELLEN REGION CODE ADDRESS : 64 BRIDGEGATE DRIVE 01 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,898.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 38.32335 ---------------------------------------------------------------- 0 0070200399 MORTGAGORS: SALTHOUSE J REGION CODE ADDRESS : 41 PLEASENT VALLEY HARBOUR 01 CITY : TITUSVILLE STATE/ZIP : NJ 08560 MORTGAGE AMOUNT : 387,250.00 OPTION TO CONVERT : UNPAID BALANCE : 387,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,535.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.40909 ---------------------------------------------------------------- 0 0070202098 MORTGAGORS: MC CULLOUGH PAUL MC CULLOUGH KATHLEEN REGION CODE ADDRESS : 350 UPPER BOULEVARD 01 CITY : RIDGEWOOD STATE/ZIP : NJ 07450 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,246.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 60.48780 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,410,250.00 P & I AMT: 12,766.91 UPB AMT: 1,410,250.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 105 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070207006 MORTGAGORS: SLATTERY THOMAS SLATTERY KATHRYN REGION CODE ADDRESS : 228 SOUTH AVENUE 01 CITY : NEW CANAAN STATE/ZIP : CT 06840 MORTGAGE AMOUNT : 415,000.00 OPTION TO CONVERT : UNPAID BALANCE : 415,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,672.37 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 63.84615 ---------------------------------------------------------------- 0 0070213590 MORTGAGORS: HORNER B HORNER SUE REGION CODE ADDRESS : 810 KLEBERG COURT 01 CITY : SOUTHLAKE STATE/ZIP : TX 76092 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 236,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,121.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 70.23810 ---------------------------------------------------------------- 0 0070214622 MORTGAGORS: HUTSON H HUTSON LINDA REGION CODE ADDRESS : 38 WAVE CREST AVENUE 01 CITY : VENICE STATE/ZIP : CA 90291 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,116.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,516.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 66.66667 ---------------------------------------------------------------- 0 0070216239 MORTGAGORS: FAIR JERRY FAIR BLYTHE REGION CODE ADDRESS : 283 MAGNOLIA STREET 01 CITY : Costa Mesa STATE/ZIP : CA 92627 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 347,977.87 ANNUAL RATE ADJUST: MONTHLY P&I : 4,063.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/08 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 72.92000 ---------------------------------------------------------------- 0 0070222385 MORTGAGORS: GEHR ARTHUR REGION CODE ADDRESS : 3033 NORTH MANOR DRIVE 01 CITY : PHOENIX STATE/ZIP : AZ 85014 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,355.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 55.91398 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,541,000.00 P & I AMT: 14,729.28 UPB AMT: 1,538,094.48 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 106 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070230404 MORTGAGORS: OVERHOLSER RODGER OVERHOLSER MARSHA REGION CODE ADDRESS : 1441 43RD STREET SE 01 CITY : CEDAR RAPID STATE/ZIP : IA 52403 MORTGAGE AMOUNT : 249,200.00 OPTION TO CONVERT : UNPAID BALANCE : 249,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,292.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.02312 ---------------------------------------------------------------- 0 0070234604 MORTGAGORS: ODENATH DAVID ODENATH ELLEN REGION CODE ADDRESS : 30 SPRINGHILL ROAD 01 CITY : MENDHAM STATE/ZIP : NJ 07945 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,282.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 27.29258 ---------------------------------------------------------------- 0 0070238621 MORTGAGORS: RODRIGUEZ NORBERTO RODRIGUEZ JOAN REGION CODE ADDRESS : 2830 NORTH GEYER ROAD 01 CITY : SAINT LOUIS STATE/ZIP : MO 63131 MORTGAGE AMOUNT : 262,400.00 OPTION TO CONVERT : UNPAID BALANCE : 262,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,395.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 31.20095 ---------------------------------------------------------------- 0 0070240932 MORTGAGORS: RAFTER JOHN RAFTER LORIE REGION CODE ADDRESS : 5595 BLUEBROOK LANE 01 CITY : YORBA LINDA STATE/ZIP : CA 92686 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,683.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 87.24036 ---------------------------------------------------------------- 0 0070241369 MORTGAGORS: ANTOUN RAJI REGION CODE ADDRESS : 1747 ORLEANS COURT 01 CITY : WALNUT CREE STATE/ZIP : CA 94598 MORTGAGE AMOUNT : 253,800.00 OPTION TO CONVERT : UNPAID BALANCE : 253,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,316.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.67674 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,309,400.00 P & I AMT: 11,970.63 UPB AMT: 1,309,400.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 107 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070244371 MORTGAGORS: HART MICHAEL HART DARLENE REGION CODE ADDRESS : 411 WEST 46TH TERRACE 01 CITY : KANSAS CITY STATE/ZIP : MO 64112 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,419.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 57.60870 ---------------------------------------------------------------- 0 0070260948 MORTGAGORS: NELSON IRA REGION CODE ADDRESS : 252 BELLE ISLE 01 CITY : GEORGETOWN STATE/ZIP : SC 29440 MORTGAGE AMOUNT : 25,450.00 OPTION TO CONVERT : UNPAID BALANCE : 25,450.00 ANNUAL RATE ADJUST: MONTHLY P&I : 298.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/08 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 33.48684 ---------------------------------------------------------------- 0 0070261383 MORTGAGORS: ULYETT PAUL ULYETT EILA REGION CODE ADDRESS : 210 LILLIE LANE NO. 112 01 CITY : Newport Beach STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,935.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/08 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.92000 ---------------------------------------------------------------- 0 0070274170 MORTGAGORS: WENK-WOLFF KAI WENK-WOLFF SUZANE REGION CODE ADDRESS : 1793 KINGS ROAD 01 CITY : Vista STATE/ZIP : CA 92084 MORTGAGE AMOUNT : 443,350.00 OPTION TO CONVERT : UNPAID BALANCE : 443,350.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,984.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 57.95000 ---------------------------------------------------------------- 0 0070275763 MORTGAGORS: ARMSTRONG ROBERT ARMSTRONG CYNTHIA REGION CODE ADDRESS : 635 HAVANA AVENUE 01 CITY : Long Beach STATE/ZIP : CA 90814 MORTGAGE AMOUNT : 491,000.00 OPTION TO CONVERT : UNPAID BALANCE : 491,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,482.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.96000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,474,800.00 P & I AMT: 14,120.03 UPB AMT: 1,474,800.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498125C 01 02 PAGE: 108 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070286331 MORTGAGORS: JOHNSON ROBERT JOHNSON VIRGINIA REGION CODE ADDRESS : 8750 NORTH ROUNDTREE 01 CITY : Flagstaff STATE/ZIP : AZ 86001 MORTGAGE AMOUNT : 279,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,546.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.59000 ---------------------------------------------------------------- 0 0070297833 MORTGAGORS: STUMPE KATHY REGION CODE ADDRESS : 2210 BANYAN DRIVE 01 CITY : Los Angeles STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 650,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 5,842.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/13 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 55.32000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 2 LOAN AMT: 929,000.00 P & I AMT: 8,389.27 UPB AMT: 929,000.00 0 TOTAL NUM OF LOANS: 537 LOAN AMT: 177,152,393.00 P & I AMT: 1,606,233.92 UPB AMT: 176,002,356.26 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 1 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0007672629 MORTGAGORS: GEDNEY CHRISTOPHER GEDNEY MARY REGION CODE ADDRESS : 14203 SOUTH 12TH PLACE 01 CITY : PHOENIX STATE/ZIP : AZ 85048 MORTGAGE AMOUNT : 299,950.00 OPTION TO CONVERT : UNPAID BALANCE : 298,527.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.20000 ---------------------------------------------------------------- 0 0030944169 MORTGAGORS: COPPAGE GRADY REGION CODE ADDRESS : 9102 GREYSTONE VALLEY ROAD 01 CITY : OOLTEWAH STATE/ZIP : TN 37363 MORTGAGE AMOUNT : 221,400.00 OPTION TO CONVERT : UNPAID BALANCE : 220,121.25 ANNUAL RATE ADJUST: MONTHLY P&I : 1,586.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 11/01/27 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0030967426 MORTGAGORS: CROSS DAVID CROSS CHERYL REGION CODE ADDRESS : OLD TOWN TRAIL 01 CITY : CHARLOTTE STATE/ZIP : VT 05445 MORTGAGE AMOUNT : 455,000.00 OPTION TO CONVERT : UNPAID BALANCE : 454,670.69 ANNUAL RATE ADJUST: MONTHLY P&I : 3,220.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.91600 ---------------------------------------------------------------- 0 0030980395 MORTGAGORS: WILSON SCOTT CLAIRE-WILSON MARIE REGION CODE ADDRESS : 205 NORTH MILL COURT 01 CITY : ATLANTA STATE/ZIP : GA 30328 MORTGAGE AMOUNT : 263,850.00 OPTION TO CONVERT : UNPAID BALANCE : 262,129.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,890.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 10/01/27 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.99500 ---------------------------------------------------------------- 0 0031104136 MORTGAGORS: GONZALES ESEQUIEL GONZALES BARBARA REGION CODE ADDRESS : 11220 SEPTEMBER LANE 01 CITY : FAIRFAX STATION STATE/ZIP : VA 22039 MORTGAGE AMOUNT : 512,350.00 OPTION TO CONVERT : UNPAID BALANCE : 511,979.18 ANNUAL RATE ADJUST: MONTHLY P&I : 3,626.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.90300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,752,550.00 P & I AMT: 12,420.54 UPB AMT: 1,747,429.10 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 2 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031122344 MORTGAGORS: KNECHT PETER KNECHT SUSAN REGION CODE ADDRESS : 1148 DUNTON DR 01 CITY : COROLLA STATE/ZIP : NC 27927 MORTGAGE AMOUNT : 282,800.00 OPTION TO CONVERT : UNPAID BALANCE : 282,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,953.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.70000 ---------------------------------------------------------------- 0 0031148703 MORTGAGORS: NOTO SEBASTIAN NOTO STEFANIE REGION CODE ADDRESS : 33 RESERVOIR ROAD 01 CITY : GLOUCESTER STATE/ZIP : MA 01930 MORTGAGE AMOUNT : 150,000.00 OPTION TO CONVERT : UNPAID BALANCE : 150,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,048.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- 0 0031152929 MORTGAGORS: ZIENOWICZ JOSEPH ZIENOWICZ SUSAN REGION CODE ADDRESS : 214 JOHNSON ROAD 01 CITY : READINGTON TOWHSHIP STATE/ZIP : NJ 08889 MORTGAGE AMOUNT : 350,910.00 OPTION TO CONVERT : UNPAID BALANCE : 350,910.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,393.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031232341 MORTGAGORS: SLOAN MICHAEL SLOAN MARILYN REGION CODE ADDRESS : 10 FIELD HOUSE AVENUE 01 CITY : SETAUKET STATE/ZIP : NY 11733 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 330,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,335.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.46000 ---------------------------------------------------------------- 0 0031235955 MORTGAGORS: HANELLY WILLIAM HANELLY MARY REGION CODE ADDRESS : 2374 OAK LEAF DR 01 CITY : STATE COLLEGE STATE/ZIP : PA 16803 MORTGAGE AMOUNT : 337,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,244.97 ANNUAL RATE ADJUST: MONTHLY P&I : 2,356.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.73800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,450,710.00 P & I AMT: 10,087.96 UPB AMT: 1,449,954.97 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 3 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031241938 MORTGAGORS: PALIS JACK WILD PENNI REGION CODE ADDRESS : 5 GREEN FARM LANE 01 CITY : STOCKTON STATE/ZIP : NJ 08559 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,237.12 ANNUAL RATE ADJUST: MONTHLY P&I : 1,847.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031247752 MORTGAGORS: SEGALL ANTHONY DENTLER DEBORAH REGION CODE ADDRESS : 360 EDWARDS PL 01 CITY : GLENDALE STATE/ZIP : CA 91206 MORTGAGE AMOUNT : 358,000.00 OPTION TO CONVERT : UNPAID BALANCE : 356,872.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,442.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.55500 ---------------------------------------------------------------- 0 0031254618 MORTGAGORS: LENTZ THOMAS LENTZ KATHLEEN REGION CODE ADDRESS : 5100 CRESTWOOD LANE 01 CITY : ELLICOTT CITY STATE/ZIP : MD 21043 MORTGAGE AMOUNT : 352,800.00 OPTION TO CONVERT : UNPAID BALANCE : 352,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,436.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99700 ---------------------------------------------------------------- 0 0031281017 MORTGAGORS: BRYNE ROBERT BYRNE RACHEL REGION CODE ADDRESS : 20 APPLE LANE 01 CITY : MILTON STATE/ZIP : NJ 02186 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,429.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,302.27 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 03/01/23 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031334725 MORTGAGORS: O'BRIEN ROBERT BYLER CELIA REGION CODE ADDRESS : 24 PARMENTER ROAD 01 CITY : FRAMINGHAM STATE/ZIP : MA 01701 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,041.57 ANNUAL RATE ADJUST: MONTHLY P&I : 2,154.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,598,800.00 P & I AMT: 11,183.42 UPB AMT: 1,594,380.86 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 4 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031355464 MORTGAGORS: LEVIN DANIEL LEVIN LAURA REGION CODE ADDRESS : 990 CROSS LANE 01 CITY : BLUE BELL STATE/ZIP : PA 19422 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,845.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031389232 MORTGAGORS: CORNWELL JANICE CORNWELL HARVEY REGION CODE ADDRESS : 757 FAWNELM ROAD 01 CITY : SEVERN STATE/ZIP : MD 21144 MORTGAGE AMOUNT : 239,900.00 OPTION TO CONVERT : UNPAID BALANCE : 238,774.83 ANNUAL RATE ADJUST: MONTHLY P&I : 1,677.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 83.88100 ---------------------------------------------------------------- 0 0031390180 MORTGAGORS: JENKS LOUISE ORTEGA CLAUDIA REGION CODE ADDRESS : 22800 BLUEBIRD LANE 01 CITY : GRAND TERRACE STATE/ZIP : CA 92313 MORTGAGE AMOUNT : 104,000.00 OPTION TO CONVERT : UNPAID BALANCE : 103,742.75 ANNUAL RATE ADJUST: MONTHLY P&I : 691.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031406986 MORTGAGORS: FUNK THOMAS FUNK DEBRA REGION CODE ADDRESS : 136 COLLEGE AVENUE 01 CITY : LANCASTER STATE/ZIP : PA 17603 MORTGAGE AMOUNT : 76,950.00 OPTION TO CONVERT : UNPAID BALANCE : 76,790.06 ANNUAL RATE ADJUST: MONTHLY P&I : 557.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 250 LTV : 79.98900 ---------------------------------------------------------------- 0 0031416886 MORTGAGORS: WARDSTROM DONALD WARDSTROM DANA REGION CODE ADDRESS : 184 AYER LANE 01 CITY : MILPITAS STATE/ZIP : CA 95035 MORTGAGE AMOUNT : 309,150.00 OPTION TO CONVERT : UNPAID BALANCE : 308,474.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,188.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 994,000.00 P & I AMT: 6,961.36 UPB AMT: 991,782.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 5 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031419989 MORTGAGORS: WILLIAMS RONALD BOYD W. REGION CODE ADDRESS : 3317 GOVERNOR HENRY COURT 01 CITY : ELLICOTT CITY STATE/ZIP : MD 21043 MORTGAGE AMOUNT : 270,700.00 OPTION TO CONVERT : UNPAID BALANCE : 270,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,846.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 94.99400 ---------------------------------------------------------------- 0 0031424005 MORTGAGORS: HILLMAN ROBERT HILLMAN CHARLENE REGION CODE ADDRESS : 1240 LYNNMERE DRIVE 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91360 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,171.40 ANNUAL RATE ADJUST: MONTHLY P&I : 2,228.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 62.03700 ---------------------------------------------------------------- 0 0031430523 MORTGAGORS: SHAPIRO ARELL REGION CODE ADDRESS : 1955 SMITH ROAD 01 CITY : NORTHBROOK STATE/ZIP : IL 60062 MORTGAGE AMOUNT : 266,500.00 OPTION TO CONVERT : UNPAID BALANCE : 266,112.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,886.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.24600 ---------------------------------------------------------------- 0 0031436892 MORTGAGORS: GARNETT GREGORY GARNETT CYNTHIA REGION CODE ADDRESS : 5488 BROWN ROAD 01 CITY : OXFORD STATE/ZIP : OH 45056 MORTGAGE AMOUNT : 427,200.00 OPTION TO CONVERT : UNPAID BALANCE : 426,531.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,914.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031440910 MORTGAGORS: BUCKLAND ARTHUR BUCKLAND EUNICE REGION CODE ADDRESS : 343 BARNES ROAD 01 CITY : OAK BLUFFS STATE/ZIP : MA 02557 MORTGAGE AMOUNT : 328,000.00 OPTION TO CONVERT : UNPAID BALANCE : 327,731.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,182.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 39.04700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,627,400.00 P & I AMT: 11,058.15 UPB AMT: 1,625,246.99 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 6 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031441678 MORTGAGORS: HOPKINS ROBERT HOPKINS KAREN REGION CODE ADDRESS : 5601 WILLOW VALLEY ROAD 01 CITY : CLIFTON STATE/ZIP : VA 20124 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,259.81 ANNUAL RATE ADJUST: MONTHLY P&I : 1,918.24 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031447766 MORTGAGORS: PUTRIMAS PETER PUTRIMAS KAREN REGION CODE ADDRESS : 469 FLAX HILL RD 01 CITY : NORWALK STATE/ZIP : CT 06854 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 286,797.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,056.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 83.18800 ---------------------------------------------------------------- 0 0031449705 MORTGAGORS: ADEBULE LEMMY ADEBULE CRYSTAL REGION CODE ADDRESS : 938 JACKSON AVENUE 01 CITY : RIVER FOREST STATE/ZIP : IL 60305 MORTGAGE AMOUNT : 330,000.00 OPTION TO CONVERT : UNPAID BALANCE : 330,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,335.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031455421 MORTGAGORS: SNEERINGER LYNNE REGION CODE ADDRESS : 1360 ARBORDALE ROAD 01 CITY : WYNNEWOOD STATE/ZIP : PA 19096 MORTGAGE AMOUNT : 278,800.00 OPTION TO CONVERT : UNPAID BALANCE : 278,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,997.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.99100 ---------------------------------------------------------------- 0 0031463854 MORTGAGORS: PEAVEY DENIS PEAVEY BERNADETTE REGION CODE ADDRESS : 25425 KNOLL LANE 01 CITY : CARMEL STATE/ZIP : CA 93923 MORTGAGE AMOUNT : 390,000.00 OPTION TO CONVERT : UNPAID BALANCE : 389,688.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,627.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,577,800.00 P & I AMT: 10,934.93 UPB AMT: 1,576,545.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 7 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031466287 MORTGAGORS: DOWLING STEVEN DOWLING BARBARA REGION CODE ADDRESS : 1 BRITTANY LANE 01 CITY : LINCOLNSHIRE STATE/ZIP : IL 60069 MORTGAGE AMOUNT : 520,000.00 OPTION TO CONVERT : UNPAID BALANCE : 520,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,591.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031475981 MORTGAGORS: CHENG DING FU TZYH-HWEY REGION CODE ADDRESS : 2121 EAST PIONEER AVENUE 01 CITY : FULLERTON STATE/ZIP : CA 92631 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 339,199.49 ANNUAL RATE ADJUST: MONTHLY P&I : 2,319.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031477300 MORTGAGORS: HARNEK BERNARD HARNEK JOANNA REGION CODE ADDRESS : 44 BARRINGTON PLACE 01 CITY : BEL AIR STATE/ZIP : MD 21014 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,286.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 92.13200 ---------------------------------------------------------------- 0 0031481278 MORTGAGORS: DILLON MATTHEW DILLON DELIA REGION CODE ADDRESS : 23 DEACONS LANE 01 CITY : WILTON STATE/ZIP : CT 06897 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,774.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,829.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 41.04400 ---------------------------------------------------------------- 0 0031483696 MORTGAGORS: KOLESAR DAVID KOLESAR DEBRA REGION CODE ADDRESS : 400 HUGHES ROAD 01 CITY : UPPER MERION TOWNSHIP STATE/ZIP : PA 19406 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,283.07 ANNUAL RATE ADJUST: MONTHLY P&I : 2,237.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,715,000.00 P & I AMT: 11,751.66 UPB AMT: 1,712,543.76 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 8 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031489123 MORTGAGORS: MATTSON TIMOTHY MATTSON TERRI REGION CODE ADDRESS : 10195 HARMONY CIRCLE 01 CITY : EDEN PRAIRIE STATE/ZIP : MN 55347 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,524.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,073.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031489768 MORTGAGORS: FALLON JEROME FALLON SUSAN REGION CODE ADDRESS : 200 OLD MILL ROAD 01 CITY : BARRINGTON STATE/ZIP : IL 60010 MORTGAGE AMOUNT : 343,920.00 OPTION TO CONVERT : UNPAID BALANCE : 343,920.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,375.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031492473 MORTGAGORS: CARTER JAMES CARTER VICKI REGION CODE ADDRESS : 6929 STETHEM COURT 01 CITY : MANASSAS STATE/ZIP : VA 20112 MORTGAGE AMOUNT : 351,700.00 OPTION TO CONVERT : UNPAID BALANCE : 350,536.72 ANNUAL RATE ADJUST: MONTHLY P&I : 2,339.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 84.98900 ---------------------------------------------------------------- 0 0031496946 MORTGAGORS: SELLS RICHARD SELLS JOANNE REGION CODE ADDRESS : 5353 SADRING AVENUE 01 CITY : WOODLAND HILLS AREA STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 304,500.00 OPTION TO CONVERT : UNPAID BALANCE : 300,971.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,155.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 92.27200 ---------------------------------------------------------------- 0 0031498462 MORTGAGORS: MANNINO SALVATORE MANNINO SHERYL REGION CODE ADDRESS : 374 MANUEL STREET 01 CITY : NEWARK STATE/ZIP : DE 19711 MORTGAGE AMOUNT : 111,300.00 OPTION TO CONVERT : UNPAID BALANCE : 111,130.10 ANNUAL RATE ADJUST: MONTHLY P&I : 768.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 89.97500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,415,420.00 P & I AMT: 9,713.01 UPB AMT: 1,410,083.06 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 9 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031502123 MORTGAGORS: PURNELL JOHN PURNELL DENISE REGION CODE ADDRESS : 10 WATERFORD DRIVE 01 CITY : LEWES STATE/ZIP : DE 19958 MORTGAGE AMOUNT : 243,750.00 OPTION TO CONVERT : UNPAID BALANCE : 243,550.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,621.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031510753 MORTGAGORS: BARAKAT DAVID OWEN-BARAKAT LA VERNE REGION CODE ADDRESS : 532 SOUTH HELBERTA AVENUE 01 CITY : REDONDO BEACH STATE/ZIP : CA 90277 MORTGAGE AMOUNT : 649,950.00 OPTION TO CONVERT : UNPAID BALANCE : 649,455.44 ANNUAL RATE ADJUST: MONTHLY P&I : 4,489.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.26400 ---------------------------------------------------------------- 0 0031511082 MORTGAGORS: LESTER MARK LESTER KATHERINE REGION CODE ADDRESS : 5 GRANTLAND ROAD 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 327,800.00 OPTION TO CONVERT : UNPAID BALANCE : 327,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,348.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 77.12900 ---------------------------------------------------------------- 0 0031515331 MORTGAGORS: MORTIMER MARY REGION CODE ADDRESS : 17183 AVENIDA DE SANTA YNEZ 01 CITY : LOS ANGELES STATE/ZIP : CA 90272 MORTGAGE AMOUNT : 303,000.00 OPTION TO CONVERT : UNPAID BALANCE : 302,045.95 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 55.49400 ---------------------------------------------------------------- 0 0031516255 MORTGAGORS: GOODE JOE KATAYAMA HIROMI REGION CODE ADDRESS : 12515 WOODGREEN STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 235,000.00 OPTION TO CONVERT : UNPAID BALANCE : 234,641.26 ANNUAL RATE ADJUST: MONTHLY P&I : 1,623.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 66.19700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,759,500.00 P & I AMT: 12,149.21 UPB AMT: 1,757,492.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 10 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031519192 MORTGAGORS: FINCH BRYAN REGION CODE ADDRESS : 1251 EAST ROCK SPRINGS 01 CITY : ATLANTA STATE/ZIP : GA 30306 MORTGAGE AMOUNT : 259,200.00 OPTION TO CONVERT : UNPAID BALANCE : 258,997.80 ANNUAL RATE ADJUST: MONTHLY P&I : 1,768.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031524598 MORTGAGORS: LEE DONG LEE JUNGMI REGION CODE ADDRESS : 43399 TURNBERRY ISLE COURT 01 CITY : LEESBURG STATE/ZIP : VA 20176 MORTGAGE AMOUNT : 296,550.00 OPTION TO CONVERT : UNPAID BALANCE : 296,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,948.12 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- 0 0031525546 MORTGAGORS: BOONE OTHO BOONE SUZANNE REGION CODE ADDRESS : 1314 SQUIRE DRIVE 01 CITY : AMBLER STATE/ZIP : PA 19002 MORTGAGE AMOUNT : 245,600.00 OPTION TO CONVERT : UNPAID BALANCE : 245,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,738.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031528755 MORTGAGORS: GAVIN JOHN REGION CODE ADDRESS : 1234 MIRAMAR STREET 01 CITY : LAGUNA BEACH STATE/ZIP : CA 92651 MORTGAGE AMOUNT : 707,000.00 OPTION TO CONVERT : UNPAID BALANCE : 706,488.30 ANNUAL RATE ADJUST: MONTHLY P&I : 5,004.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 015 LTV : 55.66900 ---------------------------------------------------------------- 0 0031537913 MORTGAGORS: KADONAGA KENNETH REGION CODE ADDRESS : 1420 REDWOOD AVENUE 01 CITY : BOULDER STATE/ZIP : CO 80304 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,443.44 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,800,350.00 P & I AMT: 12,450.72 UPB AMT: 1,799,079.54 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 11 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031538382 MORTGAGORS: NABRYNSKI MICHAEL NABRYNSKI JARKA REGION CODE ADDRESS : 101 MOORE ROAD 01 CITY : SUDBURY STATE/ZIP : MA 01776 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,910.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 60.86900 ---------------------------------------------------------------- 0 0031540776 MORTGAGORS: LEHMANN LAURA HAMLEN ROBERT REGION CODE ADDRESS : 6820 WOODDALE AVENUE SOUTH 01 CITY : EDINA STATE/ZIP : MN 55435 MORTGAGE AMOUNT : 328,000.00 OPTION TO CONVERT : UNPAID BALANCE : 328,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,265.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031542533 MORTGAGORS: ODEH M. ODEH MARGUERITE REGION CODE ADDRESS : 16 PADDOCK DRIVE 01 CITY : LINCOLN STATE/ZIP : RI 02865 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 419,647.15 ANNUAL RATE ADJUST: MONTHLY P&I : 2,759.10 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.04300 ---------------------------------------------------------------- 0 0031542541 MORTGAGORS: HAGAR KEVIN HAGAR CYNTHIA REGION CODE ADDRESS : 16428 SHADY VIEW LANE 01 CITY : LOS GATOS STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 419,000.00 OPTION TO CONVERT : UNPAID BALANCE : 418,689.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,929.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.05600 ---------------------------------------------------------------- 0 0031542665 MORTGAGORS: VAZZA RICHARD VAZZA NANCY REGION CODE ADDRESS : 29 LOEW CIRCLE 01 CITY : MILTON, STATE/ZIP : MA 02186 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 335,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,228.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 52.00200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,782,000.00 P & I AMT: 12,093.08 UPB AMT: 1,781,336.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 12 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031546013 MORTGAGORS: GOLD STUART GOLD DEBRA REGION CODE ADDRESS : 28674 BRAELOCH COURT 01 CITY : LAKE BLUFF STATE/ZIP : IL 60044 MORTGAGE AMOUNT : 336,500.00 OPTION TO CONVERT : UNPAID BALANCE : 336,011.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,381.73 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.98100 ---------------------------------------------------------------- 0 0031549124 MORTGAGORS: SEFCHECK MARK SEFCHECK JERILYNN REGION CODE ADDRESS : 13 CREST CIRCLE DRIVE 01 CITY : MILLSTONE STATE/ZIP : NJ 07728 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,005.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 66.66600 ---------------------------------------------------------------- 0 0031553449 MORTGAGORS: WALKER RAYMON WALKER JANICE REGION CODE ADDRESS : 742 CALLE HIGUERA 01 CITY : CAMARILLO STATE/ZIP : CA 93010 MORTGAGE AMOUNT : 254,500.00 OPTION TO CONVERT : UNPAID BALANCE : 254,306.35 ANNUAL RATE ADJUST: MONTHLY P&I : 1,757.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.20600 ---------------------------------------------------------------- 0 0031554470 MORTGAGORS: BRYANT THOMAS HILL AUDREY REGION CODE ADDRESS : 542 DUGWAY BRIDGE ROAD 01 CITY : SOUTH KINGSTOWN STATE/ZIP : RI 02892 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,650.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.54500 ---------------------------------------------------------------- 0 0031560915 MORTGAGORS: SPEECHLEY INA REGION CODE ADDRESS : 805 COXSWAIN WAY #201 01 CITY : ANNAPOLIS STATE/ZIP : MD 21401 MORTGAGE AMOUNT : 85,000.00 OPTION TO CONVERT : UNPAID BALANCE : 85,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 579.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 60.75700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,201,000.00 P & I AMT: 8,375.91 UPB AMT: 1,200,317.70 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 13 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031561079 MORTGAGORS: SULLIVAN MARK SULLIVAN NANCY REGION CODE ADDRESS : 268 RAVENSCLIFF ROAD 01 CITY : WAYNE STATE/ZIP : PA 19087 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 460,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,138.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 67.64700 ---------------------------------------------------------------- 0 0031561764 MORTGAGORS: STECKROAT PAMELA MAURER ROBERT REGION CODE ADDRESS : 19 ACORN WAY 01 CITY : KENTFIELD STATE/ZIP : CA 94904 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 649,529.55 ANNUAL RATE ADJUST: MONTHLY P&I : 4,600.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 63.72549 ---------------------------------------------------------------- 0 0031563638 MORTGAGORS: SINGER JEFFREY SINGER LISA REGION CODE ADDRESS : 9 HAZELTON DRIVE 01 CITY : SCARSDALE STATE/ZIP : NY 10583 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,589.32 ANNUAL RATE ADJUST: MONTHLY P&I : 2,077.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 73.41700 ---------------------------------------------------------------- 0 0031564495 MORTGAGORS: PIOT JON PIOT SUSAN REGION CODE ADDRESS : 6422 PRESTONSHIRE LANE 01 CITY : DALLAS STATE/ZIP : TX 75225 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 257,798.73 ANNUAL RATE ADJUST: MONTHLY P&I : 1,760.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 64.50000 ---------------------------------------------------------------- 0 0031564578 MORTGAGORS: OMEREFENDIC OMER REGION CODE ADDRESS : CARRIAGE HOUSE CONDO,#304,216 ST.PA 01 CITY : BROOKLINE STATE/ZIP : MA 02146 MORTGAGE AMOUNT : 125,250.00 OPTION TO CONVERT : UNPAID BALANCE : 125,161.60 ANNUAL RATE ADJUST: MONTHLY P&I : 897.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,783,250.00 P & I AMT: 12,473.60 UPB AMT: 1,782,079.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 14 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031566367 MORTGAGORS: BIRRELL NICK BIRRELL GAIL REGION CODE ADDRESS : 14 HONEYSUCKLE ROAD 01 CITY : WESTFORD STATE/ZIP : MA 01886 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,100.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,101.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/18 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031568397 MORTGAGORS: GRAVETTE DENNIS GRAVETTE MARY REGION CODE ADDRESS : 1216 SPAR COURT 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,792.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,957.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.70300 ---------------------------------------------------------------- 0 0031569338 MORTGAGORS: THROWER KEITH PIERCE-THROWER JONNIE REGION CODE ADDRESS : 7529 LOCKE ROAD 01 CITY : VACAVILLE STATE/ZIP : CA 95688 MORTGAGE AMOUNT : 251,750.00 OPTION TO CONVERT : UNPAID BALANCE : 251,563.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,760.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031570294 MORTGAGORS: LANZAROTTA JAMES LANZAROTTA KELLY REGION CODE ADDRESS : NNA CHRISTIANS ROAD 01 CITY : ASTORIA STATE/ZIP : OR 97103 MORTGAGE AMOUNT : 341,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,497.36 ANNUAL RATE ADJUST: MONTHLY P&I : 2,488.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 08/01/27 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.30232 ---------------------------------------------------------------- 0 0031571425 MORTGAGORS: RODRIGUEZ ROBERT RODRIGUEZ MABEL REGION CODE ADDRESS : 2164 BEACHWOOD COURT 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 240,700.00 OPTION TO CONVERT : UNPAID BALANCE : 240,332.56 ANNUAL RATE ADJUST: MONTHLY P&I : 1,662.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.07300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,369,450.00 P & I AMT: 9,970.48 UPB AMT: 1,367,285.79 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 15 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031572779 MORTGAGORS: FOGLIA PAUL REGION CODE ADDRESS : 89 RUSSELL ROAD 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 256,400.00 OPTION TO CONVERT : UNPAID BALANCE : 256,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,836.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.99800 ---------------------------------------------------------------- 0 0031572878 MORTGAGORS: EPSTEIN STEVEN EPSTEIN HELLEN REGION CODE ADDRESS : 1609 RIDGEWAY DRIVE 01 CITY : HEWLETT STATE/ZIP : NY 11557 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.07400 ---------------------------------------------------------------- 0 0031573330 MORTGAGORS: HLODNICKI BRUCE REGION CODE ADDRESS : 2516 EAST NEWBERRY BLVD. 01 CITY : MILWAUKEE STATE/ZIP : WI 53211 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,132.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.76400 ---------------------------------------------------------------- 0 0031574205 MORTGAGORS: DONCH JOHN DONCH SUZETTE REGION CODE ADDRESS : 150 LOMBARD STREET #708 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94111 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,769.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,019.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031574536 MORTGAGORS: THEUVENIN JACQUES THEUVENIN DOMINIQUE REGION CODE ADDRESS : 158 SHERIDAN AVENUE 01 CITY : HO-HO-KUS STATE/ZIP : NJ 07423 MORTGAGE AMOUNT : 227,000.00 OPTION TO CONVERT : UNPAID BALANCE : 227,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,567.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 70.93700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,384,400.00 P & I AMT: 9,654.22 UPB AMT: 1,408,169.09 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 16 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031574619 MORTGAGORS: MUNDIE DONALD MUNDIE LYNN REGION CODE ADDRESS : 606 BETHANY ROAD 01 CITY : EADS STATE/ZIP : TN 38028 MORTGAGE AMOUNT : 382,500.00 OPTION TO CONVERT : UNPAID BALANCE : 382,201.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,609.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031574668 MORTGAGORS: BUSTOS JUAN BUSTOS OFELIA REGION CODE ADDRESS : 3253 ALESSANDRO DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95135 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,545.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,132.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.10400 ---------------------------------------------------------------- 0 0031575095 MORTGAGORS: GATES RONNIE REGION CODE ADDRESS : 321 ARLINGTON AVENUE N.W 01 CITY : CANTON STATE/ZIP : OH 44708 MORTGAGE AMOUNT : 54,000.00 OPTION TO CONVERT : UNPAID BALANCE : 53,965.56 ANNUAL RATE ADJUST: MONTHLY P&I : 405.69 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.25000 PRODUCT CODE : 250 LTV : 90.00000 ---------------------------------------------------------------- 0 0031575319 MORTGAGORS: GALLICHIO BRIAN GALLICHIO JUDITH REGION CODE ADDRESS : 26 W 253 INWOOD LANE 01 CITY : WINFIELD STATE/ZIP : IL 60190 MORTGAGE AMOUNT : 243,920.00 OPTION TO CONVERT : UNPAID BALANCE : 243,920.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,705.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.84200 ---------------------------------------------------------------- 0 0031575343 MORTGAGORS: MATHEWS DAVID REGION CODE ADDRESS : 5715 CHAUCER CIRCLE 01 CITY : SUWANEE STATE/ZIP : GA 30024 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,760.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,021.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.25700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,285,420.00 P & I AMT: 8,874.30 UPB AMT: 1,284,393.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 17 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031576259 MORTGAGORS: GOLOVEN MARC GOLOVEN KATHLEEN REGION CODE ADDRESS : 19 HISSARLIK WAY RFD #2 01 CITY : BEDFORD STATE/ZIP : NY 10506 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,852.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 42.40000 ---------------------------------------------------------------- 0 0031576333 MORTGAGORS: BUNGARD ANN BUNGARD EUGENE REGION CODE ADDRESS : 26 OLD FARM WAY 01 CITY : CHELMSFORD STATE/ZIP : MA 01824 MORTGAGE AMOUNT : 327,000.00 OPTION TO CONVERT : UNPAID BALANCE : 327,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.95100 ---------------------------------------------------------------- 0 0031577174 MORTGAGORS: EGHTESADI AHMAD AGHILI FARNAZ REGION CODE ADDRESS : 13 CROWNSGATE COURT 01 CITY : GERMANTOWN STATE/ZIP : MD 20874 MORTGAGE AMOUNT : 274,550.00 OPTION TO CONVERT : UNPAID BALANCE : 274,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,919.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031578396 MORTGAGORS: NESLINE MARK NESLINE SUSAN REGION CODE ADDRESS : 130 WORTHEN ROAD 01 CITY : LEXINGTON STATE/ZIP : MA 02173 MORTGAGE AMOUNT : 267,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,776.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 54.52300 ---------------------------------------------------------------- 0 0031579022 MORTGAGORS: GORHAM PATRICIA PANETTA EDWARD REGION CODE ADDRESS : 1969 GRAND PRIX DRIVE 01 CITY : ATLANTA STATE/ZIP : GA 30345 MORTGAGE AMOUNT : 284,800.00 OPTION TO CONVERT : UNPAID BALANCE : 284,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,418,350.00 P & I AMT: 9,715.87 UPB AMT: 1,418,350.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 18 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031582638 MORTGAGORS: KOENIG MARK KOENIG ROSEMARY REGION CODE ADDRESS : 96 TIDEWATER FARMS ROAD 01 CITY : STRATHAM STATE/ZIP : NH 03885 MORTGAGE AMOUNT : 316,800.00 OPTION TO CONVERT : UNPAID BALANCE : 316,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,134.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031583255 MORTGAGORS: CHEVALLIER ROGER REGION CODE ADDRESS : 20 LINCOLN ROAD 01 CITY : ROCKY POINT STATE/ZIP : NY 11778 MORTGAGE AMOUNT : 100,000.00 OPTION TO CONVERT : UNPAID BALANCE : 100,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 751.27 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.25000 PRODUCT CODE : 250 LTV : 78.74000 ---------------------------------------------------------------- 0 0031584600 MORTGAGORS: HEFFERNAN CLYDE HEFFERNAN JACQUELYN REGION CODE ADDRESS : 31 DECKERS WAY 01 CITY : MARSHFIELD STATE/ZIP : MA 02050 MORTGAGE AMOUNT : 254,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,819.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 76.50602 ---------------------------------------------------------------- 0 0031584659 MORTGAGORS: GRIFFIN GARY GRIFFIN LOUISE REGION CODE ADDRESS : 2529 FRANKLIN AVE 01 CITY : BROOMALL STATE/ZIP : PA 19008 MORTGAGE AMOUNT : 102,000.00 OPTION TO CONVERT : UNPAID BALANCE : 102,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 802.43 OUTSIDE CONV DATE : LIFETIME RATE : 8.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.75000 PRODUCT CODE : 250 LTV : 68.00000 ---------------------------------------------------------------- 0 0031584717 MORTGAGORS: LEONARD THOMAS LESLIE MARIANNE REGION CODE ADDRESS : 2815 67TH AVE SE 01 CITY : MERCER ISLAND STATE/ZIP : WA 98040 MORTGAGE AMOUNT : 344,000.00 OPTION TO CONVERT : UNPAID BALANCE : 344,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,346.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,116,800.00 P & I AMT: 7,854.43 UPB AMT: 1,116,800.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 19 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031584816 MORTGAGORS: HAMLIN THOMAS HAMLIN PAMELA REGION CODE ADDRESS : 16 EDGEHILL ROAD 01 CITY : HOPKINTON STATE/ZIP : MA 01748 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,241.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/23 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 58.13900 ---------------------------------------------------------------- 0 0031585391 MORTGAGORS: KAPLANSKY PAUL REGION CODE ADDRESS : 11222 GARFIELD AVENUE 01 CITY : CULVER CITY STATE/ZIP : CA 90230 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031587223 MORTGAGORS: LEARY ROBERT BRENNAN-LEARY PATRICIA REGION CODE ADDRESS : 16 ORIOLE ROAD 01 CITY : MEDFIELD STATE/ZIP : MA 02052 MORTGAGE AMOUNT : 291,200.00 OPTION TO CONVERT : UNPAID BALANCE : 291,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,961.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031587249 MORTGAGORS: PALAFOUTAS JOHN REGION CODE ADDRESS : 615 BEVERLY DRIVE 01 CITY : ALEXANDRA STATE/ZIP : VA 22305 MORTGAGE AMOUNT : 295,400.00 OPTION TO CONVERT : UNPAID BALANCE : 295,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,040.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98900 ---------------------------------------------------------------- 0 0031587454 MORTGAGORS: CRAFT RICHARD REGION CODE ADDRESS : 659 ANDOVER ROAD 01 CITY : NEWTON SQUARE STATE/ZIP : PA 19073 MORTGAGE AMOUNT : 645,000.00 OPTION TO CONVERT : UNPAID BALANCE : 645,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,291.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,771,600.00 P & I AMT: 12,192.39 UPB AMT: 1,771,600.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 20 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031587801 MORTGAGORS: PLIMPTON SUZANNE PLIMPTON SCOTT REGION CODE ADDRESS : 3625 CAMELOT DRIVE 01 CITY : ANNANDALE STATE/ZIP : VA 22003 MORTGAGE AMOUNT : 244,000.00 OPTION TO CONVERT : UNPAID BALANCE : 244,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,664.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031589948 MORTGAGORS: NATARAJAN VISWANATHAN NATARAJAN LAKSHMI REGION CODE ADDRESS : 2943 POLAND SPRINGS DRIVE 01 CITY : ELLICOTT CITY STATE/ZIP : MD 21042 MORTGAGE AMOUNT : 281,500.00 OPTION TO CONVERT : UNPAID BALANCE : 281,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,992.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- 0 0031591449 MORTGAGORS: COLON ROBERT COLON NANCY REGION CODE ADDRESS : 2 SARGENT DAVID STODDARD COURT 01 CITY : BEDMINSTER STATE/ZIP : NJ 07921 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,657.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031591787 MORTGAGORS: VIEGAS CHRISTOPHER VIEGAS LORI REGION CODE ADDRESS : 10356 LA MORADA DRIVE 01 CITY : SAN DIEGO STATE/ZIP : CA 92124 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,816.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,727.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031592637 MORTGAGORS: PHILIPS MARION RAGG WALTER REGION CODE ADDRESS : 27 DICKINSON ROAD 01 CITY : BASKING RIDGE STATE/ZIP : NJ 07920 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,782.86 ANNUAL RATE ADJUST: MONTHLY P&I : 2,123.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 66.66600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,452,500.00 P & I AMT: 10,164.43 UPB AMT: 1,452,099.55 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 21 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031592900 MORTGAGORS: ALESHIRE GARY ALESHIRE CHARLENE REGION CODE ADDRESS : 2619 LEMONS BEACH DRIVE 01 CITY : UNIVERSITY PLACE STATE/ZIP : WA 98466 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,794.55 ANNUAL RATE ADJUST: MONTHLY P&I : 1,864.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031592934 MORTGAGORS: VELASQUEZ MARVIN KUENNEN CLARISSA REGION CODE ADDRESS : 47702 BOWLINE TERRACE 01 CITY : STERLING STATE/ZIP : VA 20165 MORTGAGE AMOUNT : 168,050.00 OPTION TO CONVERT : UNPAID BALANCE : 167,908.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,103.97 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.98100 ---------------------------------------------------------------- 0 0031593569 MORTGAGORS: REILLY ROBERT REILLY LINDA REGION CODE ADDRESS : 9 WILLOW STREET UNIT #41 01 CITY : BOSTON STATE/ZIP : MA 02108 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,799.62 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.64600 ---------------------------------------------------------------- 0 0031593981 MORTGAGORS: MACIAS FREDRICK MACIAS DENISE REGION CODE ADDRESS : 2104 MIRAMAR DRIVE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92661 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 650,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,544.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.75400 ---------------------------------------------------------------- 0 0031594120 MORTGAGORS: BARKER JOHN BARKER JULIE REGION CODE ADDRESS : 12119 COUNTRY HILLS COURT 01 CITY : GLEN ALLEN STATE/ZIP : VA 23060 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,769.09 ANNUAL RATE ADJUST: MONTHLY P&I : 2,019.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,654,050.00 P & I AMT: 11,420.81 UPB AMT: 1,653,272.08 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 22 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031594161 MORTGAGORS: BRYAN ROBERT BRYAN DEBRA REGION CODE ADDRESS : 1008 SMOKEY MOUNTAIN TRAIL 01 CITY : CHESAPEAKE STATE/ZIP : VA 23320 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,323.75 ANNUAL RATE ADJUST: MONTHLY P&I : 1,660.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031594567 MORTGAGORS: CRAIG KERRY CRAIG DIANE REGION CODE ADDRESS : 1618 DEL OGIER DRIVE 01 CITY : GLENVIEW STATE/ZIP : IL 60025 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 364,361.59 ANNUAL RATE ADJUST: MONTHLY P&I : 2,552.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.36300 ---------------------------------------------------------------- 0 0031595150 MORTGAGORS: MALLON DAVID MALLON VICKIE REGION CODE ADDRESS : 283 WEST SYLVESTOR PLACE 01 CITY : HIGHLANDS RANCH STATE/ZIP : CO 80126 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 261,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,802.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031595309 MORTGAGORS: THORNTON MICHAEL THORNTON MICHELE REGION CODE ADDRESS : 4918 MOUNT ZION ROAD 01 CITY : FREDERICK STATE/ZIP : MD 21703 MORTGAGE AMOUNT : 172,000.00 OPTION TO CONVERT : UNPAID BALANCE : 172,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,202.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.78500 ---------------------------------------------------------------- 0 0031595432 MORTGAGORS: SADIQ TARIQ SADIQ SHIRAZUL REGION CODE ADDRESS : 5 BAYCREST WAY 01 CITY : SOUTH SAN FRANCISCO STATE/ZIP : CA 94080 MORTGAGE AMOUNT : 274,400.00 OPTION TO CONVERT : UNPAID BALANCE : 274,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,871.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.77000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,309,900.00 P & I AMT: 9,089.98 UPB AMT: 1,309,085.34 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 23 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031595481 MORTGAGORS: CLEWS RICHARD CLEWS JOYCE REGION CODE ADDRESS : 1981 RANCHO VERDE CIRCLE EAST 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,106.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.22000 ---------------------------------------------------------------- 0 0031595572 MORTGAGORS: GOULD LARRY GOULD HILLARY REGION CODE ADDRESS : 1524 W GEORGE 01 CITY : CHICAGO STATE/ZIP : IL 60657 MORTGAGE AMOUNT : 396,000.00 OPTION TO CONVERT : UNPAID BALANCE : 395,706.11 ANNUAL RATE ADJUST: MONTHLY P&I : 2,768.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031596059 MORTGAGORS: HARRIS JAMES HARRIS RENEE REGION CODE ADDRESS : 6725 EAGLE WING DRIVE 01 CITY : SPARKS STATE/ZIP : NV 89436 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,738.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,285.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.82600 ---------------------------------------------------------------- 0 0031596091 MORTGAGORS: ALPERIN MIKHAIL ALPERIN IRINA REGION CODE ADDRESS : 64 INDIAN RIDGE ROAD 01 CITY : NEWTON STATE/ZIP : MA 02161 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,206.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031596158 MORTGAGORS: LYNCH JOHN DURKIN MARY REGION CODE ADDRESS : 5108 41ST STREET NW 01 CITY : WASHINGTON STATE/ZIP : DC 20016 MORTGAGE AMOUNT : 416,250.00 OPTION TO CONVERT : UNPAID BALANCE : 415,956.21 ANNUAL RATE ADJUST: MONTHLY P&I : 2,982.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,760,250.00 P & I AMT: 12,349.37 UPB AMT: 1,759,400.98 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 24 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031596174 MORTGAGORS: JOHNSON-CHIN SALLY CHIN STEPHEN REGION CODE ADDRESS : 1 FIELDSTONE DRIVE 01 CITY : WINCHESTER STATE/ZIP : MA 01890 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,262.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 56.19800 ---------------------------------------------------------------- 0 0031596349 MORTGAGORS: LIU EDWARD LIU PAULINE REGION CODE ADDRESS : 13371 SAN REMO 01 CITY : TUSTIN STATE/ZIP : CA 92782 MORTGAGE AMOUNT : 251,200.00 OPTION TO CONVERT : UNPAID BALANCE : 251,008.85 ANNUAL RATE ADJUST: MONTHLY P&I : 1,734.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.74600 ---------------------------------------------------------------- 0 0031597206 MORTGAGORS: ZOLTAN CHARLES ZOLTAN KAY REGION CODE ADDRESS : 16 NOVILLA 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,227.49 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031597669 MORTGAGORS: KASSAB NABEEL KASSAB SUHA REGION CODE ADDRESS : 3492 MONIQUE COURT 01 CITY : SPRING VALLEY STATE/ZIP : CA 91977 MORTGAGE AMOUNT : 206,550.00 OPTION TO CONVERT : UNPAID BALANCE : 206,550.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,461.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.98800 ---------------------------------------------------------------- 0 0031597685 MORTGAGORS: D'AMBROSIO EDWARD REGION CODE ADDRESS : 15 FORSYTHIA LANE 01 CITY : JERICHO STATE/ZIP : NY 11753 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 276,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,929.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.90200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,373,750.00 P & I AMT: 9,616.28 UPB AMT: 1,373,558.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 25 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031597776 MORTGAGORS: MALONE RONALD NEWMAN ELLEN REGION CODE ADDRESS : 11 BARNACLE ROAD 01 CITY : HILTON HEAD STATE/ZIP : SC 29928 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,630.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.69100 ---------------------------------------------------------------- 0 0031598543 MORTGAGORS: GARVEY JOHN GARVEY JULIET REGION CODE ADDRESS : 14 MARTIN ROAD 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,786.85 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031598683 MORTGAGORS: CRAIN LOUIS CRAIN CONNIE REGION CODE ADDRESS : 16 PENNSYLVANIA AVENUE 01 CITY : LOS GATOS STATE/ZIP : CA 95030 MORTGAGE AMOUNT : 673,000.00 OPTION TO CONVERT : UNPAID BALANCE : 672,559.76 ANNUAL RATE ADJUST: MONTHLY P&I : 4,997.01 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 015 LTV : 57.27600 ---------------------------------------------------------------- 0 0031599376 MORTGAGORS: LA CAVA PATRICK REGION CODE ADDRESS : 8 FLETCHER COURT 01 CITY : ALAMEDA STATE/ZIP : CA 94501 MORTGAGE AMOUNT : 269,700.00 OPTION TO CONVERT : UNPAID BALANCE : 269,494.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98600 ---------------------------------------------------------------- 0 0031599426 MORTGAGORS: MOORE MICHAEL MOORE JEAN REGION CODE ADDRESS : 6826 MANCHESTER DRIVE 01 CITY : CHANHASSEN STATE/ZIP : MN 55317 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.35800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,696,700.00 P & I AMT: 11,914.25 UPB AMT: 1,696,054.53 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 26 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031600455 MORTGAGORS: KELLY HOWARD REGION CODE ADDRESS : 5328 POPLAR VALLEY COURT 01 CITY : CENTREVILLE STATE/ZIP : VA 20120 MORTGAGE AMOUNT : 249,550.00 OPTION TO CONVERT : UNPAID BALANCE : 249,340.34 ANNUAL RATE ADJUST: MONTHLY P&I : 1,639.37 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99100 ---------------------------------------------------------------- 0 0031600729 MORTGAGORS: BROOKS CHARLES BROOKS LAURE REGION CODE ADDRESS : 10434 CHURCHILL WAY 01 CITY : ROCKY GORGE STATE/ZIP : MD 20723 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,800.24 ANNUAL RATE ADJUST: MONTHLY P&I : 1,953.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031601131 MORTGAGORS: MANN DOUGLAS MANN LINDA REGION CODE ADDRESS : 6 KENDALL DRIVE 01 CITY : NORTHBOROUGH STATE/ZIP : MA 01532 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,202.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.82900 ---------------------------------------------------------------- 0 0031604275 MORTGAGORS: ABRAHAM ROBERT REGION CODE ADDRESS : 38 TROWBRIDGE CIRCLE 01 CITY : ROWLEY STATE/ZIP : MA 01969 MORTGAGE AMOUNT : 313,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,242.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.24000 ---------------------------------------------------------------- 0 0031604366 MORTGAGORS: BOSWELL REID BOSWELL JANET REGION CODE ADDRESS : 7 SUMMIT AVENUE 01 CITY : WINCHESTER STATE/ZIP : MA 01890 MORTGAGE AMOUNT : 303,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,990.49 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.75000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,456,550.00 P & I AMT: 10,028.27 UPB AMT: 1,456,140.58 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 27 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031604424 MORTGAGORS: BURKE THOMAS BURKE MARY REGION CODE ADDRESS : 21 PARSONS DRIVE 01 CITY : SWAMPSCOTT STATE/ZIP : MA 01907 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 312,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,262.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031604622 MORTGAGORS: LUGTU JOEL LUGTU JOSEPHINE REGION CODE ADDRESS : 124 PIN OAK ROAD 01 CITY : FREEHOLD STATE/ZIP : NJ 07728 MORTGAGE AMOUNT : 328,000.00 OPTION TO CONVERT : UNPAID BALANCE : 327,737.70 ANNUAL RATE ADJUST: MONTHLY P&I : 2,209.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.81200 ---------------------------------------------------------------- 0 0031605413 MORTGAGORS: DI SILVESTRO JAMES DI SILVESTRO RUTH REGION CODE ADDRESS : 1756 WHISPERING COURT 01 CITY : ADDISON STATE/ZIP : IL 60101 MORTGAGE AMOUNT : 326,250.00 OPTION TO CONVERT : UNPAID BALANCE : 326,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,309.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031605660 MORTGAGORS: SHAND JAMES QUALBEN JANICE REGION CODE ADDRESS : 15 SHAGBARK ROAD 01 CITY : DARIEN STATE/ZIP : CT 06820 MORTGAGE AMOUNT : 980,000.00 OPTION TO CONVERT : UNPAID BALANCE : 980,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 6,936.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 015 LTV : 58.50700 ---------------------------------------------------------------- 0 0031605835 MORTGAGORS: PREJEAN JOSEPH REGION CODE ADDRESS : 3219 LAUREL CANYON BLVD 01 CITY : STUDIO CITY STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,885.39 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,233,250.00 P & I AMT: 15,602.97 UPB AMT: 2,232,987.70 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 28 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031606080 MORTGAGORS: KERZIC R. KERZIC CHERYL REGION CODE ADDRESS : 6350 LISIEUX TERRACE 01 CITY : SAN DIEGO STATE/ZIP : CA 92120 MORTGAGE AMOUNT : 234,400.00 OPTION TO CONVERT : UNPAID BALANCE : 234,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,599.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031606874 MORTGAGORS: WASS DAVID WASS CAROL REGION CODE ADDRESS : 7681 S. GRAPE STREET 01 CITY : LITTLETON STATE/ZIP : CO 80122 MORTGAGE AMOUNT : 339,300.00 OPTION TO CONVERT : UNPAID BALANCE : 339,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,343.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031607278 MORTGAGORS: MC ARDLE SEAN MC ARDLE JUDELLE REGION CODE ADDRESS : 7342 HOOKING ROAD 01 CITY : MC LEAN STATE/ZIP : VA 22101 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,477.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 69.72100 ---------------------------------------------------------------- 0 0031607732 MORTGAGORS: RAJPUT ANWARI RAJPUT MOHD-TALAT REGION CODE ADDRESS : 772 EAST 9TH STREET 01 CITY : BROOKLYN STATE/ZIP : NY 11230 MORTGAGE AMOUNT : 190,750.00 OPTION TO CONVERT : UNPAID BALANCE : 190,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,383.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.90000 ---------------------------------------------------------------- 0 0031608102 MORTGAGORS: BIEGLER STEVEN BIEGLER MARIA REGION CODE ADDRESS : 6556 BLUEBONNET DRIVE 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 362,700.00 OPTION TO CONVERT : UNPAID BALANCE : 361,893.45 ANNUAL RATE ADJUST: MONTHLY P&I : 2,567.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.99800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,477,150.00 P & I AMT: 10,370.01 UPB AMT: 1,476,343.45 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 29 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031608565 MORTGAGORS: WOOD RICHARD STEWART CHRISTINE REGION CODE ADDRESS : 36 LAKE SHORE ROAD 01 CITY : BRIGHTON STATE/ZIP : MA 02135 MORTGAGE AMOUNT : 151,500.00 OPTION TO CONVERT : UNPAID BALANCE : 151,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,085.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 62.60300 ---------------------------------------------------------------- 0 0031609712 MORTGAGORS: THOMAN GEORGE THOMAN BETHANY REGION CODE ADDRESS : 2 CLARK LANE 01 CITY : MARBLEHEAD STATE/ZIP : MA 01945 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,812.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,054.54 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 74.66666 ---------------------------------------------------------------- 0 0031609969 MORTGAGORS: DE LUCA JAMES DE LUCA LISA REGION CODE ADDRESS : 7962 HOLLYWOOD WAY 01 CITY : SUN VALLEY AREA STATE/ZIP : CA 91352 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 249,800.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,684.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.36500 ---------------------------------------------------------------- 0 0031610298 MORTGAGORS: BOSLAND KATHLEEN BOSLAND MICHAEL REGION CODE ADDRESS : 14034 129TH AVENUE NORTHEAST 01 CITY : KIRKLAND STATE/ZIP : WA 98034 MORTGAGE AMOUNT : 252,700.00 OPTION TO CONVERT : UNPAID BALANCE : 252,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,745.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031610454 MORTGAGORS: CIMA ROBERT CIMA AMY REGION CODE ADDRESS : 112 AVON ROAD 01 CITY : HAVERFORD STATE/ZIP : PA 19041 MORTGAGE AMOUNT : 265,750.00 OPTION TO CONVERT : UNPAID BALANCE : 265,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,858.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 51.35200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,199,950.00 P & I AMT: 8,427.71 UPB AMT: 1,199,562.21 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 30 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031610728 MORTGAGORS: EKTERA ALI REGION CODE ADDRESS : 1700 WASHINGTON 01 CITY : WILMETTE STATE/ZIP : IL 60091 MORTGAGE AMOUNT : 252,500.00 OPTION TO CONVERT : UNPAID BALANCE : 252,307.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,743.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 64.74300 ---------------------------------------------------------------- 0 0031610785 MORTGAGORS: BJORN LARS WINEBERG SUSAN REGION CODE ADDRESS : 119 N. THAYER 01 CITY : ANN ARBOR STATE/ZIP : MI 48104 MORTGAGE AMOUNT : 192,000.00 OPTION TO CONVERT : UNPAID BALANCE : 192,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,425.60 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031611510 MORTGAGORS: GARGUILO THOMAS GARGUILO ZOYA REGION CODE ADDRESS : 14 DALE DRIVE 01 CITY : CITY OF SUMMIT STATE/ZIP : NJ 07901 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,517.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031611536 MORTGAGORS: EMERY ALICIA BAUM ERIC REGION CODE ADDRESS : 17 MEADE ROAD 01 CITY : AMBLER STATE/ZIP : PA 19002 MORTGAGE AMOUNT : 199,600.00 OPTION TO CONVERT : UNPAID BALANCE : 199,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,361.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031611841 MORTGAGORS: SAHINES THOMAS SAHINES LAURA REGION CODE ADDRESS : 2023 WELLINGTON DRIVE 01 CITY : MILPITAS STATE/ZIP : CA 95035 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,714.66 ANNUAL RATE ADJUST: MONTHLY P&I : 2,590.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 63.55900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,379,100.00 P & I AMT: 9,638.39 UPB AMT: 1,378,622.53 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 31 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031611981 MORTGAGORS: BARONE LEESA GELDART THERESA REGION CODE ADDRESS : 131 COURT ROAD 01 CITY : WINTHROP STATE/ZIP : MA 02152 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,649.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031612666 MORTGAGORS: BLAS VIVIAN REGION CODE ADDRESS : 2725 HOWARD COURT 01 CITY : BURBANK STATE/ZIP : CA 91504 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,486.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.23000 ---------------------------------------------------------------- 0 0031612930 MORTGAGORS: SCHAAF ERIC SCHAAF ALICE REGION CODE ADDRESS : 155 LANE 150C HAMILTON LAKE 01 CITY : HAMILTON STATE/ZIP : IN 46742 MORTGAGE AMOUNT : 293,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,023.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.10500 ---------------------------------------------------------------- 0 0031613664 MORTGAGORS: BACON MITCHELL BACON AUDREY REGION CODE ADDRESS : 11 HOP HOLLOW 01 CITY : SIMSBURY STATE/ZIP : CT 06070 MORTGAGE AMOUNT : 280,250.00 OPTION TO CONVERT : UNPAID BALANCE : 280,052.20 ANNUAL RATE ADJUST: MONTHLY P&I : 2,007.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031614860 MORTGAGORS: BAUER MARK LEPINE LISA REGION CODE ADDRESS : 2645 BLACK BEAR COURT 01 CITY : LAFAYETTE STATE/ZIP : CO 80026 MORTGAGE AMOUNT : 260,550.00 OPTION TO CONVERT : UNPAID BALANCE : 260,346.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,777.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.99691 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,441,800.00 P & I AMT: 9,945.25 UPB AMT: 1,441,398.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 32 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031615537 MORTGAGORS: MARASCO PATRICK MARASCO CHERYL REGION CODE ADDRESS : 99 BALDPATE ROAD 01 CITY : BOXFORD STATE/ZIP : MA 01921 MORTGAGE AMOUNT : 520,000.00 OPTION TO CONVERT : UNPAID BALANCE : 520,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,459.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031615628 MORTGAGORS: EASTERWOOD GARY EASTERWOOD VIRGINIA REGION CODE ADDRESS : 2513 DU LAC TRACE 01 CITY : SEABROOK STATE/ZIP : TX 77586 MORTGAGE AMOUNT : 231,000.00 OPTION TO CONVERT : UNPAID BALANCE : 230,815.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,556.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.91800 ---------------------------------------------------------------- 0 0031617053 MORTGAGORS: ROSENBERG BARRY REGION CODE ADDRESS : 9201 SPRINKLEWOOD LANE 01 CITY : POTOMAC STATE/ZIP : MD 20854 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,624.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031617152 MORTGAGORS: LOVE RENEE LOVE JOHN REGION CODE ADDRESS : 25 28TH STREET SOUTH 01 CITY : SEA ISLE CITY STATE/ZIP : NJ 08243 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,899.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.71000 ---------------------------------------------------------------- 0 0031617426 MORTGAGORS: BOYER DANIEL REGION CODE ADDRESS : 1927 SHORELINE DRIVE 01 CITY : MISSOURI CITY STATE/ZIP : TX 77459 MORTGAGE AMOUNT : 255,450.00 OPTION TO CONVERT : UNPAID BALANCE : 255,274.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,852.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.98700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,661,450.00 P & I AMT: 11,391.99 UPB AMT: 1,661,089.47 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 33 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031618523 MORTGAGORS: KENNARD HAROLD KENNARD SHARRON REGION CODE ADDRESS : 14 CORBETT COURT 01 CITY : NAPA STATE/ZIP : CA 94558 MORTGAGE AMOUNT : 283,000.00 OPTION TO CONVERT : UNPAID BALANCE : 283,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,930.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.58800 ---------------------------------------------------------------- 0 0031619190 MORTGAGORS: GERNDT JAMES REGION CODE ADDRESS : 3610 SUNSET DRIVE 01 CITY : MADISON STATE/ZIP : WI 53715 MORTGAGE AMOUNT : 377,400.00 OPTION TO CONVERT : UNPAID BALANCE : 377,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,606.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031619281 MORTGAGORS: O'HARA JOHN DESPOTOPULOS HEIDI REGION CODE ADDRESS : 24 RESERVATION ROAD 01 CITY : ANDOVER STATE/ZIP : MA 01810 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,995.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 50.12500 ---------------------------------------------------------------- 0 0031619927 MORTGAGORS: ESTRADA OSCAR ESTRADA CARMEN REGION CODE ADDRESS : 2191 BEACHWOOD COURT 01 CITY : HOLLISTER STATE/ZIP : CA 95023 MORTGAGE AMOUNT : 259,900.00 OPTION TO CONVERT : UNPAID BALANCE : 259,702.23 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.99800 ---------------------------------------------------------------- 0 0031619943 MORTGAGORS: SCOTT TIMOTHY SCOTT LYNN REGION CODE ADDRESS : 13132 CABARET COURT 01 CITY : SANTA ANA AREA STATE/ZIP : CA 92705 MORTGAGE AMOUNT : 291,900.00 OPTION TO CONVERT : UNPAID BALANCE : 291,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,512,200.00 P & I AMT: 10,319.43 UPB AMT: 1,512,002.23 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 34 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031620040 MORTGAGORS: BARTEL MARVIN MAYENZET MARIA REGION CODE ADDRESS : 6 NORTH STONINGTON ROAD 01 CITY : LAGUNA BEACH STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 386,000.00 OPTION TO CONVERT : UNPAID BALANCE : 385,698.88 ANNUAL RATE ADJUST: MONTHLY P&I : 2,633.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 61.76000 ---------------------------------------------------------------- 0 0031620271 MORTGAGORS: DICENSO DAVID REGION CODE ADDRESS : 1405 CARIBOU WAY 01 CITY : ALPHARETTA STATE/ZIP : GA 30005 MORTGAGE AMOUNT : 289,750.00 OPTION TO CONVERT : UNPAID BALANCE : 289,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,071.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/23 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.52300 ---------------------------------------------------------------- 0 0031620974 MORTGAGORS: GARCIA VERNON GARCIA CAROL REGION CODE ADDRESS : 1535 NEWPORT STREET 01 CITY : SAN LUIS OBISPO STATE/ZIP : CA 93405 MORTGAGE AMOUNT : 130,000.00 OPTION TO CONVERT : UNPAID BALANCE : 130,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 976.65 OUTSIDE CONV DATE : LIFETIME RATE : 8.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.25000 PRODUCT CODE : 250 LTV : 69.14800 ---------------------------------------------------------------- 0 0031621204 MORTGAGORS: KATZ MARC DE MATTIA LISA REGION CODE ADDRESS : 10343 CHEVIOT DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 580,000.00 OPTION TO CONVERT : UNPAID BALANCE : 580,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,907.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 77.33300 ---------------------------------------------------------------- 0 0031622210 MORTGAGORS: KANE TIMOTHY KANE DIANE REGION CODE ADDRESS : 18849 STATE STREET 01 CITY : CORONA STATE/ZIP : CA 91719 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,734.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,633,750.00 P & I AMT: 11,322.54 UPB AMT: 1,633,448.88 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 35 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031622400 MORTGAGORS: GEISBUSH HELEN GEISBUSH LAWRENCE REGION CODE ADDRESS : 26779 SE HIGHWAY 224 01 CITY : EAGLE CREEK STATE/ZIP : OR 97022 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031622491 MORTGAGORS: GAMMEL MICHAEL REGION CODE ADDRESS : 29000 VIEW DRIVE 01 CITY : AGOURA HILLS STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 420,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,865.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031622517 MORTGAGORS: MAHONEY KEVIN MAHONEY PAMELA REGION CODE ADDRESS : 1450 LEBOUTILLIER ROAD 01 CITY : MALVERN STATE/ZIP : PA 19355 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 379,680.75 ANNUAL RATE ADJUST: MONTHLY P&I : 2,496.33 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031622632 MORTGAGORS: CURTIS DANIEL CURTIS ANNE REGION CODE ADDRESS : 554 MONTEREY ROAD 01 CITY : PACIFICA STATE/ZIP : CA 94044 MORTGAGE AMOUNT : 331,200.00 OPTION TO CONVERT : UNPAID BALANCE : 331,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,315.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031622913 MORTGAGORS: SHUSTER JOHN SHUSTER TIFFANY REGION CODE ADDRESS : 21379 YORK COURT 01 CITY : KILDEER STATE/ZIP : IL 60047 MORTGAGE AMOUNT : 398,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,715.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.81100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,849,200.00 P & I AMT: 12,602.51 UPB AMT: 1,848,880.75 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 36 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031622970 MORTGAGORS: BRINKMAN DAVID BRINKMAN LESLIE REGION CODE ADDRESS : 41 SUMMIT DRIVE 01 CITY : BERNARDS TWP STATE/ZIP : NJ 07920 MORTGAGE AMOUNT : 480,000.00 OPTION TO CONVERT : UNPAID BALANCE : 480,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,274.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.72700 ---------------------------------------------------------------- 0 0031623119 MORTGAGORS: BALDWIN ELMER BALDWIN LAURA REGION CODE ADDRESS : 19885 COTTAGEWOOD AVENUE 01 CITY : EXCELSIOR STATE/ZIP : MN 55331 MORTGAGE AMOUNT : 556,000.00 OPTION TO CONVERT : UNPAID BALANCE : 556,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,792.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031623226 MORTGAGORS: COUSINS JOHN COUSINS DENISE REGION CODE ADDRESS : 4680 RIVERWOOD DRIVE 01 CITY : PERRY STATE/ZIP : OH 44081 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,818.31 ANNUAL RATE ADJUST: MONTHLY P&I : 1,914.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.96400 ---------------------------------------------------------------- 0 0031623945 MORTGAGORS: STEVENSON MICHAEL STEVENSON JULIANNE REGION CODE ADDRESS : 21 DANE ROAD 01 CITY : LEXINGTON STATE/ZIP : MA 02173 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,899.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 55.00000 ---------------------------------------------------------------- 0 0031623952 MORTGAGORS: NAGLE RICHARD FOWLER-NAGLE SHERRI REGION CODE ADDRESS : 19 ALLEN CIRCLE 01 CITY : BOXFORD STATE/ZIP : MA 01921 MORTGAGE AMOUNT : 358,000.00 OPTION TO CONVERT : UNPAID BALANCE : 358,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,503.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.06100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,933,000.00 P & I AMT: 13,384.09 UPB AMT: 1,932,818.31 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 37 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031624133 MORTGAGORS: MARKHAM FREDERICK MARKHAM LINDA REGION CODE ADDRESS : 43 WOODBRIDGE ROAD 01 CITY : WELLESLEY STATE/ZIP : MA 02181 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 46.35700 ---------------------------------------------------------------- 0 0031624315 MORTGAGORS: WEDGE RICHARD WEDGE SANDRA REGION CODE ADDRESS : 25 MISTY LANE 01 CITY : WESTFORD STATE/ZIP : MA 01886 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 276,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,906.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.40900 ---------------------------------------------------------------- 0 0031625395 MORTGAGORS: TRAN TUAN VU THERESE REGION CODE ADDRESS : 1378 VINCI PARK WAY 01 CITY : SAN JOSE STATE/ZIP : CA 95131 MORTGAGE AMOUNT : 239,960.00 OPTION TO CONVERT : UNPAID BALANCE : 239,960.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,677.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031625627 MORTGAGORS: TIEGER JEFFREY TIEGER JUDITH REGION CODE ADDRESS : 3312 AVENIDA ANACAPA 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 295,200.00 OPTION TO CONVERT : UNPAID BALANCE : 295,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,064.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.72000 ---------------------------------------------------------------- 0 0031625858 MORTGAGORS: ULFERTS MARK ULFERTS KAREN REGION CODE ADDRESS : 10006 SAUSALITO DRIVE 01 CITY : AUSTIN STATE/ZIP : TX 78759 MORTGAGE AMOUNT : 224,000.00 OPTION TO CONVERT : UNPAID BALANCE : 224,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,528.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,385,160.00 P & I AMT: 9,623.53 UPB AMT: 1,385,160.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 38 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031627078 MORTGAGORS: GURSON NURTECKIN GURSON ZUHAL REGION CODE ADDRESS : 2541 BALTIMORE DRIVE 01 CITY : ALAMO STATE/ZIP : CA 94507 MORTGAGE AMOUNT : 575,000.00 OPTION TO CONVERT : UNPAID BALANCE : 575,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,119.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 78.23100 ---------------------------------------------------------------- 0 0031627086 MORTGAGORS: SOUTHERLAND REGINALD SOUTHERLAND RITA REGION CODE ADDRESS : 11857 CAMINITO CORRIENTE 01 CITY : SAN DIEGO STATE/ZIP : CA 92128 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,719.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031627136 MORTGAGORS: BEAN CHRISTOPHER BEAN LESLIE REGION CODE ADDRESS : 34 HEIDI LANE 01 CITY : BOW STATE/ZIP : NH 03304 MORTGAGE AMOUNT : 304,500.00 OPTION TO CONVERT : UNPAID BALANCE : 304,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,025.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 73.72800 ---------------------------------------------------------------- 0 0031627375 MORTGAGORS: CARDILLO PAUL CARDILLO KAREN REGION CODE ADDRESS : 2 SHELTER COVE ROAD 01 CITY : SHERMAN STATE/ZIP : CT 06784 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,387.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 61.40300 ---------------------------------------------------------------- 0 0031627623 MORTGAGORS: ANDERSON JOHN ANDERSON MELANIE REGION CODE ADDRESS : 3716 LAKE TERRACE DRIVE 01 CITY : ELK GROVE STATE/ZIP : CA 95758 MORTGAGE AMOUNT : 235,450.00 OPTION TO CONVERT : UNPAID BALANCE : 235,450.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,666.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.83700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,716,950.00 P & I AMT: 11,918.43 UPB AMT: 1,716,950.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 39 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031628001 MORTGAGORS: PIEDILATO ROBERT REGION CODE ADDRESS : 241 POPE STREET 01 CITY : MANVILLE STATE/ZIP : NJ 08835 MORTGAGE AMOUNT : 116,000.00 OPTION TO CONVERT : UNPAID BALANCE : 115,835.73 ANNUAL RATE ADJUST: MONTHLY P&I : 831.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031628225 MORTGAGORS: KOLL CHERYL ROGERS ROBERT REGION CODE ADDRESS : 10343 TENNESSE AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90064 MORTGAGE AMOUNT : 408,000.00 OPTION TO CONVERT : UNPAID BALANCE : 408,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,783.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031628290 MORTGAGORS: CONTINO MICHAEL CONTINO MARY REGION CODE ADDRESS : 511 HORIZON WAY 01 CITY : NESHANIC STATION STATE/ZIP : NJ 08853 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 311,731.37 ANNUAL RATE ADJUST: MONTHLY P&I : 2,023.63 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031628548 MORTGAGORS: BRADANESE MARC BRADANESE DEBRA REGION CODE ADDRESS : 16 GOVERNOR DOHERTY ROAD 01 CITY : BILLERICA STATE/ZIP : MA 01821 MORTGAGE AMOUNT : 245,800.00 OPTION TO CONVERT : UNPAID BALANCE : 245,626.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,760.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 94.98900 ---------------------------------------------------------------- 0 0031628597 MORTGAGORS: PLATINGA PIERRE PLATINGA JAMIE REGION CODE ADDRESS : 1402 ALPINE AVENUE 01 CITY : SANTA CLARA STATE/ZIP : CA 95051 MORTGAGE AMOUNT : 243,500.00 OPTION TO CONVERT : UNPAID BALANCE : 243,323.76 ANNUAL RATE ADJUST: MONTHLY P&I : 1,723.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.92300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,325,300.00 P & I AMT: 9,122.38 UPB AMT: 1,324,517.37 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 40 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031628613 MORTGAGORS: TRAVIS DAVID TRAVIS MAUREEN REGION CODE ADDRESS : 5 GATEHOUSE LANE 01 CITY : WILMINGTON STATE/ZIP : MA 01887 MORTGAGE AMOUNT : 259,200.00 OPTION TO CONVERT : UNPAID BALANCE : 259,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,768.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031628787 MORTGAGORS: ILLMER RICHARD ILLMER NANCY REGION CODE ADDRESS : 3720 MOCKINGBIRD LANE 01 CITY : HIGHLAND PARK STATE/ZIP : TX 75205 MORTGAGE AMOUNT : 370,700.00 OPTION TO CONVERT : UNPAID BALANCE : 370,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,497.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 77.22900 ---------------------------------------------------------------- 0 0031629249 MORTGAGORS: CLAUSSEN KAREN CLAUSSEN LAUREN REGION CODE ADDRESS : 9740 EAST CHENANGO AVENUE 01 CITY : ENGLEWOOD STATE/ZIP : CO 80111 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,832.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031629280 MORTGAGORS: GONCALVES SARAH REGION CODE ADDRESS : 3474 PASEO ANCHO 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 290,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,052.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.14700 ---------------------------------------------------------------- 0 0031629843 MORTGAGORS: PUGLIESE JOHN REGION CODE ADDRESS : 16982 ESCALON DRIVE 01 CITY : ENCINO STATE/ZIP : CA 91436 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,048.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 69.88500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,495,900.00 P & I AMT: 10,198.90 UPB AMT: 1,495,900.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 41 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031629900 MORTGAGORS: CHOI BOK REGION CODE ADDRESS : 534 E. COMMONWEALTH AVENUE 01 CITY : FULLERTON STATE/ZIP : CA 92832 MORTGAGE AMOUNT : 136,000.00 OPTION TO CONVERT : UNPAID BALANCE : 136,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 962.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031631013 MORTGAGORS: MURRAY ROBERT MURRAY HELEN REGION CODE ADDRESS : 262 JENNIFER DRIVE 01 CITY : CHESTER STATE/ZIP : NH 03036 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,708.02 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 94.89000 ---------------------------------------------------------------- 0 0031632201 MORTGAGORS: SINCLAIR MICHAEL SINCLAIR ERIN REGION CODE ADDRESS : 2490 POPPY DR 01 CITY : BURLINGAME STATE/ZIP : CA 94010 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 450,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,223.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 64.28500 ---------------------------------------------------------------- 0 0031634652 MORTGAGORS: MORIN PETER MORIN SAMANTHA REGION CODE ADDRESS : 949 SANDCASTLE DRIVE 01 CITY : CORONA DEL MAR AREA STATE/ZIP : CA 92625 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 650,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 4,489.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 69.51800 ---------------------------------------------------------------- 0 0031634751 MORTGAGORS: BENDRISS ABDELHAMID BENDRISS BRIGITTE REGION CODE ADDRESS : 54 AVALON ROAD 01 CITY : TRENTON STATE/ZIP : NJ 08638 MORTGAGE AMOUNT : 235,500.00 OPTION TO CONVERT : UNPAID BALANCE : 235,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,626.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99320 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,731,500.00 P & I AMT: 12,010.41 UPB AMT: 1,731,500.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 42 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031635667 MORTGAGORS: KONEVICH JOHN KONEVICH LAURIE REGION CODE ADDRESS : 121 VALENTINE ST 01 CITY : NEWTON STATE/ZIP : MA 02165 MORTGAGE AMOUNT : 535,200.00 OPTION TO CONVERT : UNPAID BALANCE : 535,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,515.89 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99000 ---------------------------------------------------------------- 0 0031636103 MORTGAGORS: MAYERSON DREW MAYERSON NANCY REGION CODE ADDRESS : 1431 WHITEHALL PLACE 01 CITY : THOUSAND OAKS (WESTLAKE V STATE/ZIP : CA 91361 MORTGAGE AMOUNT : 284,800.00 OPTION TO CONVERT : UNPAID BALANCE : 284,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,894.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031636749 MORTGAGORS: HOWARD STEPHEN REGION CODE ADDRESS : 809 AUTUMN RIDGE DRIVE 01 CITY : MCKINNEY STATE/ZIP : TX 75070 MORTGAGE AMOUNT : 127,900.00 OPTION TO CONVERT : UNPAID BALANCE : 127,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 883.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98700 ---------------------------------------------------------------- 0 0031636996 MORTGAGORS: SCHAPER ERIK SCHAPER PAULA REGION CODE ADDRESS : 3338 PRAIRIE COURT 01 CITY : NEWBURY PARK AREA STATE/ZIP : CA 91320 MORTGAGE AMOUNT : 244,800.00 OPTION TO CONVERT : UNPAID BALANCE : 244,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,732.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031637358 MORTGAGORS: MOSKOVITZ HARVEY MOSKOVITZ PAMELA REGION CODE ADDRESS : 12300 ELLIOT LANE 01 CITY : SEBASTOPOL STATE/ZIP : CA 95472 MORTGAGE AMOUNT : 480,000.00 OPTION TO CONVERT : UNPAID BALANCE : 480,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,356.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,672,700.00 P & I AMT: 11,382.96 UPB AMT: 1,672,700.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 43 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031637457 MORTGAGORS: WILCOX ROGER REGION CODE ADDRESS : 3743 EAST LITTLE COTTONWOOD LANE 01 CITY : SANDY STATE/ZIP : UT 84092 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031637663 MORTGAGORS: KRUGER JOHN KRUGER LENORA REGION CODE ADDRESS : 420 WABASH PLACE 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 273,950.00 OPTION TO CONVERT : UNPAID BALANCE : 273,950.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98500 ---------------------------------------------------------------- 0 0031638232 MORTGAGORS: MOORE TIMOTHY MOORE KELLY REGION CODE ADDRESS : 2661 EAST SNOWFIELD STREET 01 CITY : BREA STATE/ZIP : CA 92821 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,793.27 ANNUAL RATE ADJUST: MONTHLY P&I : 1,807.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 88.33300 ---------------------------------------------------------------- 0 0031638752 MORTGAGORS: HOULIHAN WILLIAM HOULIHAN SUSAN REGION CODE ADDRESS : 1847 ALTAMIRA PLACE 01 CITY : SAN DIEGO STATE/ZIP : CA 92103 MORTGAGE AMOUNT : 425,000.00 OPTION TO CONVERT : UNPAID BALANCE : 425,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,081.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 73.27500 ---------------------------------------------------------------- 0 0031639115 MORTGAGORS: ENGEL KIM RAPP MICHAEL REGION CODE ADDRESS : 825 GLENVIEW ROAD 01 CITY : GLENVIEW STATE/ZIP : IL 60025 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 71.11100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,523,950.00 P & I AMT: 10,605.52 UPB AMT: 1,523,743.27 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 44 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031639180 MORTGAGORS: EDMAN DOUGLAS EDMAN JANICE REGION CODE ADDRESS : 2906 WISHBONE WAY 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 650,000.00 OPTION TO CONVERT : UNPAID BALANCE : 649,517.60 ANNUAL RATE ADJUST: MONTHLY P&I : 4,544.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 61.03200 ---------------------------------------------------------------- 0 0031639438 MORTGAGORS: DOTY ROGER DOTY LESLIE REGION CODE ADDRESS : 32 SUSAN DRIVE 01 CITY : CHATHAM STATE/ZIP : NJ 07928 MORTGAGE AMOUNT : 454,750.00 OPTION TO CONVERT : UNPAID BALANCE : 454,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,257.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031639578 MORTGAGORS: FRANCIS ROZARIO CLARENCE EVELYN REGION CODE ADDRESS : 5 HARLOW COURT 01 CITY : ROCKVILLE STATE/ZIP : MD 20850 MORTGAGE AMOUNT : 261,600.00 OPTION TO CONVERT : UNPAID BALANCE : 261,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,784.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031640089 MORTGAGORS: ORLANDO LINDA COLAVITO ANGELA REGION CODE ADDRESS : 472 GROVE AVENUE 01 CITY : EDISON STATE/ZIP : NJ 08820 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,010.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 74.73600 ---------------------------------------------------------------- 0 0031640139 MORTGAGORS: DELISI J DELISI JILL REGION CODE ADDRESS : 1329 PINEHURST AVENUE 01 CITY : ST PAUL STATE/ZIP : MN 55116 MORTGAGE AMOUNT : 244,150.00 OPTION TO CONVERT : UNPAID BALANCE : 244,150.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,665.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,894,500.00 P & I AMT: 13,263.03 UPB AMT: 1,894,017.60 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 45 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031640238 MORTGAGORS: GOERSCH JUERGEN GOERSCH KAREN REGION CODE ADDRESS : FIVE CROSS ROAD 01 CITY : DARIEN STATE/ZIP : CT 06820 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,733.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,417.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 21.53800 ---------------------------------------------------------------- 0 0031640352 MORTGAGORS: SITTON MICHAEL SITTON CYNTHIA REGION CODE ADDRESS : 70 ROCKROSE 01 CITY : ALISO VIEJO AREA STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 265,800.00 OPTION TO CONVERT : UNPAID BALANCE : 265,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,813.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.13100 ---------------------------------------------------------------- 0 0031640402 MORTGAGORS: OSBORNE DALE OSBORNE LESLIE REGION CODE ADDRESS : 29469 NORTH MAMMOTH LANE 01 CITY : CANYON COUNTRY STATE/ZIP : CA 91351 MORTGAGE AMOUNT : 199,650.00 OPTION TO CONVERT : UNPAID BALANCE : 199,650.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,395.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.98300 ---------------------------------------------------------------- 0 0031640576 MORTGAGORS: RUTHERFORD MATTHEW RUTHERFORD MARY REGION CODE ADDRESS : 4506 SHADE ROAD 01 CITY : LA MESA STATE/ZIP : CA 91941 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,755.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031640626 MORTGAGORS: ST BERNARD CARLTON ST BERNARD TERRY REGION CODE ADDRESS : 461 35TH STREET 01 CITY : MANHATTAN BEACH STATE/ZIP : CA 90266 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 428,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,066.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,491,450.00 P & I AMT: 10,448.15 UPB AMT: 1,491,183.68 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 46 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031640931 MORTGAGORS: VARNUM MICHAEL VARNUM CHERI REGION CODE ADDRESS : 28 LOMA LINDA AVENUE 01 CITY : ROSS STATE/ZIP : CA 94957 MORTGAGE AMOUNT : 405,000.00 OPTION TO CONVERT : UNPAID BALANCE : 405,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,797.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 57.44600 ---------------------------------------------------------------- 0 0031640972 MORTGAGORS: HARPER LAURA REGION CODE ADDRESS : 1634 32ND ST NW 01 CITY : WASHINGTON STATE/ZIP : DC 20007 MORTGAGE AMOUNT : 280,400.00 OPTION TO CONVERT : UNPAID BALANCE : 280,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,889.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031641574 MORTGAGORS: BOCK BRIAN BOCK SUZANNE REGION CODE ADDRESS : 6460 DEERBROOK ROAD 01 CITY : OAK PARK STATE/ZIP : CA 91301 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 440,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,114.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031641939 MORTGAGORS: MURPHY JOHN REGION CODE ADDRESS : 4 HUFFMAN ROAD 01 CITY : VALLEY COTTAGE STATE/ZIP : NY 10989 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,125.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031642127 MORTGAGORS: MOYER TED REGION CODE ADDRESS : 2620 HEATHERSTONE DRIVE 01 CITY : SAN RAFAEL STATE/ZIP : CA 94903 MORTGAGE AMOUNT : 287,200.00 OPTION TO CONVERT : UNPAID BALANCE : 287,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,934.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,716,600.00 P & I AMT: 11,861.18 UPB AMT: 1,716,600.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 47 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031642424 MORTGAGORS: SALK JONATHAN SHEPHARD ELIZABETH REGION CODE ADDRESS : 2444 ELLENTOWN ROAD 01 CITY : SAN DIEGO STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 27.08300 ---------------------------------------------------------------- 0 0031642598 MORTGAGORS: PETERSON RONALD PETERSON SUSAN REGION CODE ADDRESS : 27882 CAMPHOR TREE LANE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92691 MORTGAGE AMOUNT : 242,900.00 OPTION TO CONVERT : UNPAID BALANCE : 242,724.19 ANNUAL RATE ADJUST: MONTHLY P&I : 1,719.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.99600 ---------------------------------------------------------------- 0 0031642697 MORTGAGORS: RASHKE DANIEL RASHKE PATRICIA REGION CODE ADDRESS : 23 HAWKFEATHER CT 01 CITY : MADISON STATE/ZIP : WI 53717 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 67.41500 ---------------------------------------------------------------- 0 0031642762 MORTGAGORS: STRANGE JAMES STRANGE MARIANNE REGION CODE ADDRESS : 29 ANDREAS CIRCLE 01 CITY : NOVATO STATE/ZIP : CA 94945 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,102.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031643117 MORTGAGORS: ANDERSON STEVEN ANDERSON DERROLYN REGION CODE ADDRESS : 6266 LOCKWOOD DRIVE 01 CITY : WINDSOR STATE/ZIP : CA 95462 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,734.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,435,900.00 P & I AMT: 9,897.80 UPB AMT: 1,435,724.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 48 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031643166 MORTGAGORS: CALDARA STEPHEN CALDARA KATHLEEN REGION CODE ADDRESS : 75 BIGELOW STREET 01 CITY : SUDBURY STATE/ZIP : MA 01776 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,594.40 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 62.79400 ---------------------------------------------------------------- 0 0031643703 MORTGAGORS: WELSH LESLIE REGION CODE ADDRESS : 5050 ANGELES CREST HIGHWAY 01 CITY : LA CANADA-FLINTRIDGE STATE/ZIP : CA 91011 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,417.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 67.96100 ---------------------------------------------------------------- 0 0031643992 MORTGAGORS: GUYETTE DAVID GUYETTE FRANCES REGION CODE ADDRESS : 19 SQUIRE ROAD 01 CITY : WINCHESTER STATE/ZIP : MA 01890 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031644305 MORTGAGORS: DAVIS EUGENE DAVIS DELORES REGION CODE ADDRESS : 3610 OAKLAND DRIVE 01 CITY : ALEXANDRIA STATE/ZIP : VA 22310 MORTGAGE AMOUNT : 251,750.00 OPTION TO CONVERT : UNPAID BALANCE : 251,346.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,696.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031644651 MORTGAGORS: GRIGGS MELISSA GRIGGS AMANDA REGION CODE ADDRESS : 970 HOLLY ROAD 01 CITY : TAHOE CITY STATE/ZIP : CA 96145 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,069.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,577,750.00 P & I AMT: 10,711.42 UPB AMT: 1,577,346.16 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 49 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031644743 MORTGAGORS: BERTA DAVID BERTA ERIN REGION CODE ADDRESS : 6 ISABELLA COURT 01 CITY : NOVATO STATE/ZIP : CA 94947 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,734.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.37900 ---------------------------------------------------------------- 0 0031645393 MORTGAGORS: MARRAMA MARK MARRAMA KIMBERLY REGION CODE ADDRESS : 17 EDGEMERE ROAD 01 CITY : LYNNFIELD STATE/ZIP : MA 01940 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 73.17000 ---------------------------------------------------------------- 0 0031646078 MORTGAGORS: CHOW CHEE CHOW JOAN REGION CODE ADDRESS : 14 EL PATIO 01 CITY : ORINDA STATE/ZIP : CA 94563 MORTGAGE AMOUNT : 520,000.00 OPTION TO CONVERT : UNPAID BALANCE : 520,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,635.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031646250 MORTGAGORS: MCLAUGHLIN DOUGLAS MCLAUGHLIN SUSAN REGION CODE ADDRESS : 11 STANLEY ROAD 01 CITY : BELMONT STATE/ZIP : MA 02178 MORTGAGE AMOUNT : 253,200.00 OPTION TO CONVERT : UNPAID BALANCE : 253,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,748.79 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031646441 MORTGAGORS: DISEATI BLAIR DISEATI LINDA REGION CODE ADDRESS : 7590 MAPLE BRANCH ROAD 01 CITY : CLIFTON STATE/ZIP : VA 20124 MORTGAGE AMOUNT : 257,400.00 OPTION TO CONVERT : UNPAID BALANCE : 257,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,844.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 45.71900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,578,600.00 P & I AMT: 11,034.84 UPB AMT: 1,578,600.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 50 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031646508 MORTGAGORS: CAYTON REVELS CAYTON MIYE REGION CODE ADDRESS : 50 SIERRA AVE 01 CITY : PIEDMONT STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 1,260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 1,260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 8,810.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 015 LTV : 70.00000 ---------------------------------------------------------------- 0 0031646920 MORTGAGORS: KING MICHAEL KING KIMBERLY REGION CODE ADDRESS : 39 CORONA AVENUE 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,886.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031647258 MORTGAGORS: STANTON SUSAN REGION CODE ADDRESS : 1101 NIMITZ LANE 01 CITY : FOSTER CITY STATE/ZIP : CA 94404 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,989.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648116 MORTGAGORS: BUTLER DAVID BUTLER KATHRYN REGION CODE ADDRESS : 24201 CARIS STREET 01 CITY : WOODLAND HILLS AREA STATE/ZIP : CA 91367 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 292,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,991.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648272 MORTGAGORS: SICILIANO JOHN REGION CODE ADDRESS : 24 HARVEST WALK 01 CITY : PENFIELD STATE/ZIP : NY 14580 MORTGAGE AMOUNT : 372,000.00 OPTION TO CONVERT : UNPAID BALANCE : 372,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,729.61 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,492,000.00 P & I AMT: 17,407.22 UPB AMT: 2,492,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 51 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031648314 MORTGAGORS: KNUDSON-FITZPATRICK ANNE FITZPATRICK BRIAN REGION CODE ADDRESS : 13175 SKIVIEW LOOP 01 CITY : TRUCKEE STATE/ZIP : CA 96161 MORTGAGE AMOUNT : 356,800.00 OPTION TO CONVERT : UNPAID BALANCE : 356,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,494.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648769 MORTGAGORS: THORNER NANCY REGION CODE ADDRESS : 1725 CHERYL WAY 01 CITY : APTOS STATE/ZIP : CA 95003 MORTGAGE AMOUNT : 332,000.00 OPTION TO CONVERT : UNPAID BALANCE : 332,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,264.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031648967 MORTGAGORS: RICCOMINI FRANK RICCOMINI CHARLOTTE REGION CODE ADDRESS : 16127 HARVEST AVE 01 CITY : BAKERSFIELD STATE/ZIP : CA 93312 MORTGAGE AMOUNT : 275,800.00 OPTION TO CONVERT : UNPAID BALANCE : 275,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,788.83 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 82.32835 ---------------------------------------------------------------- 0 0031649445 MORTGAGORS: CONROY MICHAEL CONROY MARISA REGION CODE ADDRESS : 11787 PINE BROOK COURT 01 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 588,000.00 OPTION TO CONVERT : UNPAID BALANCE : 586,649.47 ANNUAL RATE ADJUST: MONTHLY P&I : 4,061.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031650336 MORTGAGORS: SU JOSEPH LIANG MEISHAN REGION CODE ADDRESS : 8867 S NIGHTINGALE WAY 01 CITY : LITTLETON STATE/ZIP : CO 80126 MORTGAGE AMOUNT : 253,700.00 OPTION TO CONVERT : UNPAID BALANCE : 253,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,666.63 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.98800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,806,300.00 P & I AMT: 12,276.26 UPB AMT: 1,804,949.47 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 52 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031650724 MORTGAGORS: WILSON SHAUN WILSON JENNIFER REGION CODE ADDRESS : 50 DEERTREES LANE 01 CITY : NEWFIELDS STATE/ZIP : NH 03856 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 272,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,972.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.53200 ---------------------------------------------------------------- 0 0031650732 MORTGAGORS: BEYER SCOTT BEYER MARY REGION CODE ADDRESS : 2885 TODD STREET 01 CITY : OCEANSIDE STATE/ZIP : CA 92054 MORTGAGE AMOUNT : 135,900.00 OPTION TO CONVERT : UNPAID BALANCE : 135,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,032.94 OUTSIDE CONV DATE : LIFETIME RATE : 8.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.37500 PRODUCT CODE : 250 LTV : 90.00000 ---------------------------------------------------------------- 0 0031650815 MORTGAGORS: KOPEL ROBERT KOPEL ANN REGION CODE ADDRESS : 19 MONTEREY PINE DRIVE 01 CITY : NEWPORT COAST STATE/ZIP : CA 92657 MORTGAGE AMOUNT : 512,000.00 OPTION TO CONVERT : UNPAID BALANCE : 512,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,363.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 51.20000 ---------------------------------------------------------------- 0 0031650989 MORTGAGORS: JACKSON PAUL JACKSON JENNIFER REGION CODE ADDRESS : 16 MEADOWGRASS 01 CITY : IRVINE STATE/ZIP : CA 92604 MORTGAGE AMOUNT : 316,350.00 OPTION TO CONVERT : UNPAID BALANCE : 316,350.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,239.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031651110 MORTGAGORS: PHILLIPS RICHARD PHILLIPS JACQUELYN REGION CODE ADDRESS : 2222 NORTH VAL VISTA DRIVE #13 01 CITY : MESA STATE/ZIP : AZ 85213 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,097.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 63.15789 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,536,250.00 P & I AMT: 10,705.36 UPB AMT: 1,536,250.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 53 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031651318 MORTGAGORS: ARDANTZ MICHAEL ARDANTZ RITA REGION CODE ADDRESS : 173 SARATOGA AVENUE 01 CITY : SANTA CLARA STATE/ZIP : CA 95050 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,989.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031651946 MORTGAGORS: AMES STACI REGION CODE ADDRESS : 3125 GOODWIN DRIVE 01 CITY : NASHVILLE STATE/ZIP : TN 37217 MORTGAGE AMOUNT : 67,425.00 OPTION TO CONVERT : UNPAID BALANCE : 67,425.00 ANNUAL RATE ADJUST: MONTHLY P&I : 518.44 OUTSIDE CONV DATE : LIFETIME RATE : 8.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.50000 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- 0 0031652498 MORTGAGORS: EDGAR LISA REGION CODE ADDRESS : 2410 OVERLOOK DRIVE 01 CITY : WALNUT CREEK STATE/ZIP : CA 94596 MORTGAGE AMOUNT : 287,200.00 OPTION TO CONVERT : UNPAID BALANCE : 287,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,934.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031652563 MORTGAGORS: BUONICONTI ROBERT BUONICONTI CANDIS REGION CODE ADDRESS : 6150 NW 122ND TERRACE 01 CITY : CORAL SPRINGS STATE/ZIP : FL 33076 MORTGAGE AMOUNT : 385,000.00 OPTION TO CONVERT : UNPAID BALANCE : 385,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,691.98 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 77.46400 ---------------------------------------------------------------- 0 0031652720 MORTGAGORS: WEINBERGER MARC PATTERSON THOMAS REGION CODE ADDRESS : 1962 11TH AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94116 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 292,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,041.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,319,625.00 P & I AMT: 9,176.20 UPB AMT: 1,319,625.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 54 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031653728 MORTGAGORS: GHIBU ALEXANDER GHIBU RUXANDA REGION CODE ADDRESS : 2956 SPARROW DRIVE 01 CITY : FULLERTON STATE/ZIP : CA 92835 MORTGAGE AMOUNT : 253,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,522.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,725.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.28500 ---------------------------------------------------------------- 0 0031654023 MORTGAGORS: STEUBING KURT STEUBING ELIZABETH REGION CODE ADDRESS : 9 GENEVA DRIVE 01 CITY : EAST FISHKILL STATE/ZIP : NY 12533 MORTGAGE AMOUNT : 254,600.00 OPTION TO CONVERT : UNPAID BALANCE : 254,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,758.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031654338 MORTGAGORS: BAKER JAMES BAKER NANCY REGION CODE ADDRESS : 885 SUNNYSIDE AVENUE 01 CITY : REDLANDS STATE/ZIP : CA 92373 MORTGAGE AMOUNT : 380,000.00 OPTION TO CONVERT : UNPAID BALANCE : 380,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,722.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031654528 MORTGAGORS: ROACH KEVIN ROACH GAIL REGION CODE ADDRESS : 22 WATERBURY AVENUE 01 CITY : MADISON STATE/ZIP : CT 06443 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 292,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,016.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031655418 MORTGAGORS: HYMAN MICHAEL REGION CODE ADDRESS : 3700 DARTMOUTH WAY 01 CITY : MARIETTA STATE/ZIP : GA 30062 MORTGAGE AMOUNT : 139,875.00 OPTION TO CONVERT : UNPAID BALANCE : 139,875.00 ANNUAL RATE ADJUST: MONTHLY P&I : 954.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,319,475.00 P & I AMT: 9,177.72 UPB AMT: 1,316,997.05 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 55 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031655715 MORTGAGORS: THOMPSON LARRY REGION CODE ADDRESS : 16906 OAK HILL ROAD 01 CITY : SILVER SPRING STATE/ZIP : MD 20905 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,834.42 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 79.36500 ---------------------------------------------------------------- 0 0031655939 MORTGAGORS: STILLEY RANDALL STILLEY SANDRA REGION CODE ADDRESS : 11711 COUNTRY WAY DRIVE 01 CITY : HOUSTON STATE/ZIP : TX 77024 MORTGAGE AMOUNT : 575,000.00 OPTION TO CONVERT : UNPAID BALANCE : 575,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,922.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 58.97400 ---------------------------------------------------------------- 0 0031655988 MORTGAGORS: SCHOENFELDT JAMES SCHOENFELDT ANGELA REGION CODE ADDRESS : 1205 BARCLAY CIRCLE 01 CITY : INVERNESS STATE/ZIP : IL 60010 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 62.32000 ---------------------------------------------------------------- 0 0031656937 MORTGAGORS: NUNNALLY CHARLES NUNNALLY JILL REGION CODE ADDRESS : 2837 RAMSGATE 01 CITY : ATLANTA STATE/ZIP : GA 30305 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,358.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 38.04300 ---------------------------------------------------------------- 0 0031657125 MORTGAGORS: KIM JIN KIM CHRISTIN REGION CODE ADDRESS : 21551 VIA DEL ANGEL 01 CITY : LAKE FOREST STATE/ZIP : CA 92630 MORTGAGE AMOUNT : 235,600.00 OPTION TO CONVERT : UNPAID BALANCE : 235,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,647.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,735,600.00 P & I AMT: 12,007.01 UPB AMT: 1,735,600.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 56 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031657497 MORTGAGORS: KABACHUS STEVEN KABACHUS JENNIFER REGION CODE ADDRESS : 226 GARDINER ROAD 01 CITY : QUINCY STATE/ZIP : MA 02169 MORTGAGE AMOUNT : 287,100.00 OPTION TO CONVERT : UNPAID BALANCE : 287,100.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,982.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031658222 MORTGAGORS: BATES CHRISTOPHER BATES SARAH REGION CODE ADDRESS : 4945 CHINA GARDEN DRIVE 01 CITY : AUSTIN STATE/ZIP : TX 78730 MORTGAGE AMOUNT : 184,900.00 OPTION TO CONVERT : UNPAID BALANCE : 184,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,277.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99100 ---------------------------------------------------------------- 0 0031658453 MORTGAGORS: BAUMAN RICHARD REGION CODE ADDRESS : 201 CERRITO CIELO 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,542.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,072.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.82036 ---------------------------------------------------------------- 0 0031658735 MORTGAGORS: MORGAN GENE MORGAN PAULA REGION CODE ADDRESS : 3768 FROST LANE 01 CITY : LOOMIS STATE/ZIP : CA 95650 MORTGAGE AMOUNT : 129,500.00 OPTION TO CONVERT : UNPAID BALANCE : 129,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 916.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031659022 MORTGAGORS: DELLUMS RONALD REGION CODE ADDRESS : 4525 FOXHALL CRESCENT NW 01 CITY : WASHINGTON STATE/ZIP : DC 20007 MORTGAGE AMOUNT : 560,000.00 OPTION TO CONVERT : UNPAID BALANCE : 560,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,915.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,461,500.00 P & I AMT: 10,164.22 UPB AMT: 1,461,042.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 57 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031659477 MORTGAGORS: RUSKEY JOHN RUSKEY ELIZABETH REGION CODE ADDRESS : 124 111TH STREET 01 CITY : STONE HARBOR STATE/ZIP : NJ 08247 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 400,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,594.39 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 68.37600 ---------------------------------------------------------------- 0 0031660707 MORTGAGORS: PATACCA MICHAEL REGION CODE ADDRESS : 600 WOOD BRANCH TRAIL 01 CITY : SUWANEE STATE/ZIP : GA 30024 MORTGAGE AMOUNT : 290,000.00 OPTION TO CONVERT : UNPAID BALANCE : 289,557.31 ANNUAL RATE ADJUST: MONTHLY P&I : 2,002.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031660715 MORTGAGORS: KALSTAD SAMUEL KALSTAD LARK REGION CODE ADDRESS : 6 DOW COURT 01 CITY : ALAMEDA STATE/ZIP : CA 94501 MORTGAGE AMOUNT : 267,250.00 OPTION TO CONVERT : UNPAID BALANCE : 267,041.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,823.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.97761 ---------------------------------------------------------------- 0 0031660749 MORTGAGORS: GRIM CHARLES GRIM PATRICIA REGION CODE ADDRESS : 16245 SOUTH 1ST STREET 01 CITY : PHOENIX STATE/ZIP : AZ 85048 MORTGAGE AMOUNT : 233,650.00 OPTION TO CONVERT : UNPAID BALANCE : 233,463.15 ANNUAL RATE ADJUST: MONTHLY P&I : 1,574.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 84.96363 ---------------------------------------------------------------- 0 0031660806 MORTGAGORS: GUILLET MARC GUILLET DANA REGION CODE ADDRESS : 3058 WHISPERWAVE CIRCLE 01 CITY : REDWOOD CITY STATE/ZIP : CA 94065 MORTGAGE AMOUNT : 386,400.00 OPTION TO CONVERT : UNPAID BALANCE : 386,105.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,668.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.99500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,577,300.00 P & I AMT: 10,663.39 UPB AMT: 1,576,167.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 58 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031660947 MORTGAGORS: ROSE HENRY ROSE KIMBERLEY REGION CODE ADDRESS : 20607 QUARTERPATH TRACE CL 01 CITY : STERLING STATE/ZIP : VA 20165 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,642.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,678.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031660962 MORTGAGORS: HUGHES LAURANCE ISABEL PAMELA REGION CODE ADDRESS : 10525 CHESTER WAY 01 CITY : WOODSTOCK STATE/ZIP : MD 21163 MORTGAGE AMOUNT : 254,600.00 OPTION TO CONVERT : UNPAID BALANCE : 254,396.40 ANNUAL RATE ADJUST: MONTHLY P&I : 1,715.29 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.98215 ---------------------------------------------------------------- 0 0031660988 MORTGAGORS: ZAIDI SYED ZAIDI ISMAT REGION CODE ADDRESS : 22332 CANTERFIELD WAY 01 CITY : GERMANTOWN STATE/ZIP : MD 20876 MORTGAGE AMOUNT : 251,150.00 OPTION TO CONVERT : UNPAID BALANCE : 250,543.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,692.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.99200 ---------------------------------------------------------------- 0 0031661069 MORTGAGORS: GLOVER DAVID REGION CODE ADDRESS : 106 CHINABERRY LANE 01 CITY : COLLEGEVILLE STATE/ZIP : PA 19426 MORTGAGE AMOUNT : 259,450.00 OPTION TO CONVERT : UNPAID BALANCE : 258,883.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,836.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.98700 ---------------------------------------------------------------- 0 0031661135 MORTGAGORS: MOORE CHARLES MOORE CATHY REGION CODE ADDRESS : 311 MORGAN HILL STREET 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 291,100.00 OPTION TO CONVERT : UNPAID BALANCE : 290,883.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,035.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,296,300.00 P & I AMT: 8,957.25 UPB AMT: 1,294,349.96 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 59 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031661150 MORTGAGORS: WARD WILLIAM WARD DEBORAH REGION CODE ADDRESS : 1154 OAK CREEK COURT 01 CITY : WINTER SPRINGS STATE/ZIP : FL 32708 MORTGAGE AMOUNT : 266,200.00 OPTION TO CONVERT : UNPAID BALANCE : 265,803.65 ANNUAL RATE ADJUST: MONTHLY P&I : 1,861.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.90500 ---------------------------------------------------------------- 0 0031661184 MORTGAGORS: PETERSON JAY PETERSON LAURA REGION CODE ADDRESS : 10129 PLANTERS WOODS DRIVE 01 CITY : AUSTIN STATE/ZIP : TX 78730 MORTGAGE AMOUNT : 264,250.00 OPTION TO CONVERT : UNPAID BALANCE : 264,038.68 ANNUAL RATE ADJUST: MONTHLY P&I : 1,780.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.98704 ---------------------------------------------------------------- 0 0031661333 MORTGAGORS: HOBBY ROGER HOBBY KRISTEN REGION CODE ADDRESS : 1 CHESTNUT LANE 01 CITY : MEDFIELD STATE/ZIP : MA 02052 MORTGAGE AMOUNT : 410,000.00 OPTION TO CONVERT : UNPAID BALANCE : 410,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,796.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.23500 ---------------------------------------------------------------- 0 0031663610 MORTGAGORS: BACH BRIAN BACH MARY LOU REGION CODE ADDRESS : 1 PERDER LANE 01 CITY : EDGEWATER STATE/ZIP : MD 21037 MORTGAGE AMOUNT : 429,000.00 OPTION TO CONVERT : UNPAID BALANCE : 429,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,926.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99200 ---------------------------------------------------------------- 0 0031664816 MORTGAGORS: CAMAMO KATHY CAMAMO ANTHONY REGION CODE ADDRESS : 1957 EAST CLUBHOUSE DRIVE 01 CITY : PHOENIX STATE/ZIP : AZ 85048 MORTGAGE AMOUNT : 395,000.00 OPTION TO CONVERT : UNPAID BALANCE : 394,706.85 ANNUAL RATE ADJUST: MONTHLY P&I : 2,761.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 65.83300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,764,450.00 P & I AMT: 12,126.98 UPB AMT: 1,763,549.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 60 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031666076 MORTGAGORS: URQUHART GRACE URQUHART ROBERT REGION CODE ADDRESS : 55 COVERED BRIDGE ROAD 01 CITY : BARRINGTON STATE/ZIP : IL 60010 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 274,774.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,829.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 66.26500 ---------------------------------------------------------------- 0 0031666126 MORTGAGORS: WONG MAN HUANG PEGGY REGION CODE ADDRESS : 12560 WEST MEADOW CIRCLE 01 CITY : LAKE BLUFF STATE/ZIP : IL 60044 MORTGAGE AMOUNT : 249,100.00 OPTION TO CONVERT : UNPAID BALANCE : 248,915.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,741.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.98200 ---------------------------------------------------------------- 0 0031666464 MORTGAGORS: HUGHES CLIFFORD HUGHES KATHLEEN REGION CODE ADDRESS : 10548 CHESTER WAY 01 CITY : WOODSTOCK STATE/ZIP : MD 21163 MORTGAGE AMOUNT : 253,150.00 OPTION TO CONVERT : UNPAID BALANCE : 252,773.06 ANNUAL RATE ADJUST: MONTHLY P&I : 1,770.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.99500 ---------------------------------------------------------------- 0 0031666530 MORTGAGORS: HAVEMANN TODD HAVEMANN JILL REGION CODE ADDRESS : 1157 FOX PATH 01 CITY : WEST DUNDEE STATE/ZIP : IL 60118 MORTGAGE AMOUNT : 266,000.00 OPTION TO CONVERT : UNPAID BALANCE : 266,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,837.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 94.97600 ---------------------------------------------------------------- 0 0031666589 MORTGAGORS: HARVEY BRUCE REGION CODE ADDRESS : 10387 WETHERBURN ROAD 01 CITY : WOODSTOCK STATE/ZIP : MD 21163 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,568.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,882.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,319,250.00 P & I AMT: 9,061.42 UPB AMT: 1,318,030.85 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 61 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031666621 MORTGAGORS: LAZORCHAK KENNETH LAZORCHAK CARRIE REGION CODE ADDRESS : 2999 TURTLE CREEK 01 CITY : LAUREL STATE/ZIP : MD 20724 MORTGAGE AMOUNT : 243,250.00 OPTION TO CONVERT : UNPAID BALANCE : 243,069.47 ANNUAL RATE ADJUST: MONTHLY P&I : 1,700.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 94.98700 ---------------------------------------------------------------- 0 0031667553 MORTGAGORS: ROSENBAUM WILLIAM ROSENBAUM GINGER REGION CODE ADDRESS : 5757 PLUMCREST DRIVE 01 CITY : WEST BLOOMFIELD STATE/ZIP : MI 48322 MORTGAGE AMOUNT : 243,200.00 OPTION TO CONVERT : UNPAID BALANCE : 242,655.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,700.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031667587 MORTGAGORS: MISHLER DANIEL MISHLER MARTHA REGION CODE ADDRESS : 6369 FERRY RD 01 CITY : EAST JORDAN STATE/ZIP : MI 49727 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,769.48 ANNUAL RATE ADJUST: MONTHLY P&I : 1,611.77 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 52.30700 ---------------------------------------------------------------- 0 0031667595 MORTGAGORS: MOORMAN HERSCHEL REGION CODE ADDRESS : 9000 NESBIT LAKES DRIVE 01 CITY : ALPHARETTA STATE/ZIP : GA 30022 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,101.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031667611 MORTGAGORS: GABEL CHRISTIAN GABEL DIANE REGION CODE ADDRESS : 34 KNAPP RD. 01 CITY : POUND RIDGE STATE/ZIP : NY 10576 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,342.33 ANNUAL RATE ADJUST: MONTHLY P&I : 2,661.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 72.28000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,449,450.00 P & I AMT: 9,775.42 UPB AMT: 1,447,836.42 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 62 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031667645 MORTGAGORS: GAGE ALEXANDER REGION CODE ADDRESS : 487 KERCHEVAL AVENUE 01 CITY : GROSSE POINTE FARMS STATE/ZIP : MI 48236 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,549.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,037.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.63100 ---------------------------------------------------------------- 0 0031667652 MORTGAGORS: CARINO VINCENTE CARINO TEODORA REGION CODE ADDRESS : 6520 STONEBROOK 01 CITY : FLUSHING STATE/ZIP : MI 48433 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 241,630.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,671.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.46100 ---------------------------------------------------------------- 0 0031667702 MORTGAGORS: RYAN DAVID RYAN CHERIE REGION CODE ADDRESS : 3725 WOODSTONE DRIVE 01 CITY : LEWIS CENTER STATE/ZIP : OH 43035 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,402.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 51.48500 ---------------------------------------------------------------- 0 0031667736 MORTGAGORS: LAUREY GEORGE LAUREY ROSEMARY REGION CODE ADDRESS : 861 SOUTH FIFTH STREET 01 CITY : COLUMBUS STATE/ZIP : OH 43206 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,416.08 ANNUAL RATE ADJUST: MONTHLY P&I : 1,691.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031667785 MORTGAGORS: KENNEDY RICHARD KENNEDY DEBRA REGION CODE ADDRESS : 9950 FELLOWS HILL COURT 01 CITY : PLYMOUTH STATE/ZIP : MI 48170 MORTGAGE AMOUNT : 314,000.00 OPTION TO CONVERT : UNPAID BALANCE : 313,520.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,168.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.93400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,359,000.00 P & I AMT: 9,365.20 UPB AMT: 1,356,519.60 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 63 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031667850 MORTGAGORS: FARMER KENNETH REGION CODE ADDRESS : 3414 LEXINGTON 01 CITY : WATERFORD STATE/ZIP : MI 48328 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,149.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,841.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.97200 ---------------------------------------------------------------- 0 0031667975 MORTGAGORS: BUTLER JOHN BUTLER HELEN REGION CODE ADDRESS : 7575 OLD MILL ROAD 01 CITY : GATES MILLS STATE/ZIP : OH 44040 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,577.47 ANNUAL RATE ADJUST: MONTHLY P&I : 1,841.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 54.00000 ---------------------------------------------------------------- 0 0031668197 MORTGAGORS: PATTON DAVID PATTON JOYCE REGION CODE ADDRESS : 7126 LONGVIEW DRIVE 01 CITY : SOLON STATE/ZIP : OH 44139 MORTGAGE AMOUNT : 275,550.00 OPTION TO CONVERT : UNPAID BALANCE : 275,118.78 ANNUAL RATE ADJUST: MONTHLY P&I : 1,879.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 94.98800 ---------------------------------------------------------------- 0 0031668205 MORTGAGORS: TYRPAK TIMOTHY TYRPAK MICHELE REGION CODE ADDRESS : 4644 NEWTON ROAD 01 CITY : RICHFIELD STATE/ZIP : OH 44286 MORTGAGE AMOUNT : 277,500.00 OPTION TO CONVERT : UNPAID BALANCE : 277,065.74 ANNUAL RATE ADJUST: MONTHLY P&I : 1,893.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 64.83600 ---------------------------------------------------------------- 0 0031668239 MORTGAGORS: PIJANOWSKI JOHN PIJANOWSKI KATHERINE REGION CODE ADDRESS : 5336 MILKWEED DRIVE 01 CITY : NAPERVILLE STATE/ZIP : IL 60564 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,603.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 87.40600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,353,050.00 P & I AMT: 9,252.30 UPB AMT: 1,350,514.91 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 64 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031668254 MORTGAGORS: RENK THOMAS RENK KAREN REGION CODE ADDRESS : 1011 PEMBRIDGE PLACE 01 CITY : SUGAR GROVE STATE/ZIP : IL 60554 MORTGAGE AMOUNT : 281,500.00 OPTION TO CONVERT : UNPAID BALANCE : 281,280.40 ANNUAL RATE ADJUST: MONTHLY P&I : 1,920.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 88.52200 ---------------------------------------------------------------- 0 0031668270 MORTGAGORS: FABIAN RICHARD FABIAN SUZETTE REGION CODE ADDRESS : 7786 ELLINGTON PLACE 01 CITY : MENTOR STATE/ZIP : OH 44060 MORTGAGE AMOUNT : 268,380.00 OPTION TO CONVERT : UNPAID BALANCE : 267,949.48 ANNUAL RATE ADJUST: MONTHLY P&I : 1,808.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 92.54400 ---------------------------------------------------------------- 0 0031668312 MORTGAGORS: KASAVICH JOSEPH KASAVICH MARY REGION CODE ADDRESS : 8209 TIMBER TRAIL 01 CITY : BAINBRIDGE STATE/ZIP : OH 44023 MORTGAGE AMOUNT : 229,000.00 OPTION TO CONVERT : UNPAID BALANCE : 228,604.57 ANNUAL RATE ADJUST: MONTHLY P&I : 1,485.29 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 60.26300 ---------------------------------------------------------------- 0 0031668338 MORTGAGORS: MARTELLA TONY MARTELLA CHERYL REGION CODE ADDRESS : 5558 WOODMILL CIRCLE 01 CITY : BRECKSVILLE STATE/ZIP : OH 44141 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,222.85 ANNUAL RATE ADJUST: MONTHLY P&I : 1,801.40 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 39.31000 ---------------------------------------------------------------- 0 0031668346 MORTGAGORS: ESBER DENNIS ESBER KIM REGION CODE ADDRESS : 3298 PERSIMMON LANE 01 CITY : AVON STATE/ZIP : OH 44011 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,564.89 ANNUAL RATE ADJUST: MONTHLY P&I : 1,516.97 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,303,880.00 P & I AMT: 8,532.12 UPB AMT: 1,301,622.19 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 65 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031668445 MORTGAGORS: DENEEN DANIEL REGION CODE ADDRESS : 2580 SUTTON LANE 01 CITY : AURORA STATE/ZIP : IL 60504 MORTGAGE AMOUNT : 228,700.00 OPTION TO CONVERT : UNPAID BALANCE : 228,521.59 ANNUAL RATE ADJUST: MONTHLY P&I : 1,560.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 74.98300 ---------------------------------------------------------------- 0 0031668486 MORTGAGORS: HUFFMAN BRADLEY HUFFMAN NANCY REGION CODE ADDRESS : 604 ARLINGTON AVENUE 01 CITY : NAPERVILLE STATE/ZIP : IL 60565 MORTGAGE AMOUNT : 252,500.00 OPTION TO CONVERT : UNPAID BALANCE : 252,307.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,743.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.69200 ---------------------------------------------------------------- 0 0031668510 MORTGAGORS: SCHMIDT JOSEPH SCHMIDT TYRRELL REGION CODE ADDRESS : 0N701 MARION AVENUE 01 CITY : WHEATON STATE/ZIP : IL 60187 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,726.96 ANNUAL RATE ADJUST: MONTHLY P&I : 2,387.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.54500 ---------------------------------------------------------------- 0 0031668577 MORTGAGORS: FAWELL BRUCE FAWELL TERRY REGION CODE ADDRESS : 102 PALAMINO PLACE 01 CITY : WHEATON STATE/ZIP : IL 60187 MORTGAGE AMOUNT : 261,400.00 OPTION TO CONVERT : UNPAID BALANCE : 261,201.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,805.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 60.79000 ---------------------------------------------------------------- 0 0031668585 MORTGAGORS: KNIGHT HENRY KNIGHT JILL REGION CODE ADDRESS : 1019 TREESIDE COURT 01 CITY : CENTERVILLE STATE/ZIP : OH 45458 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,615.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,616.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.53400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,332,600.00 P & I AMT: 9,114.08 UPB AMT: 1,331,372.50 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 66 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031668601 MORTGAGORS: NELSON GORDON NELSON CATHERINE REGION CODE ADDRESS : 7226 GREEN ASH COURT 01 CITY : CENTERVILLE STATE/ZIP : OH 45459 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,549.30 ANNUAL RATE ADJUST: MONTHLY P&I : 1,964.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031668627 MORTGAGORS: PRICE ALAN REGION CODE ADDRESS : 1314 TALON RIDGE COURT 01 CITY : BELLBROOK STATE/ZIP : OH 45305 MORTGAGE AMOUNT : 338,200.00 OPTION TO CONVERT : UNPAID BALANCE : 336,897.35 ANNUAL RATE ADJUST: MONTHLY P&I : 2,335.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031668643 MORTGAGORS: VOLPE THOMAS VOLPE LINDA REGION CODE ADDRESS : 8056 PARKEAST COURT 01 CITY : CENTERVILLE STATE/ZIP : OH 45458 MORTGAGE AMOUNT : 288,050.00 OPTION TO CONVERT : UNPAID BALANCE : 286,984.93 ANNUAL RATE ADJUST: MONTHLY P&I : 2,014.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.20300 ---------------------------------------------------------------- 0 0031668650 MORTGAGORS: HYLAND TIMOTHY HYLAND KATHLEEN REGION CODE ADDRESS : 10878 PENINSULA DRIVE 01 CITY : TRAVERSE CITY STATE/ZIP : MI 49686 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 364,456.55 ANNUAL RATE ADJUST: MONTHLY P&I : 2,552.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 54.07400 ---------------------------------------------------------------- 0 0031668668 MORTGAGORS: MUES ROBERT MUES ELIZABETH REGION CODE ADDRESS : 545 GARDEN ROAD 01 CITY : DAYTON STATE/ZIP : OH 45419 MORTGAGE AMOUNT : 285,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,328.96 ANNUAL RATE ADJUST: MONTHLY P&I : 1,944.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,564,250.00 P & I AMT: 10,810.97 UPB AMT: 1,560,217.09 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 67 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031668676 MORTGAGORS: NICKELS DENNIS NICKELS CAROL REGION CODE ADDRESS : 1802 CREEKVIEW TERRACE 01 CITY : OKEMOS STATE/ZIP : MI 48864 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,597.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,887.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031668684 MORTGAGORS: POLLOCK WILLIAM POLLOCK MARY REGION CODE ADDRESS : 6574 PARTRIDGE LANE 01 CITY : HOLLAND STATE/ZIP : MI 49423 MORTGAGE AMOUNT : 306,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,772.90 ANNUAL RATE ADJUST: MONTHLY P&I : 2,139.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.48000 ---------------------------------------------------------------- 0 0031668700 MORTGAGORS: BUCKWALTER KENNETH HADDOX MARCIA REGION CODE ADDRESS : 8162 ROUND HILL COURT 01 CITY : INDIANAPOLIS STATE/ZIP : IN 46260 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,181.95 ANNUAL RATE ADJUST: MONTHLY P&I : 1,896.21 OUTSIDE CONV DATE : LIFETIME RATE : 6.50000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.50000 PRODUCT CODE : 002 LTV : 62.50000 ---------------------------------------------------------------- 0 0031668718 MORTGAGORS: EDWARDS JAMES EDWARDS ROSEMARIE REGION CODE ADDRESS : 5250 APACHE MOON 01 CITY : CARMEL STATE/ZIP : IN 46033 MORTGAGE AMOUNT : 271,082.00 OPTION TO CONVERT : UNPAID BALANCE : 270,443.75 ANNUAL RATE ADJUST: MONTHLY P&I : 1,849.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 92.20400 ---------------------------------------------------------------- 0 0031668742 MORTGAGORS: POSTON HOWARD POSTON LEANN REGION CODE ADDRESS : 297 NARROWS TRACE 01 CITY : BEAVERCREEK STATE/ZIP : OH 45385 MORTGAGE AMOUNT : 273,750.00 OPTION TO CONVERT : UNPAID BALANCE : 273,310.86 ANNUAL RATE ADJUST: MONTHLY P&I : 1,844.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,420,832.00 P & I AMT: 9,617.26 UPB AMT: 1,418,307.45 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 68 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031668783 MORTGAGORS: LEVINSON SANFORD LEVINSON ELAINE REGION CODE ADDRESS : 8074 DEAN ROAD 01 CITY : INDIANAPOLIS STATE/ZIP : IN 46240 MORTGAGE AMOUNT : 495,000.00 OPTION TO CONVERT : UNPAID BALANCE : 493,805.39 ANNUAL RATE ADJUST: MONTHLY P&I : 3,334.91 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031668833 MORTGAGORS: PISCITELLI FRANK CARKHUFF DENISE REGION CODE ADDRESS : 5888 LAURA WOOD LANE 01 CITY : HUDSON STATE/ZIP : OH 44236 MORTGAGE AMOUNT : 234,250.00 OPTION TO CONVERT : UNPAID BALANCE : 233,475.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,558.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 03/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.08300 ---------------------------------------------------------------- 0 0031668858 MORTGAGORS: NETTIS DONALD NETTIS ELIZABETH REGION CODE ADDRESS : 2948 WILSON LANE 01 CITY : TWINSBURG STATE/ZIP : OH 44087 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,446.36 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.38700 ---------------------------------------------------------------- 0 0031669898 MORTGAGORS: ELLIS LESLIE REGION CODE ADDRESS : 219 VIA DIJON 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,175.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 49.60600 ---------------------------------------------------------------- 0 0031670912 MORTGAGORS: KRAMER DAVID KRAMER ROBIN REGION CODE ADDRESS : 67 WAVERLY AVENUE 01 CITY : NEWTON STATE/ZIP : MA 02158 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 72.22200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,612,250.00 P & I AMT: 10,950.86 UPB AMT: 1,609,726.92 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 69 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031671571 MORTGAGORS: WATLER KARL WATLER NANCY REGION CODE ADDRESS : 1434 SOLITUDE LANE 01 CITY : EVERGREEN STATE/ZIP : CO 80439 MORTGAGE AMOUNT : 367,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,534.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 50.27300 ---------------------------------------------------------------- 0 0031672900 MORTGAGORS: ENG CHRISTINE LEON JOHN REGION CODE ADDRESS : 2322 26TH AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94116 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,795.16 ANNUAL RATE ADJUST: MONTHLY P&I : 1,929.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.40900 ---------------------------------------------------------------- 0 0031672926 MORTGAGORS: COBB STEVEN HAEGER ELIZABETH REGION CODE ADDRESS : 1663 GLEN HOLLOW COURT 01 CITY : ENCINITAS STATE/ZIP : CA 92024 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,821.88 ANNUAL RATE ADJUST: MONTHLY P&I : 1,678.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031672934 MORTGAGORS: CATALLI PAUL CATALLI CELESTE REGION CODE ADDRESS : 1368 EDGEWOOD ROAD 01 CITY : REDWOOD CITY STATE/ZIP : CA 94062 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,717.68 ANNUAL RATE ADJUST: MONTHLY P&I : 2,865.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 54.79400 ---------------------------------------------------------------- 0 0031672991 MORTGAGORS: CRUSE SCOTT CRUSE PHYLLIS REGION CODE ADDRESS : 112 LOMA VISTA COURT 01 CITY : LOS GATOS STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 420,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,900.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,703,000.00 P & I AMT: 11,909.23 UPB AMT: 1,702,334.72 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 70 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673031 MORTGAGORS: JARBOE THOMAS JARBOE MARIE REGION CODE ADDRESS : 8959 S INDIAN HILLS ROAD 01 CITY : MONTAGUE STATE/ZIP : MI 49437 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,983.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,970.79 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 03/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031673064 MORTGAGORS: AU DEREK REGION CODE ADDRESS : 549 MINER ROAD 01 CITY : ORINDA STATE/ZIP : CA 94563 MORTGAGE AMOUNT : 388,000.00 OPTION TO CONVERT : UNPAID BALANCE : 387,712.04 ANNUAL RATE ADJUST: MONTHLY P&I : 2,712.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031673080 MORTGAGORS: BAILEY STEPHEN MELBY LORRIE REGION CODE ADDRESS : 609 EAST MENDOCINO ST 01 CITY : ALTADENA, STATE/ZIP : CA 91001 MORTGAGE AMOUNT : 515,000.00 OPTION TO CONVERT : UNPAID BALANCE : 514,636.51 ANNUAL RATE ADJUST: MONTHLY P&I : 3,689.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 65.18900 ---------------------------------------------------------------- 0 0031673098 MORTGAGORS: SIMON DAVID SIMON ROSALIA REGION CODE ADDRESS : 150 KENSINGTON WAY 01 CITY : LOS GATOS, STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 480,000.00 OPTION TO CONVERT : UNPAID BALANCE : 479,596.74 ANNUAL RATE ADJUST: MONTHLY P&I : 3,153.26 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.84600 ---------------------------------------------------------------- 0 0031673114 MORTGAGORS: VU DE VU DIANE REGION CODE ADDRESS : 48975 GREEN VALLEY ROAD 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 439,295.83 ANNUAL RATE ADJUST: MONTHLY P&I : 3,114.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,123,000.00 P & I AMT: 14,640.84 UPB AMT: 2,120,224.26 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 71 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673155 MORTGAGORS: WORLAND STEPHEN CHORY JOANNE REGION CODE ADDRESS : 727 HOSKA DRIVE 01 CITY : DEL MAR STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 580,000.00 OPTION TO CONVERT : UNPAID BALANCE : 579,580.21 ANNUAL RATE ADJUST: MONTHLY P&I : 4,105.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.95500 ---------------------------------------------------------------- 0 0031673221 MORTGAGORS: WEISS JOY REGION CODE ADDRESS : 5951 CHELTON DRIVE 01 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 391,000.00 OPTION TO CONVERT : UNPAID BALANCE : 391,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,801.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 69.82100 ---------------------------------------------------------------- 0 0031673247 MORTGAGORS: WAVERING GARY WAVERING MICHELLE REGION CODE ADDRESS : 5000 LAREDO PLACE 01 CITY : RANCHO CUCAMONGA STATE/ZIP : CA 91737 MORTGAGE AMOUNT : 297,400.00 OPTION TO CONVERT : UNPAID BALANCE : 297,156.22 ANNUAL RATE ADJUST: MONTHLY P&I : 1,978.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 58.89100 ---------------------------------------------------------------- 0 0031673288 MORTGAGORS: SHEN YA-HU SHEN HSIU-MEI REGION CODE ADDRESS : 41770 HIGGINS WAY 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 273,300.00 OPTION TO CONVERT : UNPAID BALANCE : 273,121.22 ANNUAL RATE ADJUST: MONTHLY P&I : 2,029.25 OUTSIDE CONV DATE : LIFETIME RATE : 8.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 8.12500 PRODUCT CODE : 002 LTV : 79.97400 ---------------------------------------------------------------- 0 0031673320 MORTGAGORS: ROGERS LAWRENCE ROGERS MICHELE REGION CODE ADDRESS : 21631 KANEOHE LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 279,807.30 ANNUAL RATE ADJUST: MONTHLY P&I : 2,030.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,821,700.00 P & I AMT: 12,944.45 UPB AMT: 1,820,664.95 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 72 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673445 MORTGAGORS: MOON JAMES MOON MONA REGION CODE ADDRESS : 1381 CAMINITO HALAGO 01 CITY : SAN DIEGO STATE/ZIP : CA 92037 MORTGAGE AMOUNT : 485,000.00 OPTION TO CONVERT : UNPAID BALANCE : 484,621.65 ANNUAL RATE ADJUST: MONTHLY P&I : 3,308.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 54.49400 ---------------------------------------------------------------- 0 0031673460 MORTGAGORS: VOGEL RONALD REGION CODE ADDRESS : 2333 GLENDENNING AVENUE 01 CITY : SANTA CLARA STATE/ZIP : CA 95050 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,841.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.71700 ---------------------------------------------------------------- 0 0031673486 MORTGAGORS: MORRIS JEFFRY MORRIS HEATHER REGION CODE ADDRESS : 11391 FOSTER ROAD 01 CITY : LOS ALAMITOS STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 258,675.00 OPTION TO CONVERT : UNPAID BALANCE : 258,492.43 ANNUAL RATE ADJUST: MONTHLY P&I : 1,853.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 74.97800 ---------------------------------------------------------------- 0 0031673494 MORTGAGORS: MOFFIT BRIAN MOFFIT KIMBERLY REGION CODE ADDRESS : 5441 EL CIELITO 01 CITY : RANCHO SANTA FE STATE/ZIP : CA 92067 MORTGAGE AMOUNT : 649,999.00 OPTION TO CONVERT : UNPAID BALANCE : 649,540.23 ANNUAL RATE ADJUST: MONTHLY P&I : 4,656.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 53.06100 ---------------------------------------------------------------- 0 0031673510 MORTGAGORS: BEARD DENNIS BEARD JANET REGION CODE ADDRESS : 23016 KENT AVENUE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 282,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,780.01 ANNUAL RATE ADJUST: MONTHLY P&I : 1,923.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 77.26000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,945,674.00 P & I AMT: 13,584.04 UPB AMT: 1,944,434.32 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 73 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673536 MORTGAGORS: DILUCHIO ROBERT DILUCHIO TRACY REGION CODE ADDRESS : 49 MERLIN AVENUE 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,790.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031673551 MORTGAGORS: LEE KEVIN HUI-MEI WONG MICHELLE REGION CODE ADDRESS : 1021 ELM STREET 01 CITY : SAN CARLOS STATE/ZIP : CA 94070 MORTGAGE AMOUNT : 412,000.00 OPTION TO CONVERT : UNPAID BALANCE : 411,701.80 ANNUAL RATE ADJUST: MONTHLY P&I : 2,916.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031673593 MORTGAGORS: FRYMAN BRUCE FRYMAN LI REGION CODE ADDRESS : 30092 CARTIER DRIVE 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 485,000.00 OPTION TO CONVERT : UNPAID BALANCE : 484,630.95 ANNUAL RATE ADJUST: MONTHLY P&I : 3,349.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 73.48400 ---------------------------------------------------------------- 0 0031673601 MORTGAGORS: FURNAS DWIGHT FURNAS MARTHA REGION CODE ADDRESS : 2522 SAN ANSELMO STREET 01 CITY : SAN DIEGO STATE/ZIP : CA 92109 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,817.60 ANNUAL RATE ADJUST: MONTHLY P&I : 1,783.65 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031673643 MORTGAGORS: IIDA MYLES JACKLE DOLORES REGION CODE ADDRESS : 8326 EAST QUIET CANYON COURT 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 247,400.00 OPTION TO CONVERT : UNPAID BALANCE : 247,207.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,687.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 89.99600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,664,400.00 P & I AMT: 11,565.50 UPB AMT: 1,663,148.28 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 74 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673676 MORTGAGORS: FOSTER DAVID MOSER KATHERINE REGION CODE ADDRESS : 1827 PARROTT DRIVE 01 CITY : SAN MATEO STATE/ZIP : CA 94402 MORTGAGE AMOUNT : 335,000.00 OPTION TO CONVERT : UNPAID BALANCE : 334,757.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,371.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 67.00000 ---------------------------------------------------------------- 0 0031673684 MORTGAGORS: DANG HUNG NGUYEN THUY REGION CODE ADDRESS : 45305 PARKMEADOW DRIVE 01 CITY : FREMONT STATE/ZIP : CA 94539 MORTGAGE AMOUNT : 370,000.00 OPTION TO CONVERT : UNPAID BALANCE : 369,732.20 ANNUAL RATE ADJUST: MONTHLY P&I : 2,618.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.47600 ---------------------------------------------------------------- 0 0031673718 MORTGAGORS: KELSO GEORGE KELSO BETTY REGION CODE ADDRESS : 5328 FORECASTLE COURT 01 CITY : CARLSBAD STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 257,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,799.51 ANNUAL RATE ADJUST: MONTHLY P&I : 1,753.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 81.58700 ---------------------------------------------------------------- 0 0031673726 MORTGAGORS: KRANTZ ERIC KRANTZ PAULA REGION CODE ADDRESS : 12 EISENHOWER LANE 01 CITY : COTO DE CAZA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 365,000.00 OPTION TO CONVERT : UNPAID BALANCE : 364,715.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,489.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.56800 ---------------------------------------------------------------- 0 0031673858 MORTGAGORS: KAUZOR DANIEL KAUZOR CHERI REGION CODE ADDRESS : 25948 COLERIDGE PLACE 01 CITY : STEVENSON RANCH STATE/ZIP : CA 91381 MORTGAGE AMOUNT : 292,000.00 OPTION TO CONVERT : UNPAID BALANCE : 291,766.49 ANNUAL RATE ADJUST: MONTHLY P&I : 1,967.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.84600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,619,000.00 P & I AMT: 11,200.36 UPB AMT: 1,617,771.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 75 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031673866 MORTGAGORS: ELLIOTT RICHARD ELLIOTT KAREN REGION CODE ADDRESS : 4254 VERDIGRIS CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95134 MORTGAGE AMOUNT : 278,000.00 OPTION TO CONVERT : UNPAID BALANCE : 277,798.79 ANNUAL RATE ADJUST: MONTHLY P&I : 1,967.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 76.16400 ---------------------------------------------------------------- 0 0031673890 MORTGAGORS: ELERATH JON ELERATH DEBRA REGION CODE ADDRESS : 10055 CRESCENT ROAD 01 CITY : CUPERTINO STATE/ZIP : CA 95014 MORTGAGE AMOUNT : 540,000.00 OPTION TO CONVERT : UNPAID BALANCE : 539,599.24 ANNUAL RATE ADJUST: MONTHLY P&I : 3,775.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 58.06400 ---------------------------------------------------------------- 0 0031674138 MORTGAGORS: LEWIS RONALD MCNAMARA-LEWIS CAREN REGION CODE ADDRESS : 225 FIRESTONE DRIVE 01 CITY : WALNUT CREEK STATE/ZIP : CA 94598 MORTGAGE AMOUNT : 318,000.00 OPTION TO CONVERT : UNPAID BALANCE : 317,763.99 ANNUAL RATE ADJUST: MONTHLY P&I : 2,223.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.71400 ---------------------------------------------------------------- 0 0031674211 MORTGAGORS: CALHAN ROSWITHA CALHAN ROBERT REGION CODE ADDRESS : 2439 24TH AVENUE 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94116 MORTGAGE AMOUNT : 297,800.00 OPTION TO CONVERT : UNPAID BALANCE : 297,549.81 ANNUAL RATE ADJUST: MONTHLY P&I : 1,956.34 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.41300 ---------------------------------------------------------------- 0 0031674260 MORTGAGORS: LASKER FREDRICK PAETH-LASKER ELIZABETH REGION CODE ADDRESS : 121 CASTLEFORD CIRCLE 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 420,000.00 OPTION TO CONVERT : UNPAID BALANCE : 419,688.29 ANNUAL RATE ADJUST: MONTHLY P&I : 2,936.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,853,800.00 P & I AMT: 12,859.99 UPB AMT: 1,852,400.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 76 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031674286 MORTGAGORS: BULLOCK THOMAS BULLOCK MICHELLE REGION CODE ADDRESS : 882 SOUTH BRIAR ROSE LANE 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 246,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 65.42500 ---------------------------------------------------------------- 0 0031674294 MORTGAGORS: COOK JOHN GLEN HEATHER REGION CODE ADDRESS : 23 HARBOR RIDGE DRIVE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 384,000.00 OPTION TO CONVERT : UNPAID BALANCE : 383,715.01 ANNUAL RATE ADJUST: MONTHLY P&I : 2,684.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 49.54800 ---------------------------------------------------------------- 0 0031674377 MORTGAGORS: PARKER JOSEPH REGION CODE ADDRESS : 5408 RIVER AVENUE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92663 MORTGAGE AMOUNT : 277,500.00 OPTION TO CONVERT : UNPAID BALANCE : 277,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,964.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031675424 MORTGAGORS: AUMAN DAVID AUMAN CYNTHIA REGION CODE ADDRESS : 20013 LINCOLN ROAD 01 CITY : PURCELLVILLE STATE/ZIP : VA 20132 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,382.19 ANNUAL RATE ADJUST: MONTHLY P&I : 1,724.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031675572 MORTGAGORS: LEONARD CHARLES JENKINS REUBEN REGION CODE ADDRESS : 2113 ARTHUR AVENUE 01 CITY : BELMONT STATE/ZIP : CA 94002 MORTGAGE AMOUNT : 315,500.00 OPTION TO CONVERT : UNPAID BALANCE : 315,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,179.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.02400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,479,000.00 P & I AMT: 10,210.27 UPB AMT: 1,478,097.20 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 77 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031675838 MORTGAGORS: HAYES ROBERT HAYES NANCY REGION CODE ADDRESS : 3000 EAST 2ND STREET 01 CITY : LONG BEACH STATE/ZIP : CA 90803 MORTGAGE AMOUNT : 413,300.00 OPTION TO CONVERT : UNPAID BALANCE : 413,300.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,054.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/23 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.72300 ---------------------------------------------------------------- 0 0031675937 MORTGAGORS: RAWSON RICHARD OBERT JEANNE REGION CODE ADDRESS : 7506 EARLDOM STREET 01 CITY : LOS ANGELES (PLAYA DEL RE STATE/ZIP : CA 90293 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,377.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676075 MORTGAGORS: MOGHADDAM YOUSSEF MOGHADDAM LEILA REGION CODE ADDRESS : 60 RAVEN LANE 01 CITY : ALISO VIEJO STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 302,000.00 OPTION TO CONVERT : UNPAID BALANCE : 302,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,137.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676091 MORTGAGORS: FREESE PAUL FREESE DENISE REGION CODE ADDRESS : 3312 KEESHEN DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90066 MORTGAGE AMOUNT : 275,000.00 OPTION TO CONVERT : UNPAID BALANCE : 275,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,875.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 72.36800 ---------------------------------------------------------------- 0 0031676190 MORTGAGORS: PATTERSON KENNETH PATTERSON JACQUELINE REGION CODE ADDRESS : 5350 CAMINO DE BRYANT 01 CITY : YORBA LINDA STATE/ZIP : CA 92887 MORTGAGE AMOUNT : 459,000.00 OPTION TO CONVERT : UNPAID BALANCE : 459,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,170.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.24500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,789,300.00 P & I AMT: 12,615.31 UPB AMT: 1,789,300.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 78 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676240 MORTGAGORS: COX STEPHEN COX KARLA REGION CODE ADDRESS : 11999 MOJAVE LANE 01 CITY : WOODBRIDGE STATE/ZIP : VA 22192 MORTGAGE AMOUNT : 175,200.00 OPTION TO CONVERT : UNPAID BALANCE : 174,932.54 ANNUAL RATE ADJUST: MONTHLY P&I : 1,210.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676299 MORTGAGORS: MCGUIRK DENNIS MCGUIRK JUDITH REGION CODE ADDRESS : 17 NORUMBEGA DRIVE 01 CITY : CAMDEN STATE/ZIP : ME 04843 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,706.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,564.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676349 MORTGAGORS: PRYMAK DAVID PRYMAK TERI REGION CODE ADDRESS : 13104 FOXHALL DRIVE 01 CITY : WOODBRIDGE STATE/ZIP : VA 22192 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,575.35 ANNUAL RATE ADJUST: MONTHLY P&I : 1,655.47 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676380 MORTGAGORS: YERGATIAN LIBARITE YERGATIAN ROSALIE REGION CODE ADDRESS : 160 REES PLACE 01 CITY : FALLS CHURCH STATE/ZIP : VA 22046 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 263,596.99 ANNUAL RATE ADJUST: MONTHLY P&I : 1,823.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.95100 ---------------------------------------------------------------- 0 0031676604 MORTGAGORS: SHADEMAN MOHAMMAD-ALI SHADMAN LUANN REGION CODE ADDRESS : 12202 FOX VALLEY COURT 01 CITY : OAKTON STATE/ZIP : VA 22124 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 239,391.64 ANNUAL RATE ADJUST: MONTHLY P&I : 1,576.63 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 77.17000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,307,200.00 P & I AMT: 8,830.55 UPB AMT: 1,305,203.21 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 79 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676620 MORTGAGORS: FRANKLIN C REGION CODE ADDRESS : 12285 BAY HARBOR LANE 01 CITY : CARROLLTON STATE/ZIP : VA 23314 MORTGAGE AMOUNT : 324,800.00 OPTION TO CONVERT : UNPAID BALANCE : 324,527.13 ANNUAL RATE ADJUST: MONTHLY P&I : 2,133.71 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 78.26500 ---------------------------------------------------------------- 0 0031676661 MORTGAGORS: WICINSKI THOMAS WICINSKI LEIGH REGION CODE ADDRESS : 1895 GROVEWAY LANE 01 CITY : GERMANTOWN STATE/ZIP : TN 38139 MORTGAGE AMOUNT : 291,200.00 OPTION TO CONVERT : UNPAID BALANCE : 290,260.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,961.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676703 MORTGAGORS: EISCHENS DONALD EISCHENS DEIRDRE REGION CODE ADDRESS : 8414 SILVERDALE COURT 01 CITY : LORTON STATE/ZIP : VA 22079 MORTGAGE AMOUNT : 210,400.00 OPTION TO CONVERT : UNPAID BALANCE : 209,651.77 ANNUAL RATE ADJUST: MONTHLY P&I : 1,364.66 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676828 MORTGAGORS: PORTER JAMES PORTER JO REGION CODE ADDRESS : 8107 LONG SHADOWS DRIVE 01 CITY : FAIRFAX STATION STATE/ZIP : VA 22039 MORTGAGE AMOUNT : 452,000.00 OPTION TO CONVERT : UNPAID BALANCE : 451,620.26 ANNUAL RATE ADJUST: MONTHLY P&I : 2,969.32 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031676877 MORTGAGORS: STANFORD STEPHEN WEST-STANFORD DAPHNE REGION CODE ADDRESS : 1062 OAK TREE ROAD 01 CITY : HOOVER STATE/ZIP : AL 35244 MORTGAGE AMOUNT : 265,200.00 OPTION TO CONVERT : UNPAID BALANCE : 265,008.06 ANNUAL RATE ADJUST: MONTHLY P&I : 1,877.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,543,600.00 P & I AMT: 10,306.63 UPB AMT: 1,541,067.42 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 80 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031676919 MORTGAGORS: HOWARD MICHAEL HOWARD SHARLENE REGION CODE ADDRESS : 71 SIMMONS LANE 01 CITY : SEVERNA PARK STATE/ZIP : MD 21146 MORTGAGE AMOUNT : 252,300.00 OPTION TO CONVERT : UNPAID BALANCE : 251,227.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,657.44 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 02/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 79.99300 ---------------------------------------------------------------- 0 0031676927 MORTGAGORS: DOANE DAVID DOANE MARJORIE REGION CODE ADDRESS : 1509 MILL SPRINGS ROAD 01 CITY : JONESBOROUGH STATE/ZIP : TN 37659 MORTGAGE AMOUNT : 255,000.00 OPTION TO CONVERT : UNPAID BALANCE : 254,517.61 ANNUAL RATE ADJUST: MONTHLY P&I : 1,675.17 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031677024 MORTGAGORS: STEESE CHARLES STEESE JAMIE REGION CODE ADDRESS : 6499 E. LONG CIRCLE NO. 01 CITY : ENGLEWOOD STATE/ZIP : CO 80112 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,815.10 ANNUAL RATE ADJUST: MONTHLY P&I : 1,678.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031677131 MORTGAGORS: HENDERSON ALLEN HENDERSON TAMARAH REGION CODE ADDRESS : 4520 W. WOODMERE RD 01 CITY : TAMPA STATE/ZIP : FL 33609 MORTGAGE AMOUNT : 444,000.00 OPTION TO CONVERT : UNPAID BALANCE : 443,678.65 ANNUAL RATE ADJUST: MONTHLY P&I : 3,142.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031677149 MORTGAGORS: HENRY HAROLD MILLER KELLY REGION CODE ADDRESS : 317 W. GOETHE STREET 01 CITY : CHICAGO STATE/ZIP : IL 60610 MORTGAGE AMOUNT : 354,500.00 OPTION TO CONVERT : UNPAID BALANCE : 354,243.42 ANNUAL RATE ADJUST: MONTHLY P&I : 2,509.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 89.98700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,548,800.00 P & I AMT: 10,662.68 UPB AMT: 1,546,482.70 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 81 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031677198 MORTGAGORS: HITE RONALD HITE STACEY REGION CODE ADDRESS : 3 YARROW 01 CITY : ALISO VIEJO AREA STATE/ZIP : CA 92656 MORTGAGE AMOUNT : 212,000.00 OPTION TO CONVERT : UNPAID BALANCE : 211,842.66 ANNUAL RATE ADJUST: MONTHLY P&I : 1,482.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031677206 MORTGAGORS: MEISINGER STEPHEN MEISINGER CONSTANCE REGION CODE ADDRESS : 427 COTTAGE HILL AVENUE 01 CITY : ELMHURST STATE/ZIP : IL 60126 MORTGAGE AMOUNT : 463,600.00 OPTION TO CONVERT : UNPAID BALANCE : 463,264.46 ANNUAL RATE ADJUST: MONTHLY P&I : 3,281.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031677586 MORTGAGORS: KEARNEY MATTHEW PRIMO JILL REGION CODE ADDRESS : 7 DWIGHT STREET #5 01 CITY : BOSTON STATE/ZIP : MA 02116 MORTGAGE AMOUNT : 195,200.00 OPTION TO CONVERT : UNPAID BALANCE : 195,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,500.92 OUTSIDE CONV DATE : LIFETIME RATE : 8.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.50000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031677768 MORTGAGORS: JOHNSON CARL JOHNSON LAURA REGION CODE ADDRESS : 24340 MORNINGTON DRIVE 01 CITY : VALENCIA STATE/ZIP : CA 91355 MORTGAGE AMOUNT : 440,000.00 OPTION TO CONVERT : UNPAID BALANCE : 439,648.14 ANNUAL RATE ADJUST: MONTHLY P&I : 2,964.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031677842 MORTGAGORS: DUNLAP JENNIFER BOSHART CHARLES REGION CODE ADDRESS : 126 NORTH GARFIELD STREET 01 CITY : ARLINGTON STATE/ZIP : VA 22201 MORTGAGE AMOUNT : 379,200.00 OPTION TO CONVERT : UNPAID BALANCE : 378,918.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,651.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,690,000.00 P & I AMT: 11,880.37 UPB AMT: 1,688,873.84 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 82 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031678071 MORTGAGORS: HORAK FRANK HORAK MARYANN REGION CODE ADDRESS : 1015 STUART CIRCLE 01 CITY : THOUSAND OAKS STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 317,000.00 OPTION TO CONVERT : UNPAID BALANCE : 317,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,189.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.25000 ---------------------------------------------------------------- 0 0031678105 MORTGAGORS: ATKINSON DAVID ATKINSON JEANNETTE REGION CODE ADDRESS : 5603 WHITE COURT 01 CITY : TORRANCE STATE/ZIP : CA 90503 MORTGAGE AMOUNT : 281,000.00 OPTION TO CONVERT : UNPAID BALANCE : 281,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,916.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.15400 ---------------------------------------------------------------- 0 0031678113 MORTGAGORS: TURK ROBERT REGION CODE ADDRESS : 8137 EAST DANIELS LOOP 01 CITY : PORT ORCHARD STATE/ZIP : WA 98366 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,660.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 69.85200 ---------------------------------------------------------------- 0 0031678139 MORTGAGORS: GARCIA MICHAEL GARCIA MARIA REGION CODE ADDRESS : 6350 TARRAGON ROAD 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 353,000.00 OPTION TO CONVERT : UNPAID BALANCE : 353,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,468.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.60000 ---------------------------------------------------------------- 0 0031678162 MORTGAGORS: SUNDAY GREGORY SUNDAY LUANN REGION CODE ADDRESS : 6088 MONASTERY DRIVE 01 CITY : FAIRFIELD STATE/ZIP : OH 45014 MORTGAGE AMOUNT : 153,000.00 OPTION TO CONVERT : UNPAID BALANCE : 153,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,069.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.68700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,341,500.00 P & I AMT: 9,305.03 UPB AMT: 1,341,500.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 83 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031678170 MORTGAGORS: BEAUFORT CHRISTOPHER SUGI -BEAUFORT DENISE REGION CODE ADDRESS : 425 HELIOTROPE AVENUE 01 CITY : NEWPORT BEACH STATE/ZIP : CA 92625 MORTGAGE AMOUNT : 372,900.00 OPTION TO CONVERT : UNPAID BALANCE : 372,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,543.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.67900 ---------------------------------------------------------------- 0 0031678204 MORTGAGORS: CARLSON CLYDE REGION CODE ADDRESS : 8519 ROCKFISH CIRCLE 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 251,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 66.93300 ---------------------------------------------------------------- 0 0031678675 MORTGAGORS: SEMANA RONNEL GARRIDO LORNA REGION CODE ADDRESS : 32780 SOUTH BELAMI LOOP 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 294,450.00 OPTION TO CONVERT : UNPAID BALANCE : 294,236.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,084.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 94.98600 ---------------------------------------------------------------- 0 0031678774 MORTGAGORS: STETSON JOHN STETSON ELIZABETH REGION CODE ADDRESS : 2626 E AZ BILTMORE CR #10 01 CITY : PHOENIX STATE/ZIP : AZ 85016 MORTGAGE AMOUNT : 258,400.00 OPTION TO CONVERT : UNPAID BALANCE : 258,203.37 ANNUAL RATE ADJUST: MONTHLY P&I : 1,784.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031678782 MORTGAGORS: FISHER EDWARD FISHER VICKI REGION CODE ADDRESS : 4042 BLACK POINT ROAD 01 CITY : HONOLULU STATE/ZIP : HI 96816 MORTGAGE AMOUNT : 413,850.00 OPTION TO CONVERT : UNPAID BALANCE : 413,542.86 ANNUAL RATE ADJUST: MONTHLY P&I : 2,893.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 48.12200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,590,600.00 P & I AMT: 11,018.61 UPB AMT: 1,589,883.12 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 84 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031678790 MORTGAGORS: CARDENAS MARIA REGION CODE ADDRESS : 6249 LOS BANCOS DRIVE 01 CITY : EL PASO STATE/ZIP : TX 79912 MORTGAGE AMOUNT : 243,900.00 OPTION TO CONVERT : UNPAID BALANCE : 243,714.41 ANNUAL RATE ADJUST: MONTHLY P&I : 1,684.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 88.36900 ---------------------------------------------------------------- 0 0031678816 MORTGAGORS: D'ANTONIO SAMUEL REGION CODE ADDRESS : 5 ATLANTIS COVE 01 CITY : BRIGANTINE STATE/ZIP : NJ 08203 MORTGAGE AMOUNT : 385,200.00 OPTION TO CONVERT : UNPAID BALANCE : 384,611.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,660.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031678956 MORTGAGORS: HAHN DOUGLAS REGION CODE ADDRESS : 1121 MARTIN STREET 01 CITY : TALLAHASSEE STATE/ZIP : FL 32303 MORTGAGE AMOUNT : 244,900.00 OPTION TO CONVERT : UNPAID BALANCE : 244,722.75 ANNUAL RATE ADJUST: MONTHLY P&I : 1,733.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 94.99900 ---------------------------------------------------------------- 0 0031679004 MORTGAGORS: DURBIN ROBERT DURBIN LINDA REGION CODE ADDRESS : 13807 N MESQUITE LANE 01 CITY : FOUNTAIN HILLS STATE/ZIP : AZ 85268 MORTGAGE AMOUNT : 315,600.00 OPTION TO CONVERT : UNPAID BALANCE : 315,371.58 ANNUAL RATE ADJUST: MONTHLY P&I : 2,233.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031679087 MORTGAGORS: NELSON CHADWICH REGION CODE ADDRESS : 3406 ATWATER CT 01 CITY : BOWIE STATE/ZIP : MD 20716 MORTGAGE AMOUNT : 238,050.00 OPTION TO CONVERT : UNPAID BALANCE : 237,886.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,726.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 94.99200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,427,650.00 P & I AMT: 10,038.26 UPB AMT: 1,426,306.89 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 85 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031679095 MORTGAGORS: HEGGE DOUG REGION CODE ADDRESS : 3915 SE 155TH AVENUE 01 CITY : VANCOUVER STATE/ZIP : WA 98683 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,746.47 ANNUAL RATE ADJUST: MONTHLY P&I : 2,217.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 86.66600 ---------------------------------------------------------------- 0 0031679160 MORTGAGORS: GOETTING JEFFREY GOETTING CAROL REGION CODE ADDRESS : 40780 LOS RANCHOS CIRCLE 01 CITY : TEMECULA STATE/ZIP : CA 92592 MORTGAGE AMOUNT : 263,150.00 OPTION TO CONVERT : UNPAID BALANCE : 262,795.69 ANNUAL RATE ADJUST: MONTHLY P&I : 1,930.90 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031679194 MORTGAGORS: CROMPTON LARRY CROMPTON BARBARA REGION CODE ADDRESS : 41078 SHIMANEK BRIDGE DRIVE 01 CITY : SCIO STATE/ZIP : OR 97374 MORTGAGE AMOUNT : 280,250.00 OPTION TO CONVERT : UNPAID BALANCE : 280,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,911.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031679277 MORTGAGORS: OKINO PAUL VASQUEZ MARIA REGION CODE ADDRESS : 32727 RED MAPLE STREET 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 309,150.00 OPTION TO CONVERT : UNPAID BALANCE : 308,908.83 ANNUAL RATE ADJUST: MONTHLY P&I : 2,108.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98500 ---------------------------------------------------------------- 0 0031679285 MORTGAGORS: STRANGIS NICOLE STRANGIS VINCENT REGION CODE ADDRESS : 6381 BLACKBERRY COURT 01 CITY : GILROY STATE/ZIP : CA 95020 MORTGAGE AMOUNT : 294,000.00 OPTION TO CONVERT : UNPAID BALANCE : 293,759.01 ANNUAL RATE ADJUST: MONTHLY P&I : 1,955.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99956 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,471,550.00 P & I AMT: 10,124.71 UPB AMT: 1,470,460.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 86 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031679319 MORTGAGORS: LAPATRA WILLIAM LAPATRA MOLLY REGION CODE ADDRESS : 118 NORTH ARGYLE PLACE 01 CITY : SEATTLE STATE/ZIP : WA 98103 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,764.09 ANNUAL RATE ADJUST: MONTHLY P&I : 1,987.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 67.04500 ---------------------------------------------------------------- 0 0031679327 MORTGAGORS: LOBO DAVID LOBO ANN REGION CODE ADDRESS : 350 WESTAIRE BOULEVARD 01 CITY : MARTINEZ STATE/ZIP : CA 94553 MORTGAGE AMOUNT : 234,350.00 OPTION TO CONVERT : UNPAID BALANCE : 234,167.18 ANNUAL RATE ADJUST: MONTHLY P&I : 1,598.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98500 ---------------------------------------------------------------- 0 0031680515 MORTGAGORS: LUSTINE GARY LUSTINE MARCY REGION CODE ADDRESS : 13604 ANCHOR COVE COURT 01 CITY : ROCKVILLE STATE/ZIP : MD 20850 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,424.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,328.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 70.97100 ---------------------------------------------------------------- 0 0031680556 MORTGAGORS: D'AGOSTINO GIOVANNI D'AGOSTINO MARGARET REGION CODE ADDRESS : 13627 WEINSTEIN COURT 01 CITY : CENTREVILLE STATE/ZIP : VA 20120 MORTGAGE AMOUNT : 274,000.00 OPTION TO CONVERT : UNPAID BALANCE : 273,538.28 ANNUAL RATE ADJUST: MONTHLY P&I : 1,799.99 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 73.26200 ---------------------------------------------------------------- 0 0031680564 MORTGAGORS: THIE HARRY THIE KATHLEEN REGION CODE ADDRESS : 901 LANIER PLACE 01 CITY : FALLS CHRUCH STATE/ZIP : VA 22046 MORTGAGE AMOUNT : 382,500.00 OPTION TO CONVERT : UNPAID BALANCE : 382,201.61 ANNUAL RATE ADJUST: MONTHLY P&I : 2,609.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.68700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,535,850.00 P & I AMT: 10,324.04 UPB AMT: 1,534,095.70 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 87 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031680606 MORTGAGORS: DAVIS CLAYTON DAVIS MARY REGION CODE ADDRESS : 6641 HAWTHORNE STREET 01 CITY : MCLEAN STATE/ZIP : VA 22101 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 398,985.78 ANNUAL RATE ADJUST: MONTHLY P&I : 2,627.72 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 66.66600 ---------------------------------------------------------------- 0 0031680630 MORTGAGORS: BERGERE DOUGLAS HAMM MARY REGION CODE ADDRESS : 10600 LARKSONG COURT 01 CITY : MANASSAS STATE/ZIP : VA 20111 MORTGAGE AMOUNT : 272,250.00 OPTION TO CONVERT : UNPAID BALANCE : 271,624.67 ANNUAL RATE ADJUST: MONTHLY P&I : 1,880.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- 0 0031680648 MORTGAGORS: ANGELICO ANTHONY ANGELICO MARIA REGION CODE ADDRESS : 5 MILL COURT 01 CITY : CORTLANDT MANOR STATE/ZIP : NY 10566 MORTGAGE AMOUNT : 267,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,199.97 ANNUAL RATE ADJUST: MONTHLY P&I : 1,776.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 68.02500 ---------------------------------------------------------------- 0 0031680663 MORTGAGORS: DEL POLITO CATHLEEN DEL POLITO GENE REGION CODE ADDRESS : 8300 IVY GREEN ROAD 01 CITY : FAIRFAX STATION STATE/ZIP : VA 22039 MORTGAGE AMOUNT : 347,600.00 OPTION TO CONVERT : UNPAID BALANCE : 347,028.48 ANNUAL RATE ADJUST: MONTHLY P&I : 2,312.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031680739 MORTGAGORS: MORRIS ALAN MORRIS WENDY REGION CODE ADDRESS : 9624 NUTHATCH DRIVE 01 CITY : FAIRFAX STATION STATE/ZIP : VA 22039 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 295,745.14 ANNUAL RATE ADJUST: MONTHLY P&I : 1,919.86 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 79.98500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,582,850.00 P & I AMT: 10,516.91 UPB AMT: 1,578,584.04 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 88 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031680754 MORTGAGORS: LANGHAM PHILIP LANGHAM TEQUILA REGION CODE ADDRESS : 8615 WOODWREN LANE 01 CITY : FAIRFAX STATION STATE/ZIP : VA 22039 MORTGAGE AMOUNT : 400,000.00 OPTION TO CONVERT : UNPAID BALANCE : 399,016.81 ANNUAL RATE ADJUST: MONTHLY P&I : 2,694.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031680846 MORTGAGORS: MASJEDI MOISE REGION CODE ADDRESS : 15552 AQUA VERDE DR 01 CITY : BEL AIR STATE/ZIP : CA 90077 MORTGAGE AMOUNT : 500,000.00 OPTION TO CONVERT : UNPAID BALANCE : 500,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,582.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 68.96500 ---------------------------------------------------------------- 0 0031681059 MORTGAGORS: TORRESCANO DOROTHY TORRESCANO JAMES REGION CODE ADDRESS : 11598 JAGUAR COURT 01 CITY : SAN DIEGO STATE/ZIP : CA 92131 MORTGAGE AMOUNT : 263,500.00 OPTION TO CONVERT : UNPAID BALANCE : 263,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,910.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 78.65600 ---------------------------------------------------------------- 0 0031681091 MORTGAGORS: TANTUM GREGORY TANTUM NANCY REGION CODE ADDRESS : 14964 GREENLEAF STREET 01 CITY : SHERMAN OAKS STATE/ZIP : CA 91403 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,046.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.92300 ---------------------------------------------------------------- 0 0031681430 MORTGAGORS: SNOW CEDRIC SNOW LESLIE REGION CODE ADDRESS : 3830 FIR CIRCLE 01 CITY : SEAL BEACH STATE/ZIP : CA 90740 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,982.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 78.84600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,750,500.00 P & I AMT: 12,216.28 UPB AMT: 1,749,516.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 89 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031681471 MORTGAGORS: BINDER KENNETH BINDER LINDA REGION CODE ADDRESS : 1660 DORAL COURT 01 CITY : GILROY STATE/ZIP : CA 95020 MORTGAGE AMOUNT : 282,000.00 OPTION TO CONVERT : UNPAID BALANCE : 282,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,923.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 58.75000 ---------------------------------------------------------------- 0 0031681497 MORTGAGORS: HENDRICKS MARK HENDRICKS PATRICE REGION CODE ADDRESS : 7715 LAKE ALICE ROAD 01 CITY : FALL CITY STATE/ZIP : WA 98024 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,054.84 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 74.39000 ---------------------------------------------------------------- 0 0031681646 MORTGAGORS: BOSHEK ERNEST BOSHEK CYNTHIA REGION CODE ADDRESS : 1242 MONTE DR 01 CITY : MILIPITAS STATE/ZIP : CA 95035 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,773.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031682172 MORTGAGORS: PIERCE BRIAN PIERCE ALENA REGION CODE ADDRESS : 2981 FAHRNER COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95135 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,910.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031682180 MORTGAGORS: CAISSIE DAVID CAISSIE CHRISTINE REGION CODE ADDRESS : 242 RIVULET STREET 01 CITY : UXBRIDGE STATE/ZIP : MA 01569 MORTGAGE AMOUNT : 89,600.00 OPTION TO CONVERT : UNPAID BALANCE : 89,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 626.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,216,600.00 P & I AMT: 8,288.84 UPB AMT: 1,216,600.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 90 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031682321 MORTGAGORS: NOBAKHT RAMIN REGION CODE ADDRESS : 29632 AVANTE 01 CITY : LAGUNA NIGUEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 254,800.00 OPTION TO CONVERT : UNPAID BALANCE : 254,615.58 ANNUAL RATE ADJUST: MONTHLY P&I : 1,803.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 56.62222 ---------------------------------------------------------------- 0 0031682370 MORTGAGORS: DI CECCO MATHIAS REGION CODE ADDRESS : 678 EAST CARLISLE ROAD 01 CITY : WESTLAKE VILLAGE STATE/ZIP : CA 91631 MORTGAGE AMOUNT : 385,000.00 OPTION TO CONVERT : UNPAID BALANCE : 384,397.51 ANNUAL RATE ADJUST: MONTHLY P&I : 2,626.38 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- 0 0031682404 MORTGAGORS: SCHIFF DOUGLAS FEN PEI REGION CODE ADDRESS : 3952 18TH STREET 01 CITY : SAN FRANCISCO STATE/ZIP : CA 94114 MORTGAGE AMOUNT : 328,800.00 OPTION TO CONVERT : UNPAID BALANCE : 328,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,270.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031682412 MORTGAGORS: ADAMEK JONATHAN ADAMEK WENDY REGION CODE ADDRESS : 1801 CORRE CAMINO WAY 01 CITY : VISTA STATE/ZIP : CA 92083 MORTGAGE AMOUNT : 494,000.00 OPTION TO CONVERT : UNPAID BALANCE : 492,947.24 ANNUAL RATE ADJUST: MONTHLY P&I : 3,539.08 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 79.04000 ---------------------------------------------------------------- 0 0031682461 MORTGAGORS: KATZ WENDY REGION CODE ADDRESS : 31699 VIA PUERTA DEL SOL 01 CITY : BONSALL STATE/ZIP : CA 92003 MORTGAGE AMOUNT : 403,500.00 OPTION TO CONVERT : UNPAID BALANCE : 403,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,752.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.03800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,866,100.00 P & I AMT: 12,992.45 UPB AMT: 1,864,260.33 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 91 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031682479 MORTGAGORS: SHERIN BEVERLY REGION CODE ADDRESS : 706 BALDWIN AVENUE 01 CITY : NORFOLK STATE/ZIP : VA 23517 MORTGAGE AMOUNT : 261,250.00 OPTION TO CONVERT : UNPAID BALANCE : 261,051.21 ANNUAL RATE ADJUST: MONTHLY P&I : 1,804.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031682495 MORTGAGORS: GERSH JEFFREY GERSH DANIELLE REGION CODE ADDRESS : 33121 AGUA DULCE CANYON ROAD 01 CITY : AGUA DULCE STATE/ZIP : CA 91350 MORTGAGE AMOUNT : 268,800.00 OPTION TO CONVERT : UNPAID BALANCE : 268,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,833.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 94.98200 ---------------------------------------------------------------- 0 0031682503 MORTGAGORS: YU GANG SONG XIAOMEI REGION CODE ADDRESS : 7148 VALBURN DRIVE 01 CITY : AUSTIN STATE/ZIP : TX 78731 MORTGAGE AMOUNT : 534,000.00 OPTION TO CONVERT : UNPAID BALANCE : 533,603.69 ANNUAL RATE ADJUST: MONTHLY P&I : 3,733.81 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.11100 ---------------------------------------------------------------- 0 0031682511 MORTGAGORS: KELLY MICHAEL KELLY GRACE REGION CODE ADDRESS : 755 SANTIAGO AVE 01 CITY : EL GRANADA STATE/ZIP : CA 94018 MORTGAGE AMOUNT : 294,400.00 OPTION TO CONVERT : UNPAID BALANCE : 294,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,134.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031682578 MORTGAGORS: KRIKUNOV KONSTANTIN KIRKUNOVA YELENA REGION CODE ADDRESS : 4548 GRIMES PLACE 01 CITY : ENCINO STATE/ZIP : CA 91316 MORTGAGE AMOUNT : 323,950.00 OPTION TO CONVERT : UNPAID BALANCE : 323,950.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,265.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.98600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,682,400.00 P & I AMT: 11,771.61 UPB AMT: 1,681,804.90 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 92 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031683105 MORTGAGORS: KERWIN KEVIN REGION CODE ADDRESS : 1885 RIEBLI ROAD 01 CITY : SANTA ROSA STATE/ZIP : CA 95404 MORTGAGE AMOUNT : 312,000.00 OPTION TO CONVERT : UNPAID BALANCE : 312,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,208.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 65.68421 ---------------------------------------------------------------- 0 0031683121 MORTGAGORS: TSUJI PHILLIP TSUJI RUTH REGION CODE ADDRESS : 2017 VIA MADONNA 01 CITY : LOMITA STATE/ZIP : CA 90717 MORTGAGE AMOUNT : 303,200.00 OPTION TO CONVERT : UNPAID BALANCE : 302,980.54 ANNUAL RATE ADJUST: MONTHLY P&I : 2,146.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031683139 MORTGAGORS: BONNAUD DANIEL BONNAUD LINDA REGION CODE ADDRESS : 3434 EAST COPPER KETTLE WAY 01 CITY : ORANGE STATE/ZIP : CA 92867 MORTGAGE AMOUNT : 266,400.00 OPTION TO CONVERT : UNPAID BALANCE : 266,202.29 ANNUAL RATE ADJUST: MONTHLY P&I : 1,862.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031683154 MORTGAGORS: SOMMER SCOTT SOMMER CARRIE REGION CODE ADDRESS : 3 SILVER EAGLE ROAD 01 CITY : ROLLING HILLS ESTATES STATE/ZIP : CA 90274 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,793.03 ANNUAL RATE ADJUST: MONTHLY P&I : 1,878.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 66.34100 ---------------------------------------------------------------- 0 0031683162 MORTGAGORS: RUYLE DAN RUYLE SUSAN REGION CODE ADDRESS : 25722 CHRISANTA DRIVE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92691 MORTGAGE AMOUNT : 208,000.00 OPTION TO CONVERT : UNPAID BALANCE : 207,845.63 ANNUAL RATE ADJUST: MONTHLY P&I : 1,454.37 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,361,600.00 P & I AMT: 9,550.08 UPB AMT: 1,360,821.49 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 93 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031683212 MORTGAGORS: MC COY BRIAN MC COY GINA REGION CODE ADDRESS : 4394 NORTH CANOE BIRCH COURT 01 CITY : CONCORD STATE/ZIP : CA 94521 MORTGAGE AMOUNT : 184,800.00 OPTION TO CONVERT : UNPAID BALANCE : 184,672.82 ANNUAL RATE ADJUST: MONTHLY P&I : 1,339.93 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 78.97400 ---------------------------------------------------------------- 0 0031683303 MORTGAGORS: GILMAN STUART FINGAL-GILMAN CHRISTINA REGION CODE ADDRESS : 3622 SEGO STREET 01 CITY : IRVINE STATE/ZIP : CA 92606 MORTGAGE AMOUNT : 267,900.00 OPTION TO CONVERT : UNPAID BALANCE : 267,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,873.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.97000 ---------------------------------------------------------------- 0 0031683345 MORTGAGORS: FRALICK KENNETH FRALICK CYNTHIA REGION CODE ADDRESS : 39597 RODEFFER RD 01 CITY : LOVETTSVILLE STATE/ZIP : VA 20180 MORTGAGE AMOUNT : 264,400.00 OPTION TO CONVERT : UNPAID BALANCE : 264,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,848.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031683386 MORTGAGORS: KUMARASWAMY SUBRAMANIAN RAJAGOPAL PREETHIKA REGION CODE ADDRESS : 182 EPINOSA LANE 01 CITY : MOUNTAIN VIEW STATE/ZIP : CA 94043 MORTGAGE AMOUNT : 356,000.00 OPTION TO CONVERT : UNPAID BALANCE : 356,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,398.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031683444 MORTGAGORS: TIRADOR GABRIEL TIRADOR SANDRA REGION CODE ADDRESS : 11945 LAMBERT 01 CITY : TUSTIN STATE/ZIP : CA 92782 MORTGAGE AMOUNT : 430,000.00 OPTION TO CONVERT : UNPAID BALANCE : 430,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,006.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.78200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,503,100.00 P & I AMT: 10,466.91 UPB AMT: 1,502,972.82 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 94 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031683451 MORTGAGORS: BELL CRAIG STARK JOIE REGION CODE ADDRESS : 856 VENEZIA AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90291 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,857.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.58500 ---------------------------------------------------------------- 0 0031683469 MORTGAGORS: COOLEY STEVEN COOLEY LORI REGION CODE ADDRESS : 5575 PASEO JOAQUIN 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 332,000.00 OPTION TO CONVERT : UNPAID BALANCE : 332,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,321.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031683477 MORTGAGORS: KENNELLY PAUL KENNELLY DENISE REGION CODE ADDRESS : 3816 JASON CIRCLE 01 CITY : TORRANCE STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 368,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,573.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031683485 MORTGAGORS: KEITH DOUGLAS KEITH JOYCEANN REGION CODE ADDRESS : 11354 WATERFORD STREET 01 CITY : LOS ANGELES STATE/ZIP : CA 90049 MORTGAGE AMOUNT : 364,000.00 OPTION TO CONVERT : UNPAID BALANCE : 364,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,545.14 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 70.67900 ---------------------------------------------------------------- 0 0031683543 MORTGAGORS: WALTON WARREN WALTON KAREN REGION CODE ADDRESS : 438 STONEMONT DR 01 CITY : WESTON STATE/ZIP : FL 33326 MORTGAGE AMOUNT : 257,500.00 OPTION TO CONVERT : UNPAID BALANCE : 257,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,800.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 88.79300 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,590,500.00 P & I AMT: 11,098.04 UPB AMT: 1,590,500.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 95 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031683634 MORTGAGORS: BECK DAVID BECK DARLA REGION CODE ADDRESS : 4158 STERLINGVIEW DRIVE 01 CITY : MOORPARK STATE/ZIP : CA 93021 MORTGAGE AMOUNT : 393,750.00 OPTION TO CONVERT : UNPAID BALANCE : 393,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,686.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031683683 MORTGAGORS: DYE CAROLYN REGION CODE ADDRESS : 2804 WESTBROOK AVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90046 MORTGAGE AMOUNT : 335,750.00 OPTION TO CONVERT : UNPAID BALANCE : 335,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,347.61 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.46800 ---------------------------------------------------------------- 0 0031683709 MORTGAGORS: ARIAN LEE ARIAN NORA REGION CODE ADDRESS : 4852 BEN AVENUE 01 CITY : LOS ANGELES (VALLEY VILLA STATE/ZIP : CA 91607 MORTGAGE AMOUNT : 318,700.00 OPTION TO CONVERT : UNPAID BALANCE : 318,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,255.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.73100 ---------------------------------------------------------------- 0 0031683725 MORTGAGORS: FULLER RICHARD FULLER ANN REGION CODE ADDRESS : 6051 GREENBRIER DRIVE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 342,000.00 OPTION TO CONVERT : UNPAID BALANCE : 342,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,391.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.80100 ---------------------------------------------------------------- 0 0031683816 MORTGAGORS: BURCHER EUGENE BURCHER JULIA REGION CODE ADDRESS : 8914 CROSS CHASE CIRCLE 01 CITY : LORTON STATE/ZIP : VA 22079 MORTGAGE AMOUNT : 235,200.00 OPTION TO CONVERT : UNPAID BALANCE : 235,016.52 ANNUAL RATE ADJUST: MONTHLY P&I : 1,604.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,625,400.00 P & I AMT: 11,285.22 UPB AMT: 1,625,216.52 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 96 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031683857 MORTGAGORS: VIOLA MARK VIOLA LAURA REGION CODE ADDRESS : 10345 SOUTH LIONS HEART 01 CITY : LITTLETON STATE/ZIP : CO 80124 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 255,784.93 ANNUAL RATE ADJUST: MONTHLY P&I : 1,681.74 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031683865 MORTGAGORS: FERNANDES RICHARD FERNANDES JANAN REGION CODE ADDRESS : 11011 NW 3 STREET 01 CITY : PLANTATION STATE/ZIP : FL 33324 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 257,808.53 ANNUAL RATE ADJUST: MONTHLY P&I : 1,803.97 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.14100 ---------------------------------------------------------------- 0 0031683881 MORTGAGORS: BRANKER-WADE LINDA WADE BARRY REGION CODE ADDRESS : 545 BIRCHAM WAY 01 CITY : ROSWELL STATE/ZIP : GA 30076 MORTGAGE AMOUNT : 271,700.00 OPTION TO CONVERT : UNPAID BALANCE : 271,488.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,853.47 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031683907 MORTGAGORS: CAVAZZONI MARCO CAVAZZONI DIANE REGION CODE ADDRESS : 420 OSGOOD COURT 01 CITY : LAGUNA BEACH STATE/ZIP : CA 92651 MORTGAGE AMOUNT : 243,000.00 OPTION TO CONVERT : UNPAID BALANCE : 243,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,699.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.93700 ---------------------------------------------------------------- 0 0031684525 MORTGAGORS: ULLMAN DAVID WALSH MARIAN REGION CODE ADDRESS : 171 RIVER PARK DRIVE 01 CITY : GREAT FALLS STATE/ZIP : VA 22066 MORTGAGE AMOUNT : 324,600.00 OPTION TO CONVERT : UNPAID BALANCE : 323,854.43 ANNUAL RATE ADJUST: MONTHLY P&I : 2,241.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 33.29200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,353,300.00 P & I AMT: 9,280.21 UPB AMT: 1,351,935.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 97 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031684558 MORTGAGORS: WARYAS EDWARD WARYAS PAMELA REGION CODE ADDRESS : 213 JAMES LANDING CIRCLE 01 CITY : SMITHFIELD STATE/ZIP : VA 23430 MORTGAGE AMOUNT : 327,200.00 OPTION TO CONVERT : UNPAID BALANCE : 326,662.03 ANNUAL RATE ADJUST: MONTHLY P&I : 2,176.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 78.55900 ---------------------------------------------------------------- 0 0031684640 MORTGAGORS: JORSS AILEEN JORSS PERRY REGION CODE ADDRESS : 13603 ANCHOR COVE COURT 01 CITY : ROCKVILLE STATE/ZIP : MD 20850 MORTGAGE AMOUNT : 311,700.00 OPTION TO CONVERT : UNPAID BALANCE : 311,468.67 ANNUAL RATE ADJUST: MONTHLY P&I : 2,179.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 55.35100 ---------------------------------------------------------------- 0 0031684657 MORTGAGORS: SCHREIBER SCOTT SCHREIBER EVELYN REGION CODE ADDRESS : 5833 E INDINA SCHOOL ROAD 01 CITY : PHOENIX STATE/ZIP : AZ 85018 MORTGAGE AMOUNT : 236,250.00 OPTION TO CONVERT : UNPAID BALANCE : 235,851.92 ANNUAL RATE ADJUST: MONTHLY P&I : 1,552.00 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031684707 MORTGAGORS: EINHORN ARTHUR SHARER JULIANNE REGION CODE ADDRESS : 214 WESTWOOD ROAD 01 CITY : STAMFORD STATE/ZIP : CT 06902 MORTGAGE AMOUNT : 314,300.00 OPTION TO CONVERT : UNPAID BALANCE : 312,881.50 ANNUAL RATE ADJUST: MONTHLY P&I : 2,091.05 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 71.43100 ---------------------------------------------------------------- 0 0031684715 MORTGAGORS: JARIS WILLIAM JARIS KATHERINE REGION CODE ADDRESS : 281 THE PARKWAY 01 CITY : HARRINGTON PARK STATE/ZIP : NJ 07640 MORTGAGE AMOUNT : 295,000.00 OPTION TO CONVERT : UNPAID BALANCE : 294,752.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,937.94 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 69.41100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,484,450.00 P & I AMT: 9,937.32 UPB AMT: 1,481,616.29 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 98 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031684749 MORTGAGORS: FROMER GARY BUB FROMER CAROL REGION CODE ADDRESS : 1450 DEERFIELD DRIVE 01 CITY : ALLENTOWN STATE/ZIP : PA 18104 MORTGAGE AMOUNT : 261,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,591.56 ANNUAL RATE ADJUST: MONTHLY P&I : 1,780.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 77.91000 ---------------------------------------------------------------- 0 0031684772 MORTGAGORS: PALVIK THOMAS PALVIK KATHY REGION CODE ADDRESS : 246 AMHERST MEADON 01 CITY : BARTLETT STATE/ZIP : IL 60103 MORTGAGE AMOUNT : 277,000.00 OPTION TO CONVERT : UNPAID BALANCE : 276,285.95 ANNUAL RATE ADJUST: MONTHLY P&I : 1,842.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.73100 ---------------------------------------------------------------- 0 0031685399 MORTGAGORS: NGUYEN TIEN NGUYEN CHRISTINE REGION CODE ADDRESS : 311 SOUTH YORKSHIRE CIRCLE 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 373,000.00 OPTION TO CONVERT : UNPAID BALANCE : 373,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,576.22 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 89.87900 ---------------------------------------------------------------- 0 0031685407 MORTGAGORS: VITTACHI KITSIRI VITTACHI SHEROMIE REGION CODE ADDRESS : 3834 CALLE MAZATLAN 01 CITY : NEWBURY PARK STATE/ZIP : CA 91320 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,678.12 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031685498 MORTGAGORS: PEACOCK DAVID BOWEN LIDA REGION CODE ADDRESS : 1075 MANDEVILLA WAY 01 CITY : CORONA STATE/ZIP : CA 91719 MORTGAGE AMOUNT : 286,000.00 OPTION TO CONVERT : UNPAID BALANCE : 286,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,951.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 88.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,437,000.00 P & I AMT: 9,828.75 UPB AMT: 1,435,877.51 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 99 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031685514 MORTGAGORS: ROSS SHERYL REGION CODE ADDRESS : 953 25TH STREET 01 CITY : SANTA MONICA STATE/ZIP : CA 90403 MORTGAGE AMOUNT : 556,000.00 OPTION TO CONVERT : UNPAID BALANCE : 556,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,887.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 57.02500 ---------------------------------------------------------------- 0 0031685563 MORTGAGORS: BAKER CHRISTINE BAKER JON REGION CODE ADDRESS : 12067 WOODED VISTA LANE 01 CITY : SAN DIEGO STATE/ZIP : CA 92128 MORTGAGE AMOUNT : 306,000.00 OPTION TO CONVERT : UNPAID BALANCE : 306,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,139.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 87.93100 ---------------------------------------------------------------- 0 0031685589 MORTGAGORS: NOLLS STEVEN LUBETICH-NOLLS LORI REGION CODE ADDRESS : 27 ROCKINGHORSE ROAD 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 460,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,099.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 64.33500 ---------------------------------------------------------------- 0 0031685605 MORTGAGORS: DELEON JOAN REGION CODE ADDRESS : 5813 EAST MUIR DRIVE 01 CITY : ORANGE STATE/ZIP : CA 92660 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,756.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031685613 MORTGAGORS: MILCH ROBERT MILCH SUSAN REGION CODE ADDRESS : 2318 MASTERS ROAD 01 CITY : CARLSBAD STATE/ZIP : CA 92008 MORTGAGE AMOUNT : 259,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,855.51 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 72.95700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,845,000.00 P & I AMT: 12,738.26 UPB AMT: 1,845,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 100 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031685639 MORTGAGORS: GROB LESLEY REGION CODE ADDRESS : 9229 SKYLINE BOULEVARD 01 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031685654 MORTGAGORS: GERARDO RALPH GERARDO BERNADETTE REGION CODE ADDRESS : 3 TURANO 01 CITY : LAGUNA NIGEL STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 270,000.00 OPTION TO CONVERT : UNPAID BALANCE : 270,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,957.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 60.00000 ---------------------------------------------------------------- 0 0031685662 MORTGAGORS: PAJOUGH FARAMARZ SARAFIAN NASRIN REGION CODE ADDRESS : 265 SOUTH CLARK DRIVE 01 CITY : BEVERLY HILLS STATE/ZIP : CA 90211 MORTGAGE AMOUNT : 339,000.00 OPTION TO CONVERT : UNPAID BALANCE : 339,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,399.43 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 54.67700 ---------------------------------------------------------------- 0 0031685670 MORTGAGORS: O'NEIL GARY O'NEIL MARYANN REGION CODE ADDRESS : 265 CORSAIR WAY 01 CITY : SEAL BEACH STATE/ZIP : CA 90740 MORTGAGE AMOUNT : 299,000.00 OPTION TO CONVERT : UNPAID BALANCE : 299,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,014.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 75.88800 ---------------------------------------------------------------- 0 0031686132 MORTGAGORS: DEL HOYO GEORGE DEL HOYO DEBORAH REGION CODE ADDRESS : 14200 CHANDLER BOULEVARD 01 CITY : SHERMAN OAKS STATE/ZIP : CA 91423 MORTGAGE AMOUNT : 260,800.00 OPTION TO CONVERT : UNPAID BALANCE : 260,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,823.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,436,800.00 P & I AMT: 10,023.34 UPB AMT: 1,436,800.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 101 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031686165 MORTGAGORS: HUMPHREY TIMOTHY FLAHERTY LYNN REGION CODE ADDRESS : 11671 FOSTER ROAD 01 CITY : LOS ALAMITOS (AREA) STATE/ZIP : CA 90720 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,787.81 ANNUAL RATE ADJUST: MONTHLY P&I : 1,855.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031686173 MORTGAGORS: DINARI FARID ESFANDIARI MITRA REGION CODE ADDRESS : 61 PLAYMOUTH 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 288,000.00 OPTION TO CONVERT : UNPAID BALANCE : 288,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,013.74 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031686272 MORTGAGORS: FAIRCHILD PETER REGION CODE ADDRESS : 6222 GIRVIN DRIVE 01 CITY : OAKLAND STATE/ZIP : CA 94611 MORTGAGE AMOUNT : 341,000.00 OPTION TO CONVERT : UNPAID BALANCE : 341,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,384.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.67200 ---------------------------------------------------------------- 0 0031686280 MORTGAGORS: DAVIS MARK DAVIS SHANNA REGION CODE ADDRESS : 8024 EL MANOR 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 329,000.00 OPTION TO CONVERT : UNPAID BALANCE : 329,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 78.14700 ---------------------------------------------------------------- 0 0031686298 MORTGAGORS: GULLEDGE CHARLES GULLEDGE ANGELA REGION CODE ADDRESS : 584 GRIMSBY LANE 01 CITY : DANVILLE STATE/ZIP : CA 94506 MORTGAGE AMOUNT : 468,000.00 OPTION TO CONVERT : UNPAID BALANCE : 468,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,192.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,698,000.00 P & I AMT: 11,690.54 UPB AMT: 1,697,787.81 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 102 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031686322 MORTGAGORS: MOCCIA ANTHONY WARNER MICHELE REGION CODE ADDRESS : 4901 GAVIOTA AVENUE 01 CITY : ENCINO STATE/ZIP : CA 91436 MORTGAGE AMOUNT : 296,000.00 OPTION TO CONVERT : UNPAID BALANCE : 296,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,994.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031686447 MORTGAGORS: FISHER THEODORE LARSON JULIE REGION CODE ADDRESS : 10591 ALBA ROAD 01 CITY : BEN LOMOND STATE/ZIP : CA 95005 MORTGAGE AMOUNT : 224,000.00 OPTION TO CONVERT : UNPAID BALANCE : 224,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,547.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031686900 MORTGAGORS: SLUPIK RAMONA REGION CODE ADDRESS : 1826 N. BURLING 01 CITY : CHICAGO STATE/ZIP : IL 60614 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,734.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031686934 MORTGAGORS: JANHUNEN KIIRSTI HAATANEN TIMO REGION CODE ADDRESS : 12001 1ST AVENUE NW 01 CITY : SEATTLE STATE/ZIP : WA 98177 MORTGAGE AMOUNT : 233,700.00 OPTION TO CONVERT : UNPAID BALANCE : 233,539.17 ANNUAL RATE ADJUST: MONTHLY P&I : 1,694.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031686959 MORTGAGORS: GRIMES JAMES GRIMES MARYANN REGION CODE ADDRESS : 2590 BETHANY CREEK COURT 01 CITY : ALPHARETTA STATE/ZIP : GA 30004 MORTGAGE AMOUNT : 342,000.00 OPTION TO CONVERT : UNPAID BALANCE : 341,437.69 ANNUAL RATE ADJUST: MONTHLY P&I : 2,275.34 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 89.52800 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,343,700.00 P & I AMT: 9,245.21 UPB AMT: 1,342,976.86 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 103 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031686975 MORTGAGORS: KETZEL KEVIN REGION CODE ADDRESS : 301 W 54TH STREET 01 CITY : KANSAS CITY STATE/ZIP : MO 64112 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 246,632.24 ANNUAL RATE ADJUST: MONTHLY P&I : 1,727.06 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031686983 MORTGAGORS: HERDMAN ROBERT HERDMAN DEBORAH REGION CODE ADDRESS : 450 FAIRWAY DRIVE #755 01 CITY : MAMMOTH LAKES STATE/ZIP : CA 93546 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 324,503.87 ANNUAL RATE ADJUST: MONTHLY P&I : 2,244.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 77.38000 ---------------------------------------------------------------- 0 0031686991 MORTGAGORS: NGUYEN TUAN NGO HUYEN REGION CODE ADDRESS : 61 GRANDWELL WAY 01 CITY : SAN JOSE STATE/ZIP : CA 95138 MORTGAGE AMOUNT : 285,600.00 OPTION TO CONVERT : UNPAID BALANCE : 285,377.20 ANNUAL RATE ADJUST: MONTHLY P&I : 1,948.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0031687007 MORTGAGORS: ACKERMAN JAMES ACKERMAN LILIAN REGION CODE ADDRESS : 2407 MT. VERNON CHURCH ROAD 01 CITY : RALEIGH STATE/ZIP : NC 27614 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,430.38 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031687072 MORTGAGORS: DEGENESTE-FOULKES MICHELE REGION CODE ADDRESS : 1041 ELDER COURT 01 CITY : HERNDON STATE/ZIP : VA 20170 MORTGAGE AMOUNT : 122,200.00 OPTION TO CONVERT : UNPAID BALANCE : 121,993.46 ANNUAL RATE ADJUST: MONTHLY P&I : 802.77 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,227,800.00 P & I AMT: 8,435.71 UPB AMT: 1,225,937.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 104 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031687098 MORTGAGORS: PECKINS BRIAN PECKINS SANDRA REGION CODE ADDRESS : 7815 THORNFIELD COURT 01 CITY : FAIRFAX STATION STATE/ZIP : VA 22039 MORTGAGE AMOUNT : 263,700.00 OPTION TO CONVERT : UNPAID BALANCE : 263,047.13 ANNUAL RATE ADJUST: MONTHLY P&I : 1,754.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.65000 ---------------------------------------------------------------- 0 0031687106 MORTGAGORS: JOHNSON KIRK JOHNSON NANCY REGION CODE ADDRESS : 6298 RED FOX ESTATES COURT 01 CITY : SPRINGFIELD STATE/ZIP : VA 22153 MORTGAGE AMOUNT : 320,200.00 OPTION TO CONVERT : UNPAID BALANCE : 319,698.64 ANNUAL RATE ADJUST: MONTHLY P&I : 2,184.33 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- 0 0031687114 MORTGAGORS: SJAARDA RAYMOND DELAY TERRI REGION CODE ADDRESS : 40 SPRINGHILL FARM COURT 01 CITY : COCKEYSVILLE STATE/ZIP : MD 21030 MORTGAGE AMOUNT : 592,500.00 OPTION TO CONVERT : UNPAID BALANCE : 592,049.16 ANNUAL RATE ADJUST: MONTHLY P&I : 4,092.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031687262 MORTGAGORS: SALTER THOMAS SALTER ANNA REGION CODE ADDRESS : 6532 WEST 80TH PLACE 01 CITY : LOS ANGELES STATE/ZIP : CA 90045 MORTGAGE AMOUNT : 253,600.00 OPTION TO CONVERT : UNPAID BALANCE : 253,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,708.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031687296 MORTGAGORS: PEREZ JOSEPH PEREZ ELIZABETH REGION CODE ADDRESS : 225 CAMINO LA MADERA 01 CITY : CAMARILLO STATE/ZIP : CA 93010 MORTGAGE AMOUNT : 308,000.00 OPTION TO CONVERT : UNPAID BALANCE : 308,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,101.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,738,000.00 P & I AMT: 11,840.66 UPB AMT: 1,736,394.93 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 105 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031687320 MORTGAGORS: BUTLER KENNETH BUTLER KAREN REGION CODE ADDRESS : 4828 CABRILLO POINT 01 CITY : DISCOVERY BAY STATE/ZIP : CA 94514 MORTGAGE AMOUNT : 269,000.00 OPTION TO CONVERT : UNPAID BALANCE : 269,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,812.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.11700 ---------------------------------------------------------------- 0 0031687346 MORTGAGORS: SMITH MARGARET REGION CODE ADDRESS : 4451 SANTA MONICA AVENUE 01 CITY : SAN DIEGO STATE/ZIP : CA 92107 MORTGAGE AMOUNT : 265,000.00 OPTION TO CONVERT : UNPAID BALANCE : 265,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.87 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 74.64700 ---------------------------------------------------------------- 0 0031687361 MORTGAGORS: SCHIFF STEVEN SCHIFF JANET REGION CODE ADDRESS : 3408 BAYSIDE WALK 01 CITY : SAN DIEGO STATE/ZIP : CA 92109 MORTGAGE AMOUNT : 376,000.00 OPTION TO CONVERT : UNPAID BALANCE : 376,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,564.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031687437 MORTGAGORS: FARIA THOMAS REGION CODE ADDRESS : 3690 MILLPLAIN COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95121 MORTGAGE AMOUNT : 262,500.00 OPTION TO CONVERT : UNPAID BALANCE : 262,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,857.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031687478 MORTGAGORS: DES PRES TRISTAN DES PRES CAROLYN REGION CODE ADDRESS : 2907 LEVANTE STREET 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 305,000.00 OPTION TO CONVERT : UNPAID BALANCE : 305,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,132.60 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 89.97000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,477,500.00 P & I AMT: 10,108.73 UPB AMT: 1,477,500.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 106 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031687486 MORTGAGORS: HSIA CHORNG WU SHING REGION CODE ADDRESS : 18807 BELLEGROVE CIR, 01 CITY : SARATOGA STATE/ZIP : CA 95070 MORTGAGE AMOUNT : 345,000.00 OPTION TO CONVERT : UNPAID BALANCE : 345,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,441.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 34.50000 ---------------------------------------------------------------- 0 0031687528 MORTGAGORS: DEINES KENT DEINES CAROL REGION CODE ADDRESS : 13992 DODDER COURT 01 CITY : POWAY STATE/ZIP : CA 92064 MORTGAGE AMOUNT : 276,000.00 OPTION TO CONVERT : UNPAID BALANCE : 276,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,001.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 62.72700 ---------------------------------------------------------------- 0 0031687536 MORTGAGORS: RIZOS ALBERT RIZOS MICHELE REGION CODE ADDRESS : 1065 WATER VILLE LAKE RD 01 CITY : CHULA VISTA STATE/ZIP : CA 91915 MORTGAGE AMOUNT : 270,750.00 OPTION TO CONVERT : UNPAID BALANCE : 270,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,870.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031687544 MORTGAGORS: DUNFORD NICHOLAS REGION CODE ADDRESS : 948 SOUTH 2500 EAST 01 CITY : SPRINGVILLE STATE/ZIP : UT 84663 MORTGAGE AMOUNT : 256,000.00 OPTION TO CONVERT : UNPAID BALANCE : 256,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,856.18 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 79.77500 ---------------------------------------------------------------- 0 0031687569 MORTGAGORS: SENA PHILLIP BATTAGLIA CHARLENE REGION CODE ADDRESS : 455 NEVADA AVENUE 01 CITY : MOSS BEACH STATE/ZIP : CA 94038 MORTGAGE AMOUNT : 385,000.00 OPTION TO CONVERT : UNPAID BALANCE : 385,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,725.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 55.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,532,750.00 P & I AMT: 10,894.29 UPB AMT: 1,532,750.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 107 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031687585 MORTGAGORS: O'LEARY DONALD O'LEARY KIMBERLY REGION CODE ADDRESS : 9561 BLACKFIN CIRCLE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 271,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,848.70 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.94100 ---------------------------------------------------------------- 0 0031687593 MORTGAGORS: ZOURAS TASHI REGION CODE ADDRESS : 121 20TH STREET 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92648 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 349,740.24 ANNUAL RATE ADJUST: MONTHLY P&I : 2,447.26 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 74.78600 ---------------------------------------------------------------- 0 0031687601 MORTGAGORS: NELSON STEPHEN YOSHIDA BRIAN REGION CODE ADDRESS : 5 ASHMOUNT WAY 01 CITY : OAKLAND STATE/ZIP : CA 94610 MORTGAGE AMOUNT : 318,750.00 OPTION TO CONVERT : UNPAID BALANCE : 318,750.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,228.75 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031687619 MORTGAGORS: DIFRANCESCA LESLIE DIFRANCESCA CHANTAL REGION CODE ADDRESS : 30817 CATARINA DRIVE 01 CITY : WESTLAKE VILLAGE STATE/ZIP : CA 91362 MORTGAGE AMOUNT : 247,000.00 OPTION TO CONVERT : UNPAID BALANCE : 247,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,664.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 79.67700 ---------------------------------------------------------------- 0 0031687643 MORTGAGORS: MARTIN ROBERT MARTIN SUSAN REGION CODE ADDRESS : 544 HIGHLAND DRIVE 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 496,000.00 OPTION TO CONVERT : UNPAID BALANCE : 496,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,510.66 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.36000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,682,750.00 P & I AMT: 11,699.46 UPB AMT: 1,682,490.24 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 108 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031687668 MORTGAGORS: FUELLBORN WOLFGANG FUELLBORN JUDITH REGION CODE ADDRESS : 1961 WEST MACARTHUR STREET 01 CITY : RANCHO PALOS VERDES STATE/ZIP : CA 90275 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,826.11 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.38400 ---------------------------------------------------------------- 0 0031687684 MORTGAGORS: BEYER DANIEL BEYER CARMEN REGION CODE ADDRESS : 119 CLUB TERRACE 01 CITY : DANVILLE STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 352,000.00 OPTION TO CONVERT : UNPAID BALANCE : 352,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,521.78 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031687692 MORTGAGORS: BINDER STANLEY REGION CODE ADDRESS : 20815 JUNIPER AVENUE 01 CITY : YORBA LINDA STATE/ZIP : CA 92886 MORTGAGE AMOUNT : 282,800.00 OPTION TO CONVERT : UNPAID BALANCE : 282,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,050.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 70.70000 ---------------------------------------------------------------- 0 0031687825 MORTGAGORS: AMIDON KIM REGION CODE ADDRESS : 11769 CANTON PLACE 01 CITY : (STUDIO CITY AREA) LOS AN STATE/ZIP : CA 91604 MORTGAGE AMOUNT : 427,000.00 OPTION TO CONVERT : UNPAID BALANCE : 427,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,912.90 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 76.93600 ---------------------------------------------------------------- 0 0031687940 MORTGAGORS: HARRIS SCOTT HARRIS CONNIE REGION CODE ADDRESS : 86 ILKA LANE 01 CITY : MCCALL STATE/ZIP : ID 83638 MORTGAGE AMOUNT : 422,000.00 OPTION TO CONVERT : UNPAID BALANCE : 422,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,737.09 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 79.62200 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,741,800.00 P & I AMT: 12,048.38 UPB AMT: 1,741,800.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 109 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031688039 MORTGAGORS: DESAI SANDEEP DESAI RAMONA REGION CODE ADDRESS : 1138 CAMEO DRIVE 01 CITY : CAMPBELL STATE/ZIP : CA 95008 MORTGAGE AMOUNT : 381,800.00 OPTION TO CONVERT : UNPAID BALANCE : 381,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,702.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 71.36400 ---------------------------------------------------------------- 0 0031688062 MORTGAGORS: DAS RAJAT DAS MITHU REGION CODE ADDRESS : 5 MUIRFIELD 01 CITY : COTO DE CAZA AREA STATE/ZIP : CA 92679 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,202.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 73.25500 ---------------------------------------------------------------- 0 0031688096 MORTGAGORS: GIBSON BRETT GIBSON MARTA REGION CODE ADDRESS : 842 ELKRIDGE STREET 01 CITY : BREA STATE/ZIP : CA 92621 MORTGAGE AMOUNT : 248,000.00 OPTION TO CONVERT : UNPAID BALANCE : 248,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,608.52 OUTSIDE CONV DATE : LIFETIME RATE : 6.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.75000 PRODUCT CODE : 002 LTV : 78.73000 ---------------------------------------------------------------- 0 0031688153 MORTGAGORS: LUNDEN HARRY LUNDEN LISA REGION CODE ADDRESS : 1005 EDGEMEER COURT 01 CITY : SOUTH LAKE STATE/ZIP : TX 76092 MORTGAGE AMOUNT : 271,900.00 OPTION TO CONVERT : UNPAID BALANCE : 271,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,877.95 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99400 ---------------------------------------------------------------- 0 0031688161 MORTGAGORS: SECKAR STEPHEN SECKAR BRENDA REGION CODE ADDRESS : 730 TRAIL ROCK COURT 01 CITY : SIMI VALLEY STATE/ZIP : CA 93065 MORTGAGE AMOUNT : 251,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,755.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.17900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,467,700.00 P & I AMT: 10,146.39 UPB AMT: 1,467,700.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 110 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031688179 MORTGAGORS: SWEET RICHARD SWEET KAREN REGION CODE ADDRESS : 1171 BRUCKNER CIRCLE 01 CITY : MOUNTAIN VIEW STATE/ZIP : CA 94040 MORTGAGE AMOUNT : 498,000.00 OPTION TO CONVERT : UNPAID BALANCE : 498,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,482.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 66.40000 ---------------------------------------------------------------- 0 0031688211 MORTGAGORS: BRUMM JAMES BRUMM MARGARET REGION CODE ADDRESS : 21862 TUMBLEWEED CIRCLE 01 CITY : LAKE FOREST STATE/ZIP : CA 92630 MORTGAGE AMOUNT : 254,700.00 OPTION TO CONVERT : UNPAID BALANCE : 254,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,737.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0031688245 MORTGAGORS: MOLNAR FREDRICK CHOY-MOLNAR MICHELLE REGION CODE ADDRESS : 36 SANTA CLARA 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 250,000.00 OPTION TO CONVERT : UNPAID BALANCE : 250,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,748.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.46300 ---------------------------------------------------------------- 0 0031688252 MORTGAGORS: TEICHMANN THOMAS TEICHMANN HELOISE REGION CODE ADDRESS : 18792 GREGORY LANE 01 CITY : HUNTINGTON BEACH STATE/ZIP : CA 92646 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,272.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.31300 ---------------------------------------------------------------- 0 0031688260 MORTGAGORS: BINETTE HERVE BINETTE ANNETTE REGION CODE ADDRESS : 12822 PERIWINKLE DR 01 CITY : SANTA ANA AREA STATE/ZIP : CA 92705 MORTGAGE AMOUNT : 460,000.00 OPTION TO CONVERT : UNPAID BALANCE : 460,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,138.01 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 55.75700 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,787,700.00 P & I AMT: 12,378.09 UPB AMT: 1,787,700.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 111 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031688310 MORTGAGORS: RODRIGUEZ RICHARD RIOS SUSAN REGION CODE ADDRESS : 2650 SURREY DRIVE 01 CITY : COVINA STATE/ZIP : CA 91724 MORTGAGE AMOUNT : 269,400.00 OPTION TO CONVERT : UNPAID BALANCE : 268,592.71 ANNUAL RATE ADJUST: MONTHLY P&I : 1,883.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 02/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.25316 ---------------------------------------------------------------- 0 0031688328 MORTGAGORS: BAUER GEORGE BAUER JANE REGION CODE ADDRESS : 4220 DRIFTWOOD PLACE 01 CITY : DISCOVERY BAY STATE/ZIP : CA 94514 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 375,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,558.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.42800 ---------------------------------------------------------------- 0 0031688344 MORTGAGORS: GROSSMAN JASON REGION CODE ADDRESS : 5061 PETALUMA HILL ROAD 01 CITY : SANTA ROSA STATE/ZIP : CA 95404 MORTGAGE AMOUNT : 333,000.00 OPTION TO CONVERT : UNPAID BALANCE : 333,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,414.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.87500 PRODUCT CODE : 002 LTV : 72.39100 ---------------------------------------------------------------- 0 0031688351 MORTGAGORS: HULTBERG MIKE HULTBERG JOAN REGION CODE ADDRESS : 1599 WATERTROUGH ROAD 01 CITY : SEBASTOPOL STATE/ZIP : CA 95472 MORTGAGE AMOUNT : 340,000.00 OPTION TO CONVERT : UNPAID BALANCE : 340,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,290.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 72.49400 ---------------------------------------------------------------- 0 0031688419 MORTGAGORS: DUFFY MICHAEL DUFFY PATRICIA REGION CODE ADDRESS : 171 H LANE 01 CITY : NOVATO STATE/ZIP : CA 94945 MORTGAGE AMOUNT : 300,000.00 OPTION TO CONVERT : UNPAID BALANCE : 300,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,149.24 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 47.24400 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,617,400.00 P & I AMT: 11,296.21 UPB AMT: 1,616,592.71 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 112 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031688435 MORTGAGORS: MINDERLER KATHLEEN REGION CODE ADDRESS : 994 ROSA COURT 01 CITY : SUNNYVALE STATE/ZIP : CA 94086 MORTGAGE AMOUNT : 277,000.00 OPTION TO CONVERT : UNPAID BALANCE : 276,794.42 ANNUAL RATE ADJUST: MONTHLY P&I : 1,936.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.94800 ---------------------------------------------------------------- 0 0031688450 MORTGAGORS: TSAY CHEN-HUI LI MEI-CHUNG REGION CODE ADDRESS : 3821 THOMPSON CREEK COURT 01 CITY : SAN JOSE STATE/ZIP : CA 95135 MORTGAGE AMOUNT : 350,000.00 OPTION TO CONVERT : UNPAID BALANCE : 350,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,477.28 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 72.91600 ---------------------------------------------------------------- 0 0031688526 MORTGAGORS: KAO VICTOR KAO DEBBIE REGION CODE ADDRESS : 58 LEGACY WAY 01 CITY : IRVINE STATE/ZIP : CA 92602 MORTGAGE AMOUNT : 314,500.00 OPTION TO CONVERT : UNPAID BALANCE : 314,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,199.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 78.62500 ---------------------------------------------------------------- 0 0031689318 MORTGAGORS: KANAMARU NAOKI REGION CODE ADDRESS : 5451 SHARON LANE 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 341,600.00 OPTION TO CONVERT : UNPAID BALANCE : 341,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,330.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031689326 MORTGAGORS: MARTINEZ THOMAS MARTINEZ CAROL REGION CODE ADDRESS : 1140 KOTENBERG AVENUE 01 CITY : SAN JOSE STATE/ZIP : CA 95125 MORTGAGE AMOUNT : 450,000.00 OPTION TO CONVERT : UNPAID BALANCE : 450,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,993.87 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 66.17600 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,733,100.00 P & I AMT: 11,937.33 UPB AMT: 1,732,894.42 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 113 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031689334 MORTGAGORS: SHARMA ANIL SHARMA VIBHA REGION CODE ADDRESS : 8954 CANARY AVENUE 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 256,800.00 OPTION TO CONVERT : UNPAID BALANCE : 256,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,751.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031689342 MORTGAGORS: METSPAKYAN SARKIS METSPAKYAN VARTOUHI REGION CODE ADDRESS : 18520 ENTRADA COURT 01 CITY : NORTHRIDGE STATE/ZIP : CA 91326 MORTGAGE AMOUNT : 267,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,821.42 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.96400 ---------------------------------------------------------------- 0 0031689516 MORTGAGORS: ELIASON RANDALL KISER CHERIE REGION CODE ADDRESS : 1603 WALDEN DRIVE 01 CITY : MCLEAN STATE/ZIP : VA 22101 MORTGAGE AMOUNT : 487,600.00 OPTION TO CONVERT : UNPAID BALANCE : 486,798.28 ANNUAL RATE ADJUST: MONTHLY P&I : 3,244.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 79.99600 ---------------------------------------------------------------- 0 0031689557 MORTGAGORS: ST DENNIS STEPHEN ST DENNIS DAWN REGION CODE ADDRESS : 8295 ROBIN MARIE PLACE 01 CITY : GAINESVILLE STATE/ZIP : VA 20155 MORTGAGE AMOUNT : 223,150.00 OPTION TO CONVERT : UNPAID BALANCE : 222,980.19 ANNUAL RATE ADJUST: MONTHLY P&I : 1,541.25 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99700 ---------------------------------------------------------------- 0 0031689565 MORTGAGORS: CARROLL JOHN CARROLL ANNE REGION CODE ADDRESS : 3054 LINDSEY COURT 01 CITY : IJAMSVILLE STATE/ZIP : MD 21754 MORTGAGE AMOUNT : 263,500.00 OPTION TO CONVERT : UNPAID BALANCE : 263,294.44 ANNUAL RATE ADJUST: MONTHLY P&I : 1,797.54 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98900 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,498,050.00 P & I AMT: 10,156.06 UPB AMT: 1,496,872.91 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 114 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031689631 MORTGAGORS: WILDING MARK WILDING DARCY REGION CODE ADDRESS : 5326 DONNA AVENUE 01 CITY : TARZANA STATE/ZIP : CA 91356 MORTGAGE AMOUNT : 536,000.00 OPTION TO CONVERT : UNPAID BALANCE : 536,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,702.02 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031689813 MORTGAGORS: SVEC FRANTISEK SVECOVA HANA REGION CODE ADDRESS : 1 DOW COURT 01 CITY : ALAMEDA STATE/ZIP : CA 94501 MORTGAGE AMOUNT : 238,400.00 OPTION TO CONVERT : UNPAID BALANCE : 238,218.60 ANNUAL RATE ADJUST: MONTHLY P&I : 1,646.57 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.98577 ---------------------------------------------------------------- 0 0031689912 MORTGAGORS: FOX LINSTER FOX LESLIE REGION CODE ADDRESS : 11632 CANDY ROSE WAY 01 CITY : SAN DIEGO STATE/ZIP : CA 92131 MORTGAGE AMOUNT : 330,750.00 OPTION TO CONVERT : UNPAID BALANCE : 330,491.98 ANNUAL RATE ADJUST: MONTHLY P&I : 2,256.30 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.97959 ---------------------------------------------------------------- 0 0031689938 MORTGAGORS: KRAJNIAK MARK KRAJINIAK MARY REGION CODE ADDRESS : 5800 BUCKHORN LAKE RD 01 CITY : HIGHLAND STATE/ZIP : MI 48357 MORTGAGE AMOUNT : 375,000.00 OPTION TO CONVERT : UNPAID BALANCE : 374,455.44 ANNUAL RATE ADJUST: MONTHLY P&I : 2,654.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.31900 ---------------------------------------------------------------- 0 0031689979 MORTGAGORS: LAETHEM JOSEPH PROCTOR LAETHEM MARY REGION CODE ADDRESS : 3590 ROLAND 01 CITY : BLOOMFEILD HILLS STATE/ZIP : MI 48301 MORTGAGE AMOUNT : 382,500.00 OPTION TO CONVERT : UNPAID BALANCE : 382,223.16 ANNUAL RATE ADJUST: MONTHLY P&I : 2,707.31 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,862,650.00 P & I AMT: 12,966.43 UPB AMT: 1,861,389.18 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 115 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031690175 MORTGAGORS: SHELDON JEFFREY REGION CODE ADDRESS : 10429 SIOUX RIVER CIRCLE 01 CITY : FOUNTAIN VALLEY STATE/ZIP : CA 92708 MORTGAGE AMOUNT : 279,200.00 OPTION TO CONVERT : UNPAID BALANCE : 279,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,881.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031690217 MORTGAGORS: HADDAWY MARK REGION CODE ADDRESS : 1389 GRIZZLY PEAK BLVD 01 CITY : BERKELEY STATE/ZIP : CA 94708 MORTGAGE AMOUNT : 338,000.00 OPTION TO CONVERT : UNPAID BALANCE : 338,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,305.76 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 250 LTV : 77.34500 ---------------------------------------------------------------- 0 0031690290 MORTGAGORS: MALLOY THOMAS MALLOY GERALDINE REGION CODE ADDRESS : 15760 EL GATO LANE 01 CITY : LOS GATOS STATE/ZIP : CA 95032 MORTGAGE AMOUNT : 272,000.00 OPTION TO CONVERT : UNPAID BALANCE : 271,343.56 ANNUAL RATE ADJUST: MONTHLY P&I : 1,832.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 250 LTV : 85.00000 ---------------------------------------------------------------- 0 0031690324 MORTGAGORS: NOAH JONATHAN REGION CODE ADDRESS : 1523 1/4 NORTH DOHENY DRIVE 01 CITY : LOS ANGELES STATE/ZIP : CA 90069 MORTGAGE AMOUNT : 535,000.00 OPTION TO CONVERT : UNPAID BALANCE : 535,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,740.80 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 250 LTV : 62.94100 ---------------------------------------------------------------- 0 0031690365 MORTGAGORS: ATMADJIAN ARTO REGION CODE ADDRESS : 312 SOUTH EL CAMINO DRIVE 01 CITY : BEVERLY HILLS STATE/ZIP : CA 90212 MORTGAGE AMOUNT : 616,500.00 OPTION TO CONVERT : UNPAID BALANCE : 615,048.47 ANNUAL RATE ADJUST: MONTHLY P&I : 4,205.62 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 04/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 250 LTV : 75.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 2,040,700.00 P & I AMT: 13,965.73 UPB AMT: 2,038,592.03 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 116 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031690423 MORTGAGORS: BARRETT JAMES KOVACEVICH-BARRETT SUZANNE REGION CODE ADDRESS : 7073 WILDERNESS CIRCLE 01 CITY : SAN JOSE STATE/ZIP : CA 95135 MORTGAGE AMOUNT : 365,250.00 OPTION TO CONVERT : UNPAID BALANCE : 365,250.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,553.88 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 71.61700 ---------------------------------------------------------------- 0 0031690985 MORTGAGORS: DANIELS DAVID DANIELS LINDA REGION CODE ADDRESS : 1009 STEAMBOAT VALLEY ROAD 01 CITY : LYONS STATE/ZIP : CO 80540 MORTGAGE AMOUNT : 323,000.00 OPTION TO CONVERT : UNPAID BALANCE : 322,760.29 ANNUAL RATE ADJUST: MONTHLY P&I : 2,258.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 95.00000 ---------------------------------------------------------------- 0 0031691066 MORTGAGORS: HART JUDY REGION CODE ADDRESS : 15520 LEONARD 01 CITY : SPRING LAKE STATE/ZIP : MI 49456 MORTGAGE AMOUNT : 368,000.00 OPTION TO CONVERT : UNPAID BALANCE : 367,478.86 ANNUAL RATE ADJUST: MONTHLY P&I : 2,636.40 OUTSIDE CONV DATE : LIFETIME RATE : 7.75000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.75000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031691595 MORTGAGORS: BROWN JEFFREY BROWN ALENE REGION CODE ADDRESS : 5 CECELIA LANE 01 CITY : NOVATO STATE/ZIP : CA 94947 MORTGAGE AMOUNT : 284,000.00 OPTION TO CONVERT : UNPAID BALANCE : 284,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,865.68 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 71.00000 ---------------------------------------------------------------- 0 0031691603 MORTGAGORS: CONKLIN ROBERT JUNG KELLY REGION CODE ADDRESS : 8116 EAST CARNATION WAY 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 258,000.00 OPTION TO CONVERT : UNPAID BALANCE : 258,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,781.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 83.22500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,598,250.00 P & I AMT: 11,096.36 UPB AMT: 1,597,489.15 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 117 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031691645 MORTGAGORS: EBRAHIMZADEH JAMSHID ALIZADEH FUROOGH REGION CODE ADDRESS : 48 CEDAR TREE LANE 01 CITY : IRVINE STATE/ZIP : CA 92612 MORTGAGE AMOUNT : 319,200.00 OPTION TO CONVERT : UNPAID BALANCE : 319,200.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,204.64 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031691686 MORTGAGORS: RAMANAN SUKUMAR RAMANAN CHITRA REGION CODE ADDRESS : 26 PHILLIPSBURG 01 CITY : IRVINE STATE/ZIP : CA 92620 MORTGAGE AMOUNT : 264,000.00 OPTION TO CONVERT : UNPAID BALANCE : 264,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,868.58 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031692817 MORTGAGORS: SHEIN DAN ROSENBERG BETH REGION CODE ADDRESS : 320 WEST MCLELLAN BOULEVARD 01 CITY : PHOENIX STATE/ZIP : AZ 85013 MORTGAGE AMOUNT : 287,000.00 OPTION TO CONVERT : UNPAID BALANCE : 287,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,957.85 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.75000 ---------------------------------------------------------------- 0 0031692841 MORTGAGORS: LEUNG FRANCIS NG YIM HOR REGION CODE ADDRESS : 19218 VINEYARD LANE 01 CITY : SARATOGA STATE/ZIP : CA 95070 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 238,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,664.13 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 79.59800 ---------------------------------------------------------------- 0 0031693104 MORTGAGORS: MAUCH GEOFFREY MAUCH SUSAN REGION CODE ADDRESS : 272 MONTEGO KEY BLVD 01 CITY : NOVATO STATE/ZIP : CA 94949 MORTGAGE AMOUNT : 315,000.00 OPTION TO CONVERT : UNPAID BALANCE : 315,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,148.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 70.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,423,200.00 P & I AMT: 9,844.06 UPB AMT: 1,423,200.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 118 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031693112 MORTGAGORS: SUESS STEVEN SUESS MARTHA REGION CODE ADDRESS : 2980 REA COURT 01 CITY : AROMAS STATE/ZIP : CA 95004 MORTGAGE AMOUNT : 245,000.00 OPTION TO CONVERT : UNPAID BALANCE : 245,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,609.48 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 75.38400 ---------------------------------------------------------------- 0 0031693161 MORTGAGORS: RAMIREZ RONOEL RAMIREZ MICHELLE REGION CODE ADDRESS : 32687 RED MAPLE STREET 01 CITY : UNION CITY STATE/ZIP : CA 94587 MORTGAGE AMOUNT : 303,950.00 OPTION TO CONVERT : UNPAID BALANCE : 303,712.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,073.48 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98684 ---------------------------------------------------------------- 0 0031693179 MORTGAGORS: LOZANO ENRIQUE REGION CODE ADDRESS : 751 1ST AVENUE 01 CITY : CHULA VISTA STATE/ZIP : CA 91910 MORTGAGE AMOUNT : 141,600.00 OPTION TO CONVERT : UNPAID BALANCE : 141,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,039.02 OUTSIDE CONV DATE : LIFETIME RATE : 8.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 8.00000 PRODUCT CODE : 250 LTV : 80.00000 ---------------------------------------------------------------- 0 0031693237 MORTGAGORS: BESSER RONALD BESSER CHERYL REGION CODE ADDRESS : 1486 SASKATCHEWAN DRIVE 01 CITY : SUNNYVALE STATE/ZIP : CA 94087 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 260,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,751.67 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 52.00000 ---------------------------------------------------------------- 0 0031693385 MORTGAGORS: STEVENSON JOHN STEVENSON LAURA REGION CODE ADDRESS : 6591 PARK VALLEY DRIVE 01 CITY : CLARKSTON STATE/ZIP : MI 48348 MORTGAGE AMOUNT : 276,800.00 OPTION TO CONVERT : UNPAID BALANCE : 276,398.05 ANNUAL RATE ADJUST: MONTHLY P&I : 1,959.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 79.08500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,227,350.00 P & I AMT: 8,432.82 UPB AMT: 1,226,710.94 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 119 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0031693401 MORTGAGORS: KAZANJIAN PAUL TURNER DONNA REGION CODE ADDRESS : 4595 LOCH ALPINE DR WEST 01 CITY : ANN ARBOR STATE/ZIP : MI 48103 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 267,801.11 ANNUAL RATE ADJUST: MONTHLY P&I : 1,873.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 06/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0031693419 MORTGAGORS: ADKINS MICHAEL ADKINS NICOLE REGION CODE ADDRESS : 28445 CHATHAM 01 CITY : GROSSE ILE STATE/ZIP : MI 48138 MORTGAGE AMOUNT : 260,000.00 OPTION TO CONVERT : UNPAID BALANCE : 259,612.87 ANNUAL RATE ADJUST: MONTHLY P&I : 1,817.96 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 57.58500 ---------------------------------------------------------------- 0 0031693476 MORTGAGORS: D'ANNUNZIO DAVID D'ANNUNZIO LAURA REGION CODE ADDRESS : 949 CHESTERFIELD AVE. 01 CITY : BIRMINGHAM STATE/ZIP : MI 48009 MORTGAGE AMOUNT : 499,900.00 OPTION TO CONVERT : UNPAID BALANCE : 499,117.70 ANNUAL RATE ADJUST: MONTHLY P&I : 3,410.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.51600 ---------------------------------------------------------------- 0 0031693484 MORTGAGORS: RANSOM ROBERT RANSOM LYNN REGION CODE ADDRESS : 6477 MCKINLEY RD 01 CITY : FLUSHING STATE/ZIP : MI 48433 MORTGAGE AMOUNT : 386,250.00 OPTION TO CONVERT : UNPAID BALANCE : 385,674.89 ANNUAL RATE ADJUST: MONTHLY P&I : 2,700.72 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 05/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 75.00000 ---------------------------------------------------------------- 0 0031694144 MORTGAGORS: COMEAU JOHN REGION CODE ADDRESS : 26701 CACERES CIRCLE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92691 MORTGAGE AMOUNT : 240,000.00 OPTION TO CONVERT : UNPAID BALANCE : 240,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,637.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 68.57100 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,654,150.00 P & I AMT: 11,440.00 UPB AMT: 1,652,206.57 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 120 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070083316 MORTGAGORS: PRICE ROBERTA COLLINS COLEEN REGION CODE ADDRESS : 2576 HOLLY MANOR DRIVE 01 CITY : FALLS CHURC STATE/ZIP : VA 22043 MORTGAGE AMOUNT : 242,000.00 OPTION TO CONVERT : UNPAID BALANCE : 242,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,712.86 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 77.56410 ---------------------------------------------------------------- 0 0070102025 MORTGAGORS: ERICKSON RICHARD ERICKSON DIANNE REGION CODE ADDRESS : 1580 HERON LANE 01 CITY : MOUND STATE/ZIP : MN 55364 MORTGAGE AMOUNT : 236,400.00 OPTION TO CONVERT : UNPAID BALANCE : 236,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,652.94 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 72.73846 ---------------------------------------------------------------- 0 0070104534 MORTGAGORS: HOLLCRAFT RICHARD WILLIS HOLLC KAREN REGION CODE ADDRESS : 1311 CHELTEN WAY 01 CITY : SOUTH PASAD STATE/ZIP : CA 91030 MORTGAGE AMOUNT : 428,000.00 OPTION TO CONVERT : UNPAID BALANCE : 428,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,919.71 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 52.19512 ---------------------------------------------------------------- 0 0070108667 MORTGAGORS: PASSMAN SHAWN PASSMAN MARION REGION CODE ADDRESS : 2387 MAGNOLIA WAY 01 CITY : JAMISON STATE/ZIP : PA 18929 MORTGAGE AMOUNT : 254,700.00 OPTION TO CONVERT : UNPAID BALANCE : 254,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,694.53 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0070113493 MORTGAGORS: GOLDBECK ROBERT GOLDBECK JENNIFER REGION CODE ADDRESS : 303 WOODROW AVENUE 01 CITY : SANTA CRUZ STATE/ZIP : CA 95060 MORTGAGE AMOUNT : 237,500.00 OPTION TO CONVERT : UNPAID BALANCE : 237,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,640.35 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 67.85714 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,398,600.00 P & I AMT: 9,620.39 UPB AMT: 1,398,600.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 121 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070118419 MORTGAGORS: MARRIOTT GRAHAM MARRIOTT DEBORAH REGION CODE ADDRESS : 3473 PRIMERA AVENUE 01 CITY : LOS ANGELES STATE/ZIP : CA 90068 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,886.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 70.88608 ---------------------------------------------------------------- 0 0070119649 MORTGAGORS: SCHNEID STEVEN SCHNEID NITHINEE REGION CODE ADDRESS : 10930 BELLS RIDGE DRIVE 01 CITY : POTOMAC STATE/ZIP : MD 20854 MORTGAGE AMOUNT : 336,000.00 OPTION TO CONVERT : UNPAID BALANCE : 336,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,349.36 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070160478 MORTGAGORS: DUNPHY JEANNE REGION CODE ADDRESS : 3210 DRURY LANE 01 CITY : LOS ANGELES STATE/ZIP : CA 90039 MORTGAGE AMOUNT : 331,600.00 OPTION TO CONVERT : UNPAID BALANCE : 331,600.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,347.04 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 82.90000 ---------------------------------------------------------------- 0 0070178454 MORTGAGORS: TRAN ANDY TRAN TAMMY REGION CODE ADDRESS : 773 HAMILTON AVENUE 01 CITY : MILPITAS STATE/ZIP : CA 95035 MORTGAGE AMOUNT : 251,000.00 OPTION TO CONVERT : UNPAID BALANCE : 251,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,733.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 74.92537 ---------------------------------------------------------------- 0 0070191697 MORTGAGORS: MCCUTCHAN CHARLES MCCUTCHAN COLLENN REGION CODE ADDRESS : 5136 EAST KINGSGROVE DRIVE 01 CITY : SOMIS STATE/ZIP : CA 93066 MORTGAGE AMOUNT : 422,400.00 OPTION TO CONVERT : UNPAID BALANCE : 422,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,917.41 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 62.11765 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,621,000.00 P & I AMT: 11,233.81 UPB AMT: 1,621,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 122 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070193545 MORTGAGORS: LAWENDA JAMES LAWENDA KATHY REGION CODE ADDRESS : 35 COUNTRY LANE 01 CITY : BASKING RID STATE/ZIP : NJ 07920 MORTGAGE AMOUNT : 320,000.00 OPTION TO CONVERT : UNPAID BALANCE : 320,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,210.16 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.08511 ---------------------------------------------------------------- 0 0070197371 MORTGAGORS: YIM STEVEN HORII YIM RISE' REGION CODE ADDRESS : 1072 SOUTH LAUGHINGBROOK 01 CITY : ANAHEIM STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 175,000.00 OPTION TO CONVERT : UNPAID BALANCE : 175,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,208.68 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 68.62745 ---------------------------------------------------------------- 0 0070201702 MORTGAGORS: SAKAI KEN SAKAI LOREE REGION CODE ADDRESS : 4215 SW 54TH PLACE 01 CITY : Portland STATE/ZIP : OR 97221 MORTGAGE AMOUNT : 298,000.00 OPTION TO CONVERT : UNPAID BALANCE : 298,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,058.21 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.02000 ---------------------------------------------------------------- 0 0070203260 MORTGAGORS: CHRYSLER DANIEL CHRYSLER JEAN REGION CODE ADDRESS : 4769 137TH CIRCLE WEST 01 CITY : APPLE VALLE STATE/ZIP : MN 55124 MORTGAGE AMOUNT : 252,000.00 OPTION TO CONVERT : UNPAID BALANCE : 252,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,740.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070205224 MORTGAGORS: SKELTON STEVEN SKELTON KATHRYN REGION CODE ADDRESS : 9251 9TH STREET NORTH 01 CITY : LAKE ELMO STATE/ZIP : MN 55042 MORTGAGE AMOUNT : 341,000.00 OPTION TO CONVERT : UNPAID BALANCE : 341,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,384.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 85.25000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,386,000.00 P & I AMT: 9,601.87 UPB AMT: 1,386,000.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 123 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070213756 MORTGAGORS: BOOTHBY COLLEEN NORVELL GARY REGION CODE ADDRESS : 7219 HOLLY AVENUE 01 CITY : TAKOMA PARK STATE/ZIP : MD 20912 MORTGAGE AMOUNT : 325,000.00 OPTION TO CONVERT : UNPAID BALANCE : 325,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,135.02 OUTSIDE CONV DATE : LIFETIME RATE : 6.87500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 6.87500 PRODUCT CODE : 002 LTV : 74.71264 ---------------------------------------------------------------- 0 0070215900 MORTGAGORS: DUPLACK CURTIS DUPLACK DONNA REGION CODE ADDRESS : 1075 LIGHTHOUSE ROAD 01 CITY : CARLSBAD STATE/ZIP : CA 92009 MORTGAGE AMOUNT : 243,500.00 OPTION TO CONVERT : UNPAID BALANCE : 243,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,661.10 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 77.30159 ---------------------------------------------------------------- 0 0070218748 MORTGAGORS: DAVIES RONALD DAVIES MARY REGION CODE ADDRESS : 2252 GUNAR DRIVE 01 CITY : SAN JOSE STATE/ZIP : CA 95124 MORTGAGE AMOUNT : 323,100.00 OPTION TO CONVERT : UNPAID BALANCE : 323,100.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,149.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 68.74468 ---------------------------------------------------------------- 0 0070242458 MORTGAGORS: SCHEER ANDREW SCHEER CYNTHIA REGION CODE ADDRESS : 27337 EAGLEHELM DRIVE 01 CITY : SANTA CLARI STATE/ZIP : CA 91351 MORTGAGE AMOUNT : 263,150.00 OPTION TO CONVERT : UNPAID BALANCE : 263,150.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,795.15 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 55.40000 ---------------------------------------------------------------- 0 0070251632 MORTGAGORS: ANIK PAUL ANIK BARBARA REGION CODE ADDRESS : 4211 PICKNEY DRIVE 01 CITY : CALABASAS STATE/ZIP : CA 91302 MORTGAGE AMOUNT : 305,700.00 OPTION TO CONVERT : UNPAID BALANCE : 305,700.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,111.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 76.42500 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,460,450.00 P & I AMT: 9,852.25 UPB AMT: 1,460,450.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 124 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070258058 MORTGAGORS: SANCHEZ ANDREW SANCHEZ PATRICIA REGION CODE ADDRESS : 40 RUSTIC WAY 01 CITY : FREEHOLD STATE/ZIP : NJ 07728 MORTGAGE AMOUNT : 344,000.00 OPTION TO CONVERT : UNPAID BALANCE : 344,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,317.59 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 78.18182 ---------------------------------------------------------------- 0 0070259213 MORTGAGORS: GONZALEZ RODOLFO GONZALEZ TINA REGION CODE ADDRESS : 9938 RAVARI DRIVE 01 CITY : Cypress STATE/ZIP : CA 90630 MORTGAGE AMOUNT : 304,000.00 OPTION TO CONVERT : UNPAID BALANCE : 304,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,022.52 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 76.38000 ---------------------------------------------------------------- 0 0070261821 MORTGAGORS: ROSEN LEWIS ROSEN BELINDA REGION CODE ADDRESS : 1052 HIGH STREET 01 CITY : Palo Alto STATE/ZIP : CA 94301 MORTGAGE AMOUNT : 297,500.00 OPTION TO CONVERT : UNPAID BALANCE : 297,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,105.69 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 37.19000 ---------------------------------------------------------------- 0 0070268685 MORTGAGORS: RUOTOLO KENNETH RUOTOLO GINA REGION CODE ADDRESS : 1674 Stanmore Drive 01 CITY : Pleasant Hill STATE/ZIP : CA 94523 MORTGAGE AMOUNT : 327,800.00 OPTION TO CONVERT : UNPAID BALANCE : 327,800.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,264.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 79.99000 ---------------------------------------------------------------- 0 0070270640 MORTGAGORS: ESTEBAN STEVE ESTEBAN THELMA REGION CODE ADDRESS : 30875 RIVERA PLACE 01 CITY : Laguna Niguel STATE/ZIP : CA 92677 MORTGAGE AMOUNT : 273,500.00 OPTION TO CONVERT : UNPAID BALANCE : 273,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,935.82 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 70.13000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,546,800.00 P & I AMT: 10,645.65 UPB AMT: 1,546,800.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 125 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070271036 MORTGAGORS: CONKLIN DOUGLAS CONKLIN LINDA REGION CODE ADDRESS : 14944 ANILLO WAY 01 CITY : Rancho Murieta STATE/ZIP : CA 95683 MORTGAGE AMOUNT : 344,000.00 OPTION TO CONVERT : UNPAID BALANCE : 344,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,375.92 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070272133 MORTGAGORS: ANDREWS SUSAN REGION CODE ADDRESS : 8 ELLEN ROSE COURT 01 CITY : Sacramento STATE/ZIP : CA 95831 MORTGAGE AMOUNT : 248,500.00 OPTION TO CONVERT : UNPAID BALANCE : 248,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,737.55 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 76.46000 ---------------------------------------------------------------- 0 0070278353 MORTGAGORS: KOMIN KEVIN KOMIN BRENDA REGION CODE ADDRESS : 8322 E QUIET CANYON COURT 01 CITY : Anaheim HILLS STATE/ZIP : CA 92808 MORTGAGE AMOUNT : 252,850.00 OPTION TO CONVERT : UNPAID BALANCE : 252,850.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,703.50 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.98000 ---------------------------------------------------------------- 0 0070278734 MORTGAGORS: FRACCHIA ANDREW FRACCHIA GILDA REGION CODE ADDRESS : 1092 DUNFORD WAY 01 CITY : Sunnyvale STATE/ZIP : CA 94087 MORTGAGE AMOUNT : 303,000.00 OPTION TO CONVERT : UNPAID BALANCE : 303,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,066.99 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 71.29000 ---------------------------------------------------------------- 0 0070280342 MORTGAGORS: HEWITT JON HEWITT ANN REGION CODE ADDRESS : 961 EICHLER DRIVE 01 CITY : Mountain View STATE/ZIP : CA 94040 MORTGAGE AMOUNT : 321,500.00 OPTION TO CONVERT : UNPAID BALANCE : 321,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,193.20 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 57.41000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,469,850.00 P & I AMT: 10,077.16 UPB AMT: 1,469,850.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 126 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070281746 MORTGAGORS: STILL GREGORY STILL SHERYL REGION CODE ADDRESS : 22365 SW 102ND PLACE 01 CITY : Tualatin STATE/ZIP : OR 97062 MORTGAGE AMOUNT : 281,500.00 OPTION TO CONVERT : UNPAID BALANCE : 281,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,992.44 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 78.19000 ---------------------------------------------------------------- 0 0070284005 MORTGAGORS: FLEURY DENISE DIBELLO RICHARD REGION CODE ADDRESS : 303 AVENIDA SALVADOR 01 CITY : San Clemente STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 328,500.00 OPTION TO CONVERT : UNPAID BALANCE : 328,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,213.17 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 90.00000 ---------------------------------------------------------------- 0 0070284559 MORTGAGORS: STEPIEN MATTHEW REGION CODE ADDRESS : 26521 GRANVIA DRIVE 01 CITY : MISSION VIEJO STATE/ZIP : CA 92691 MORTGAGE AMOUNT : 238,000.00 OPTION TO CONVERT : UNPAID BALANCE : 238,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,603.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 85.00000 ---------------------------------------------------------------- 0 0070284567 MORTGAGORS: RIOTOC JORGE RIOTOC ANNE REGION CODE ADDRESS : 2280 CAMINO BRAZOS 01 CITY : Pleasanton STATE/ZIP : CA 94566 MORTGAGE AMOUNT : 358,000.00 OPTION TO CONVERT : UNPAID BALANCE : 358,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,503.19 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070286521 MORTGAGORS: PLANTE BARBARA REGION CODE ADDRESS : 3207 BRIDLE DRIVE 01 CITY : Hayward STATE/ZIP : CA 94541 MORTGAGE AMOUNT : 238,500.00 OPTION TO CONVERT : UNPAID BALANCE : 238,500.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,667.63 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 86.73000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,444,500.00 P & I AMT: 9,979.88 UPB AMT: 1,444,500.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 127 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070286943 MORTGAGORS: BOULE DAVID GIMBRONE MARCIA REGION CODE ADDRESS : 22917 FONTHILL AVE. 01 CITY : Torrance STATE/ZIP : CA 90505 MORTGAGE AMOUNT : 269,450.00 OPTION TO CONVERT : UNPAID BALANCE : 269,450.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,884.03 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 69.99000 ---------------------------------------------------------------- 0 0070287479 MORTGAGORS: MANNING ARTHUR MANNING MARLENE REGION CODE ADDRESS : 603 CALLE DEL CERRITO 01 CITY : SAN CLEMENTE STATE/ZIP : CA 92672 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,455.83 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070287917 MORTGAGORS: PROWSE CHRISTOPHER PROWSE YVONNE REGION CODE ADDRESS : 2065 BALBOA AVENUE 01 CITY : Del Mar STATE/ZIP : CA 92014 MORTGAGE AMOUNT : 360,000.00 OPTION TO CONVERT : UNPAID BALANCE : 360,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,395.09 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 52.17000 ---------------------------------------------------------------- 0 0070290952 MORTGAGORS: SOKAT THOMAS SOKAT SUSAN REGION CODE ADDRESS : 1019 Hill Meadow Place 01 CITY : Danville STATE/ZIP : CA 94526 MORTGAGE AMOUNT : 319,000.00 OPTION TO CONVERT : UNPAID BALANCE : 319,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,230.49 OUTSIDE CONV DATE : LIFETIME RATE : 7.50000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.50000 PRODUCT CODE : 002 LTV : 61.46000 ---------------------------------------------------------------- 0 0070291224 MORTGAGORS: VERNOT JONATHAN VERNOT AGNES REGION CODE ADDRESS : 35826 HIBISCUS COURT 01 CITY : Fremont STATE/ZIP : CA 94536 MORTGAGE AMOUNT : 318,400.00 OPTION TO CONVERT : UNPAID BALANCE : 318,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,118.32 OUTSIDE CONV DATE : LIFETIME RATE : 7.00000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.00000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,626,850.00 P & I AMT: 11,083.76 UPB AMT: 1,626,850.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 128 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070293832 MORTGAGORS: LATHRUM LARRY REGION CODE ADDRESS : 10895 OSTERMAN AVENUE 01 CITY : Tustin STATE/ZIP : CA 92680 MORTGAGE AMOUNT : 295,900.00 OPTION TO CONVERT : UNPAID BALANCE : 295,900.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,018.56 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 79.98000 ---------------------------------------------------------------- 0 0070294244 MORTGAGORS: MARKUSKI VICTOR MARKUSKI LINDA REGION CODE ADDRESS : 2421 FOX CREEK LANE 01 CITY : Davidsonville STATE/ZIP : MD 21035 MORTGAGE AMOUNT : 495,000.00 OPTION TO CONVERT : UNPAID BALANCE : 495,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 3,376.77 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 73.33000 ---------------------------------------------------------------- 0 0070295175 MORTGAGORS: LOON JIMMY CHENG LOON NANCY REGION CODE ADDRESS : 23553 SPIRES STREET 01 CITY : West Hills STATE/ZIP : CA 91304 MORTGAGE AMOUNT : 268,000.00 OPTION TO CONVERT : UNPAID BALANCE : 268,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,828.23 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070298153 MORTGAGORS: BAUER THOMAS BAUER DONA REGION CODE ADDRESS : 2200 MARSHALLFIELD LANE 01 CITY : Redondo Beach STATE/ZIP : CA 90278 MORTGAGE AMOUNT : 346,000.00 OPTION TO CONVERT : UNPAID BALANCE : 346,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,331.07 OUTSIDE CONV DATE : LIFETIME RATE : 7.12500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.12500 PRODUCT CODE : 002 LTV : 89.87000 ---------------------------------------------------------------- 0 0070299748 MORTGAGORS: RIEGLE K. REGION CODE ADDRESS : 21912 DREXEL WAY 01 CITY : Lake Forest STATE/ZIP : CA 92630 MORTGAGE AMOUNT : 280,000.00 OPTION TO CONVERT : UNPAID BALANCE : 280,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,933.89 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 5 LOAN AMT: 1,684,900.00 P & I AMT: 11,488.52 UPB AMT: 1,684,900.00 1 GE CAPITAL MORTGAGE SERVICES, INC. EXHIBIT C ISSUE DATE: 07/01/98 P.O. BOX 5260 TMS AG000498123D 01 PAGE: 129 CHERRY HILL, N.J. 08034 (800) 257-7818 0 ---------------------------------------------------------------- 0 0070304332 MORTGAGORS: BARTH WILLIAM REGION CODE ADDRESS : 26196 BUSCADOR 01 CITY : Mission Viejo STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 236,000.00 OPTION TO CONVERT : UNPAID BALANCE : 236,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,670.39 OUTSIDE CONV DATE : LIFETIME RATE : 7.62500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.62500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070306949 MORTGAGORS: EMDAD ALI EMDAD KATHLEEN REGION CODE ADDRESS : 3704 MEADOW HILL CT 01 CITY : Phoenix STATE/ZIP : MD 21131 MORTGAGE AMOUNT : 392,000.00 OPTION TO CONVERT : UNPAID BALANCE : 392,000.00 ANNUAL RATE ADJUST: MONTHLY P&I : 2,707.45 OUTSIDE CONV DATE : LIFETIME RATE : 7.37500 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.37500 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- 0 0070317946 MORTGAGORS: WARTENBERG PAUL WARTENBERG STACEY REGION CODE ADDRESS : 30 HARVESTON 01 CITY : Mission Viejo STATE/ZIP : CA 92692 MORTGAGE AMOUNT : 254,400.00 OPTION TO CONVERT : UNPAID BALANCE : 254,400.00 ANNUAL RATE ADJUST: MONTHLY P&I : 1,735.46 OUTSIDE CONV DATE : LIFETIME RATE : 7.25000 MATURITY DATE : 07/01/28 CURRENT INT RATE: 7.25000 PRODUCT CODE : 002 LTV : 80.00000 ---------------------------------------------------------------- - - **** PAGE TOTALS ***** NUM OF LOANS: 3 LOAN AMT: 882,400.00 P & I AMT: 6,113.30 UPB AMT: 882,400.00 0 TOTAL NUM OF LOANS: 643 LOAN AMT: 201,463,096.00 P & I AMT: 1,392,057.45 UPB AMT: 201,364,346.26 EXHIBIT D FORM OF SERVICER'S CERTIFICATE ________________, ______ (month) (year) GE CAPITAL MORTGAGE SERVICES, INC. REMIC Multi-Class Pass-Through Certificates, Series 1998-12 Pursuant to the Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between GE Capital Mortgage Services, Inc. (the "Company"), and State Street Bank and Trust Company (the "Trustee"), governing the Certificates referred to above, the Company hereby certifies to the Trustee: With respect to the Agreement and as of the Determination Date for this month: A. Mortgage Loan Information: (1) Aggregate Scheduled Monthly Payments: Pool 1 Pool 2 Pool 3 Pool 4 (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ (2) Aggregate Monthly Payments received and Monthly Advances made this month: (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ (3) Aggregate Principal Prepayments in part received and applied in the applicable Prepayment Period: (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ (4) Aggregate Principal Prepayments in full received in the applicable Prepayment Period: (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ D-1 (5) Aggregate Insurance Proceeds (including purchases of Mortgage Loans by primary mortgage insurers) for prior month: Pool 1 Pool 2 Pool 3 Pool 4 (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ (6) Aggregate Liquidation Proceeds for prior month: (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ (7) Aggregate Purchase Prices for Defaulted and Modified Mortgage Loans: (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ (8) Aggregate Purchase Prices (and substitution adjustments) for Defective Mortgage Loans: (a) Principal $__________ $__________ $__________ $__________ (b) Interest $__________ $__________ $__________ $__________ (c) Total $__________ $__________ $__________ $__________ (9) Pool Scheduled Principal Balance $__________ $__________ $__________ $__________ (10) Available Funds: $__________ $__________ $__________ $__________ (11) Realized Losses for prior month: $__________ $__________ $__________ $__________ (12) Aggregate Realized Losses and Debt Service Reductions: (a) Deficient Valuations $__________ $__________ $__________ $__________ (b) Special Hazard $__________ $__________ $__________ $__________ (c) Fraud Losses $__________ $__________ $__________ $__________ (d) Excess Bankruptcy Losses $__________ $__________ $__________ $__________ (e) Excess Special Hazard Losses $__________ $__________ $__________ $__________ (f) Excess Fraud Losses $__________ $__________ $__________ $__________ (g) Debt Service Reductions $__________ $__________ $__________ $__________ (13) Compensating Interest Payment: $__________ $__________ $__________ $__________ D-2 (14) Accrued Certificate Interest, Unpaid Class Interest Shortfalls and Pay-out Rate: Class 1-A1 $__________ $__________ ____% Class 1-A2 $__________ $__________ ____% Class 1-A3 $__________ $__________ ____% Class 1-A4 $__________ $__________ ____% Class 1-A5 $__________ $__________ ____% Class 1-A6 $__________ $__________ ____% Class 1-A7 $__________ $__________ ____% Class 1-A8 $__________ $__________ ____% Class 1-A9 $__________ $__________ ____% Class 1-A10 $__________ $__________ ____% Class 1-A11 $__________ $__________ ____% Class 1-A12 $__________ $__________ ____% Class 1-A13 $__________ $__________ ____% Class 1-A14 $__________ $__________ ____% Class 1-M $__________ $__________ ____% Class 1-B1 $__________ $__________ ____% Class 1-B2 $__________ $__________ ____% Class 1-B3 $__________ $__________ ____% Class 1-B4 $__________ $__________ ____% Class 1-B5 $__________ $__________ ____% Class 1-R $__________ $__________ ____% Class 1-RL $__________ $__________ ____% Class 2-A1 $__________ $__________ ____% Class 2-A2 $__________ $__________ ____% Class 2-A3 $__________ $__________ ____% Class 2-A4 $__________ $__________ ____% Class 2-A5 $__________ $__________ ____% Class 2-A6 $__________ $__________ ____% Class 2-A7 $__________ $__________ ____% Class 2-A8 $__________ $__________ ____% Class 2-A9 $__________ $__________ ____% Class 2-M $__________ $__________ ____% Class 2-B1 $__________ $__________ ____% Class 2-B2 $__________ $__________ ____% Class 2-B3 $__________ $__________ ____% Class 2-B4 $__________ $__________ ____% Class 2-B5 $__________ $__________ ____% Class 2-R $__________ $__________ ____% Class 2-RL $__________ $__________ ____% D-3 Class 3-A1 $__________ $__________ ____% Class 3-A2 $__________ $__________ ____% Class 3-A3 $__________ $__________ ____% Class 3-A4 $__________ $__________ ____% Class 3-M $__________ $__________ ____% Class 3-B1 $__________ $__________ ____% Class 3-B2 $__________ $__________ ____% Class 3-B3 $__________ $__________ ____% Class 3-B4 $__________ $__________ ____% Class 3-B5 $__________ $__________ ____% Class 3-R $__________ $__________ ____% Class 4-A1 $__________ $__________ ____% Class 4-A2 $__________ $__________ ____% Class 4-A3 $__________ $__________ ____% Class 4-A4 $__________ $__________ ____% Class 4-A5 $__________ $__________ ____% Class 4-A6 $__________ $__________ ____% Class 4-A7 $__________ $__________ ____% Class 4-A8 $__________ $__________ ____% Class 4-A9 $__________ $__________ ____% Class 4-A10 $__________ $__________ ____% Class 4-A11 $__________ $__________ ____% Class 4-A12 $__________ $__________ ____% Class 4-A13 $__________ $__________ ____% Class 4-M $__________ $__________ ____% Class 4-B1 $__________ $__________ ____% Class 4-B2 $__________ $__________ ____% Class 4-B3 $__________ $__________ ____% Class 4-B4 $__________ $__________ ____% Class 4-B5 $__________ $__________ ____% Class 4-R $__________ $__________ ____% (15) Principal distributable: Class 1-A1 $__________ Class 1-A2 $__________ Class 1-A3 $__________ Class 1-A4 $__________ Class 1-A5 $__________ Class 1-A7 $__________ Class 1-A8 $__________ Class 1-A9 $__________ Class 1-A10 $__________ Class 1-A11 $__________ D-4 Class 1-A12 $__________ Class 1-A13 $__________ Class 1-A14 $__________ Class 1-PO $__________ Class 1-M $__________ Class 1-B1 $__________ Class 1-B2 $__________ Class 1-B3 $__________ Class 1-B4 $__________ Class 1-B5 $__________ Class 1-R $__________ Class 1-RL $__________ Class 2-A1 $__________ Class 2-A2 $__________ Class 2-A3 $__________ Class 2-A4 $__________ Class 2-A5 $__________ Class 2-A6 $__________ Class 2-A7 $__________ Class 2-A8 $__________ Class 2-A9 $__________ Class 2-PO $__________ Class 2-M $__________ Class 2-B1 $__________ Class 2-B2 $__________ Class 2-B3 $__________ Class 2-B4 $__________ Class 2-B5 $__________ Class 2-R $__________ Class 2-RL $__________ Class 3-A1 $__________ Class 3-A2 $__________ Class 3-A3 $__________ Class 3-A4 $__________ Class 3-PO $__________ Class 3-M $__________ Class 3-B1 $__________ Class 3-B2 $__________ Class 3-B3 $__________ Class 3-B4 $__________ Class 3-B5 $__________ Class 3-R $__________ Class 4-A1 $__________ D-5 Class 4-A2 $__________ Class 4-A3 $__________ Class 4-A4 $__________ Class 4-A5 $__________ Class 4-A6 $__________ Class 4-A7 $__________ Class 4-A8 $__________ Class 4-A9 $__________ Class 4-A10 $__________ Class 4-A11 $__________ Class 4-A12 $__________ Class 4-A13 $__________ Class 4-PO $__________ Class 4-M $__________ Class 4-B1 $__________ Class 4-B2 $__________ Class 4-B3 $__________ Class 4-B4 $__________ Class 4-B5 $__________ Class 4-R $__________ (16) Additional distributions to the Residual Certificates pursuant to Section 4.01(c) or Section 2.05(a)(iii): Class 1-R $__________ Class 1-RL $__________ Class 2-R $__________ Class 2-RL $__________ Class 3-R $__________ Class 4-R $__________ (17) Distributions Allocable to Unanticipated Recoveries: Class 1-A1 $__________ Class 1-A2 $__________ Class 1-A3 $__________ Class 1-A4 $__________ Class 1-A5 $__________ Class 1-A6 $__________ Class 1-A7 $__________ Class 1-A8 $__________ Class 1-A9 $__________ Class 1-A10 $__________ Class 1-A11 $__________ Class 1-A12 $__________ D-4 Class 1-A13 $__________ Class 1-A14 $__________ Class 1-PO $__________ Class 1-M $__________ Class 1-B1 $__________ Class 1-B2 $__________ Class 1-B3 $__________ Class 1-B4 $__________ Class 1-B5 $__________ Class 1-R $__________ Class 1-RL $__________ Class 2-A1 $__________ Class 2-A2 $__________ Class 2-A4 $__________ Class 2-A5 $__________ Class 2-A6 $__________ Class 2-A7 $__________ Class 2-A8 $__________ Class 2-A9 $__________ Class 2-PO $__________ Class 2-M $__________ Class 2-B1 $__________ Class 2-B2 $__________ Class 2-B3 $__________ Class 2-B4 $__________ Class 2-B5 $__________ Class 2-R $__________ Class 2-RL $__________ Class 3-A1 $__________ Class 3-A2 $__________ Class 3-A3 $__________ Class 3-A4 $__________ Class 3-M $__________ Class 3-B1 $__________ Class 3-B2 $__________ Class 3-B3 $__________ Class 3-B4 $__________ Class 3-B5 $__________ Class 3-R $__________ Class 4-A1 $__________ Class 4-A2 $__________ Class 4-A3 $__________ D-7 Class 4-A4 $__________ Class 4-A5 $__________ Class 4-A6 $__________ Class 4-A7 $__________ Class 4-A8 $__________ Class 4-A9 $__________ Class 4-A10 $__________ Class 4-A11 $__________ Class 4-A12 $__________ Class 4-A13 $__________ Class 4-PO $__________ Class 4-M $__________ Class 4-B1 $__________ Class 4-B2 $__________ Class 4-B3 $__________ Class 4-B4 $__________ Class 4-B5 $__________ Class 4-R $__________ B. Other Amounts: 1. Senior Percentage for such Distribution Date: Pool 1 ____% Pool 2 ____% Pool 3 ____% Pool 4 ____% 2. Senior Prepayment Percentage for such Distribution Date: Pool 1 ____% Pool 2 ____% Pool 3 ____% Pool 4 ____% 3. Class 2-A9 Prepayment Distribution Percentage for such Distribution Date: ____% 4. Class 2-A9 Scheduled Distribution Percentage for such Distribution Date: ____% 5. Class 2-A9 Percentage for such Distribution Date: ____% 6. Class 3-A3 Prepayment Distribution Percentage for such Distribution Date: ____% D-8 7. Class 3-A3 Percentage for such Distribution Date: ____% 8. Class 4-A4 Distribution Percentage for such Distribution Date: ____% 9. Class 4-A4 Percentage for such Distribution Date ____% 10. Junior Percentage for such Distribution Date: Pool 1 ____% Pool 2 ____% Pool 3 ____% Pool 4 ____% 11. Junior Prepayment Percentage for such Distribution Date: Pool 1 ____% Pool 2 ____% Pool 3 ____% Pool 4 ____% 12. Subordinate Certificate Writedown Amount for such Distribution Date: Pool 1 ____% Pool 2 ____% Pool 3 ____% Pool 4 ____% 13. Prepayment Distribution Triggers satisfied: Yes No Class 1-B1 ___ ___ Class 1-B2 ___ ___ Class 1-B3 ___ ___ Class 1-B4 ___ ___ Class 1-B5 ___ ___ Class 2-B1 ___ ___ Class 2-B2 ___ ___ Class 2-B3 ___ ___ Class 2-B4 ___ ___ Class 2-B5 ___ ___ Class 3-B1 ___ ___ Class 3-B2 ___ ___ Class 3-B3 ___ ___ Class 3-B4 ___ ___ Class 3-B5 ___ ___ Class 4-B1 ___ ___ Class 4-B2 ___ ___ Class 4-B3 ___ ___ Class 4-B4 ___ ___ Class 4-B5 ___ ___ 14. Base Servicing Fee: Pool 1 ____% Pool 2 ____% Pool 3 ____% Pool 4 ____% 15. Supplemental Servicing Fee: Pool 1 ____% Pool 2 ____% Pool 3 ____% Pool 4 ____% Capitalized terms used in this Certificate shall have the same meanings as in the Agreement. GE CAPITAL MORTGAGE SERVICES, INC. By:_______________________________ Name: Title: D-10 EXHIBIT E FORM OF TRANSFER CERTIFICATE AS TO ERISA MATTERS FOR DEFINITIVE ERISA-RESTRICTED CERTIFICATES State Street Bank and Trust Company Corporate Trust Department 225 Franklin Street Boston, Massachusetts 02110 [NAME OF OFFICER] ___________________ hereby certifies that: 1. That he [she] is [title of officer]_________________ of [name of Investor] __________________________________ (the "Investor"), a ________________________ [description of type of entity] duly organized and existing under the laws of the [State of ____________] [United States], on behalf of which he [she] makes this affidavit. 2. The Investor (i) is not, and on ________________ [insert date of transfer of Certificate to Investor] will not be, and on such date will not be investing the funds of, an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA") or a plan subject to Section 4975 of the Code or (ii) is an insurance company investing assets of its general account and the exemptions provided by Section III(a) of Department of Labor Prohibited Transaction Class Exemption 95-60, 60 Fed. Reg. 35925 (July 12, 1995) (the "Exemptions") apply to the Investor's acquisition and holding or any ERISA-Restricted Certificate. 3. The Investor hereby acknowledges that under the terms of the Pooling and Servicing Agreement (the "Agreement") between State Street Bank and Trust Company, as Trustee and GE Capital Mortgage Services, Inc., dated as of July 1, 1998, no transfer of any ERISA-Restricted Certificate shall be permitted to be made to any person unless the Trustee has received (i) a certificate from such transferee to the effect that (x) such transferee is not an employee benefit plan subject to ERISA or a plan subject to Section 4975 of the Code (a "Plan") and is not using the assets of any such employee benefit or other plan to acquire any such Certificate or (y) such transferee is an insurance company investing assets of its general account and the Exemptions apply to such transferee's acquisition and holding of any such Certificate or (ii) an opinion of counsel satisfactory to the Trustee to the effect that the purchase and holding of any such Certificate will not constitute or result in the assets of the related Trust Fund created by the Agreement being deemed to be "plan assets" and subject to the prohibited transaction provisions of ERISA or Section 4975 of the Code and will not subject the Trustee or the Company to any obligation in addition to those undertaken in the Agreement (provided, however, that the Trustee will not require such certificate or opinion in the event that, as a result of change of law or otherwise, counsel satisfactory to the Trustee has rendered an opinion to the E-1 effect that the purchase and holding of any such Certificate by a Plan or a Person that is purchasing or holding any such Certificate with the assets of a Plan will not constitute or result in a prohibited transaction under ERISA or Section 4975 of the Code). [4. The ERISA-Restricted Certificates shall be registered in the name of ____________________________ as nominee for the Investor.] IN WITNESS WHEREOF, the Investor has caused this instrument to be executed on its behalf, pursuant to authority of its Board of Directors, by its [title of officer] __________________ and its corporate seal to be hereunder attached, attested by its [Assistant] Secretary, this ____ day of _________, 199_. ____________________________ [name of Investor] By:_________________________ Name: Title: The undersigned hereby acknowledges that it is holding and will hold the ERISA-Restricted Certificates at the exclusive direction of and as nominee of the Investor named above. ____________________________ [name of nominee] By:_________________________ Name: Title: E-2 EXHIBIT F FORM OF RESIDUAL CERTIFICATE TRANSFEREE AFFIDAVIT STATE OF ) ) ss.: COUNTY OF ) [NAME OF OFFICER], _________________ being first duly sworn, deposes and says: 1. That he [she] is [title of officer] ______________ of [name of Purchaser] _________________________________________ (the "Purchaser"), a _______________________ [description of type of entity] duly organized and existing under the laws of the [State of __________] [United States], on behalf of which he [she] makes this affidavit. 2. That the Purchaser's Taxpayer Identification Number is [ ]. 3. That the Purchaser is not a "disqualified organization" within the meaning of Section 860E(e)(5) of the Internal Revenue Code of 1986, as amended (the "Code") and will not be a "disqualified organization" as of [date of transfer], and that the Purchaser is not acquiring a Residual Certificate (as defined below) for the account of, or as agent (including a broker, nominee, or other middleman) for, any person or entity from which it has not received an affidavit substantially in the form of this affidavit. For these purposes, a "disqualified organization" means the United States, any state or political subdivision thereof, any foreign government, any international organization, any agency or instrumentality of any of the foregoing (other than an instrumentality if all of its activities are subject to tax and a majority of its board of directors is not selected by such governmental entity), any cooperative organization furnishing electric energy or providing telephone service to persons in rural areas as described in Code Section 1381(a)(2)(C), or any organization (other than a farmers' cooperative described in Code Section 521) that is exempt from federal income tax unless such organization is subject to the tax on unrelated business income imposed by Code Section 511. As used herein, "Residual Certificate" means any Certificate designated as a "Class 1-R, Class 1-RL, Class 2-R, Class 2- RL, Class 3-R or Class 4-R Certificate" of GE Capital Mortgage Services, Inc.'s REMIC Multi-Class Pass-Through Certificates, Series 1998-12. 4. That the Purchaser is not, and on __________ [insert date of transfer of Residual Certificate to Purchaser] will not be, and is not and on such date will not be investing the assets of, an employee benefit plan subject to the Employee Retirement Income Security Act of 1974, as amended ("ERISA"), or a plan subject to Code Section 4975 or a person or entity that is using the assets of any employee benefit plan or other plan to acquire a Residual Certificate. 5. That the Purchaser hereby acknowledges that under the terms of the Pooling and Servicing Agreement (the "Agreement") between State Street Bank and Trust F-1 Company, as Trustee, and GE Capital Mortgage Services, Inc. dated as of July 1, 1998, no transfer of the Residual Certificates shall be permitted to be made to any person unless the Trustee has received a certificate from such transferee to the effect that such transferee is not an employee benefit plan subject to ERISA or a plan subject to Section 4975 of the Code and is not using the assets of any employee benefit plan or other plan to acquire Residual Certificates. 6. That the Purchaser does not hold REMIC residual securities as nominee to facilitate the clearance and settlement of such securities through electronic book-entry changes in accounts of participating organizations (such entity, a "Book-Entry Nominee"). 7. That the Purchaser does not have the intention to impede the assessment or collection of any federal, state or local taxes legally required to be paid with respect to such Residual Certificate. 8. That the Purchaser will not transfer a Residual Certificate to any person or entity (i) as to which the Purchaser has actual knowledge that the requirements set forth in paragraph 3, paragraph 6 or paragraph 10 hereof are not satisfied or that the Purchaser has reason to believe does not satisfy the requirements set forth in paragraph 7 hereof, and (ii) without obtaining from the prospective Purchaser an affidavit substantially in this form and providing to the Trustee a written statement substantially in the form of Exhibit G to the Agreement. 9. That the Purchaser understands that, as the holder of a Residual Certificate, the Purchaser may incur tax liabilities in excess of any cash flows generated by the interest and that it intends to pay taxes associated with holding such Residual Certificate as they become due. 10. That the Purchaser (i) is not a Non-U.S. Person or (ii) is a Non-U.S. Person that holds a Residual Certificate in connection with the conduct of a trade or business within the United States and has furnished the transferor and the Trustee with an effective Internal Revenue Service Form 4224 or successor form at the time and in the manner required by the Code or (iii) is a Non-U.S. Person that has delivered to both the transferor and the Trustee an opinion of a nationally recognized tax counsel to the effect that the transfer of such Residual Certificate to it is in accordance with the requirements of the Code and the regulations promulgated thereunder and that such transfer of a Residual Certificate will not be disregarded for federal income tax purposes. "Non-U.S. Person" means an individual, corporation, partnership or other person other than 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, or an estate or trust that is subject to U.S. federal income tax regardless of the source of its income. 11. That the Purchaser agrees to such amendments of the Pooling and Servicing Agreement as may be required to further effectuate the restrictions on transfer of any Residual Certificate to such a "disqualified organization," an agent thereof, a Book-Entry Nominee, or a person that does not satisfy the requirements of paragraph 7 and paragraph 10 hereof. F-2 12. That the Purchaser consents to the designation of the Company as its agent to act as "tax matters person" of the Upper Tier REMIC in respect of Pool 1 and the Lower Tier REMIC in the case of Pool 1, in the case of the Class 1-R and Class 1-RL Certificates, the Upper Tier REMIC in respect of Pool 2 and Lower Tier REMIC in respect of Pool 2, in the case of the Class 2-R or Class 2-RL Certificates, the Pool 3 Trust Fund, in the case of the Class 3-R Certificates, or the Pool 4 Trust Fund, in the case of the Class 4-R Certificates, pursuant to the Pooling and Servicing Agreement. * * * * * * F-3 IN WITNESS WHEREOF, the Purchaser has caused this instrument to be executed on its behalf, pursuant to authority of its Board of Directors, by its [title of officer] this _____ day of __________, 19__. _______________________________ [Name of Purchaser] By:____________________________ Name: Title: 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 Purchaser, and acknowledged to me that he [she] executed the same as his [her] free act and deed and the free act and deed of the Purchaser. Subscribed and sworn before me this _____ day of __________, 19__. NOTARY PUBLIC _______________________________ COUNTY OF______________________ STATE OF_______________________ My commission expires the _____ day of __________, 19__. F-4 EXHIBIT G [LETTER FROM TRANSFEROR OF RESIDUAL CERTIFICATE] __________________ Date State Street Bank and Trust Company Corporate Trust Department 225 Franklin Street 8th Floor Boston, Massachusetts 02110 Re: GE Capital Mortgage Services, Inc. REMIC Multi-Class Pass-Through Certificates, Series 1998-12 Ladies and Gentlemen: _______________________ (the "Transferor") has reviewed the attached affidavit of _____________________________ (the "Transferee"), and has no actual knowledge that such affidavit is not true and has no reason to believe that the information contained in paragraph 7 thereof is not true, and has no reason to believe that the Transferee has the intention to impede the assessment or collection of any federal, state or local taxes legally required to be paid with respect to a Residual Certificate. In addition, the Transferor has conducted a reasonable investigation at the time of the transfer and found that the Transferee had historically paid its debts as they came due and found no significant evidence to indicate that the Transferee will not continue to pay its debts as they become due. Very truly yours, _________________________ Name: Title: G-1 EXHIBIT H ADDITIONAL SERVICER COMPENSATION QUALIFIED ADMINISTRATIVE EXPENSES (Conventional, Non-Conforming Loans) Assumption Fees $550 - $800 Late Charges Per Loan Documents Appraisal/Inspection Fees Reasonable and Customary Charges Partial Release Fees $300 Easements $150 Insufficient Funds Charges $15 Document Requests (copies of loan file documents, additional pay-off quotations, amortization schedules, payment histories) $0 Modification Fees Reasonable and Customary Charges H-1 EXHIBIT I FORM OF INVESTMENT LETTER FOR DEFINITIVE RESTRICTED CERTIFICATES ___________________ Date State Street Bank and Trust Company Corporate Trust Department 225 Franklin Street 8th Floor Boston, Massachusetts 02110 Re: GE Capital Mortgage Services, Inc. REMIC Multi-Class Pass Through Certificates, Series 1998-12 Ladies and Gentlemen: 1. The undersigned, a [title of officer] _______________ of [name of Investor] _________________________________________ (the "Investor"), a ____________________________ [description of type of entity] duly organized and existing under the laws of the [State of __________________] [United States], hereby certifies as follows: 2. The Investor hereby acknowledges that under the terms of the Pooling and Servicing Agreement between State Street Bank and Trust Company, as Trustee, and GE Capital Mortgage Services, Inc. (the "Company"), dated as of July 1, 1998 (the "Agreement"), no transfer of a Restricted Certificate may be made unless such transfer is exempt from the registration requirements of the Securities Act of 1933, as amended (the "Securities Act"), and any applicable state securities laws, or is made in accordance with the Securities Act and such laws. 3. The Investor understands that (a) the Restricted Certificates have not been and will not be registered or qualified under the Securities Act, or the securities laws of any state, (b) neither the Company nor the Trustee is required, and neither intends, to so register or qualify the Restricted Certificates, (c) the Restricted Certificates cannot be resold unless (i) they are registered and qualified under the Securities Act and the applicable state securities laws or (ii) such sale is exempt from the requirements of the Securities Act, (d) the Agreement contains restrictions regarding the transfer of the Restricted Certificates and (e) the Restricted Certificates will bear a legend to the foregoing effect. I-1 4. The Investor is acquiring the Restricted Certificates for its own account for investment only and not with a view to or for sale or other transfer in connection with any distribution of the Restricted Certificates in any manner that would violate the Securities Act or any applicable state securities laws. 5. The investor (a) is 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 Restricted Certificates, such that it is capable of evaluating the merits and risks of investment in the Restricted Certificates, (b) is able to bear the economic risks of such an investment and (c) is an "accredited investor" within the meaning of Rule 501(a)(1), (2), (3) or (7) promulgated pursuant to the Securities Act. 6. The Investor will not authorize nor has it authorized any person to (a) offer, pledge, sell, dispose of or otherwise transfer any Restricted Certificate, any interest in any Restricted Certificate or any other similar security to any person in any manner, (b) solicit any offer to buy or to accept a pledge, disposition or other transfer of any Restricted Certificate, any interest in any Restricted Certificate or any other similar security from any person in any manner, (c) otherwise approach or negotiate with respect to any Restricted Certificate, any interest in any Restricted 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 would constitute a distribution of any Restricted Certificate under the Securities Act, that would render the disposition of any Restricted Certificate a violation of Section 5 of the Securities Act or any state securities law, or that could require registration or qualification pursuant thereto. Neither the Investor nor anyone acting on its behalf has offered the Restricted Certificates for sale or made any general solicitation by means of general advertising or in any other manner with respect to the Restricted Certificates. The Investor will not sell or otherwise transfer any of the Restricted Certificates, except in compliance with the provisions of the Agreement. 7. If an Investor in a Restricted Certificate sells or otherwise transfers any such Certificate to a transferee other than a "qualified institutional buyer" under Rule 144A of the Securities Act, such Investor will obtain (a) from any subsequent purchaser the same certifications, representations, warranties and covenants contained in the foregoing paragraphs and in this paragraph or (b) an opinion of counsel in form and substance satisfactory to the Trustee pursuant to the Agreement. 8. The Investor hereby indemnifies the Trustee and the Company against any liability that may result if the Investor's transfer of a Restricted Certificate (or any portion thereof) is not exempt from the registration requirements of the Securities Act and any applicable state securities laws or is not made in accordance with such federal and state laws. Such indemnification of the Trustee and the Company shall survive the termination of the Agreement. [9. The Restricted Certificates shall be registered in the name of ___________________________ as nominee for the Investor.] I-2 IN WITNESS WHEREOF, the Investor has caused this instrument to be executed on its behalf, pursuant to authority of its Board of Directors, by its [title of officer] _____________ this _____ day of __________, 19__. _______________________________ [name of Investor] By:____________________________ Name: Title: The undersigned hereby acknowledges that it is holding and will hold the Restricted Certificates at the exclusive direction of and as nominee of the Investor named above. _______________________________ [name of nominee] By:____________________________ Name: Title: I-3 EXHIBIT J FORM OF DISTRIBUTION DATE STATEMENT _________________, ______ (month) (year) GE CAPITAL MORTGAGE SERVICES, INC. REMIC Multi-Class Pass-Through Certificates, Series 1998-12 Pursuant to the Pooling and Servicing Agreement dated as of July 1, 1998 (the "Agreement") between GE Capital Mortgage Services, Inc. (the "Company"), and State Street Bank and Trust Company (the "Trustee"), governing the Certificates referred to above, the Company hereby certifies to the Trustee: With respect to the Agreement and as of the Determination Date for this month: The amounts below are for a Single Certificate of $1,000: (1) Amount of distribution allocable to principal: Class 1-A1 $__________ Class 1-A2 $__________ Class 1-A3 $__________ Class 1-A4 $__________ Class 1-A5 $__________ Class 1-A7 $__________ Class 1-A8 $__________ Class 1-A9 $__________ Class 1-A10 $__________ Class 1-A11 $__________ Class 1-A12 $__________ Class 1-A13 $__________ Class 1-A14 $__________ Class 1-PO $__________ Class 1-M $__________ Class 1-B1 $__________ Class 1-B2 $__________ Class 1-B3 $__________ Class 1-B4 $__________ Class 1-B5 $__________ Class 1-R $__________ Class 1-RL $__________ J-1 Class 2-A1 $__________ Class 2-A2 $__________ Class 2-A4 $__________ Class 2-A5 $__________ Class 2-A6 $__________ Class 2-A7 $__________ Class 2-A8 $__________ Class 2-A9 $__________ Class 2-PO $__________ Class 2-M $__________ Class 2-B1 $__________ Class 2-B2 $__________ Class 2-B3 $__________ Class 2-B4 $__________ Class 2-B5 $__________ Class 2-R $__________ Class 2-RL $__________ Class 3-A1 $__________ Class 3-A2 $__________ Class 3-A3 $__________ Class 3-A4 $__________ Class 3-PO $__________ Class 3-M $__________ Class 3-B1 $__________ Class 3-B2 $__________ Class 3-B3 $__________ Class 3-B4 $__________ Class 3-B5 $__________ Class 3-R $__________ Class 4-A1 $__________ Class 4-A2 $__________ Class 4-A3 $__________ Class 4-A4 $__________ Class 4-A5 $__________ Class 4-A6 $__________ Class 4-A7 $__________ Class 4-A8 $__________ Class 4-A9 $__________ Class 4-A10 $__________ Class 4-A11 $__________ Class 4-A12 $__________ Class 4-A13 $__________ J-2 Class 4-PO $__________ Class 4-M $__________ Class 4-B1 $__________ Class 4-B2 $__________ Class 4-B3 $__________ Class 4-B4 $__________ Class 4-B5 $__________ Class 4-R $__________ (2) Aggregate principal prepayments included in distribution: Class 1-A1 $__________ Class 1-A2 $__________ Class 1-A3 $__________ Class 1-A4 $__________ Class 1-A5 $__________ Class 1-A7 $__________ Class 1-A8 $__________ Class 1-A9 $__________ Class 1-A10 $__________ Class 1-A11 $__________ Class 1-A12 $__________ Class 1-A13 $__________ Class 1-A14 $__________ Class 1-PO $__________ Class 1-M $__________ Class 1-B1 $__________ Class 1-B2 $__________ Class 1-B3 $__________ Class 1-B4 $__________ Class 1-B5 $__________ Class 1-R $__________ Class 1-RL $__________ Class 2-A1 $__________ Class 2-A2 $__________ Class 2-A3 $__________ Class 2-A4 $__________ Class 2-A5 $__________ Class 2-A6 $__________ Class 2-A7 $__________ Class 2-A8 $__________ Class 2-A9 $__________ Class 2-M $__________ J-3 Class 2-B1 $__________ Class 2-B2 $__________ Class 2-B3 $__________ Class 2-B4 $__________ Class 2-B5 $__________ Class 2-R $__________ Class 2-RL $__________ Class 3-A1 $__________ Class 3-A2 $__________ Class 3-A3 $__________ Class 3-A4 $__________ Class 3-PO $__________ Class 3-M $__________ Class 3-B1 $__________ Class 3-B2 $__________ Class 3-B3 $__________ Class 3-B4 $__________ Class 3-B5 $__________ Class 3-R $__________ Class 4-A1 $__________ Class 4-A2 $__________ Class 4-A3 $__________ Class 4-A4 $__________ Class 4-A5 $__________ Class 4-A6 $__________ Class 4-A7 $__________ Class 4-A8 $__________ Class 4-A9 $__________ Class 4-A10 $__________ Class 4-A12 $__________ Class 4-A13 $__________ Class 4-M $__________ Class 4-B1 $__________ Class 4-B2 $__________ Class 4-B3 $__________ Class 4-B4 $__________ Class 4-B5 $__________ Class 4-R $__________ (3) Amount of distribution allocable to interest; Pay-out Rate: Class 1-A1 $__________ ____% J-4 Class 1-A2 $__________ ____% Class 1-A3 $__________ ____% Class 1-A4 $__________ ____% Class 1-A5 $__________ ____% Class 1-A6 $__________ ____% Class 1-A7 $__________ ____% Class 1-A8 $__________ ____% Class 1-A9 $__________ ____% Class 1-A10 $__________ ____% Class 1-A11 $__________ ____% Class 1-A12 $__________ ____% Class 1-A13 $__________ ____% Class 1-A14 $__________ ____% Class 1-M $__________ ____% Class 1-B1 $__________ ____% Class 1-B2 $__________ ____% Class 1-B3 $__________ ____% Class 1-B4 $__________ ____% Class 1-B5 $__________ ____% Class 1-R $__________ ____% Class 1-RL $__________ ____% Class 2-A1 $__________ ____% Class 2-A2 $__________ ____% Class 2-A3 $__________ ____% Class 2-A4 $__________ ____% Class 2-A5 $__________ ____% Class 2-A6 $__________ ____% Class 2-A7 $__________ ____% Class 2-A8 $__________ ____% Class 2-A9 $__________ ____% Class 2-M $__________ ____% Class 2-B1 $__________ ____% Class 2-B2 $__________ ____% Class 2-B3 $__________ ____% Class 2-B4 $__________ ____% Class 2-B5 $__________ ____% Class 2-R $__________ ____% Class 2-RL $__________ ____% Class 3-A1 $__________ ____% Class 3-A2 $__________ ____% Class 3-A3 $__________ ____% Class 3-A4 $__________ ____% Class 3-M $__________ ____% Class 3-B1 $__________ ____% J-5 Class 3-B2 $__________ ____% Class 3-B3 $__________ ____% Class 3-B4 $__________ ____% Class 3-B5 $__________ ____% Class 3-R $__________ ____% Class 4-A1 $__________ ____% Class 4-A2 $__________ ____% Class 4-A3 $__________ ____% Class 4-A4 $__________ ____% Class 4-A5 $__________ ____% Class 4-A6 $__________ ____% Class 4-A7 $__________ ____% Class 4-A8 $__________ ____% Class 4-A9 $__________ ____% Class 4-A10 $__________ ____% Class 4-A11 $__________ ____% Class 4-A12 $__________ ____% Class 4-A13 $__________ ____% Class 4-M $__________ ____% Class 4-B1 $__________ ____% Class 4-B2 $__________ ____% Class 4-B3 $__________ ____% Class 4-B4 $__________ ____% Class 4-B5 $__________ ____% Class 4-R $__________ ____% (4) Amount of distribution allocable to Unanticipated Recoveries: Class 1-A1 $__________ ____% Class 1-A2 $__________ ____% Class 1-A3 $__________ ____% Class 1-A5 $__________ ____% Class 1-A6 $__________ ____% Class 1-A7 $__________ ____% Class 1-A8 $__________ ____% Class 1-A9 $__________ ____% Class 1-A10 $__________ ____% Class 1-A11 $__________ ____% Class 1-A12 $__________ ____% Class 1-A13 $__________ ____% Class 1-A14 $__________ ____% Class 1-M $__________ ____% Class 1-B1 $__________ ____% Class 1-B2 $__________ ____% J-6 Class 1-B3 $__________ ____% Class 1-B4 $__________ ____% Class 1-B5 $__________ ____% Class 1-R $__________ ____% Class 1-RL $__________ ____% Class 2-A1 $__________ ____% Class 2-A2 $__________ ____% Class 2-A3 $__________ ____% Class 2-A4 $__________ ____% Class 2-A5 $__________ ____% Class 2-A6 $__________ ____% Class 2-A7 $__________ ____% Class 2-A8 $__________ ____% Class 2-A9 $__________ ____% Class 2-M $__________ ____% Class 2-B1 $__________ ____% Class 2-B2 $__________ ____% Class 2-B3 $__________ ____% Class 2-B4 $__________ ____% Class 2-B5 $__________ ____% Class 2-R $__________ ____% Class 2-RL $__________ ____% Class 3-A1 $__________ ____% Class 3-A2 $__________ ____% Class 3-A3 $__________ ____% Class 3-A4 $__________ ____% Class 3-M $__________ ____% Class 3-B1 $__________ ____% Class 3-B2 $__________ ____% Class 3-B3 $__________ ____% Class 3-B4 $__________ ____% Class 3-B5 $__________ ____% Class 3-R $__________ ____% Class 4-A1 $__________ ____% Class 4-A2 $__________ ____% Class 4-A3 $__________ ____% Class 4-A4 $__________ ____% Class 4-A5 $__________ ____% Class 4-A6 $__________ ____% Class 4-A7 $__________ ____% Class 4-A8 $__________ ____% Class 4-A9 $__________ ____% J-7 Class 4-A10 $__________ ____% Class 4-A11 $__________ ____% Class 4-A12 $__________ ____% Class 4-A13 $__________ ____% Class 4-M $__________ ____% Class 4-B1 $__________ ____% Class 4-B2 $__________ ____% Class 4-B3 $__________ ____% Class 4-B4 $__________ ____% Class 4-B5 $__________ ____% Class 4-R $__________ ____% (5) Servicing Compensation: Pool 1 $__________ Pool 2 $__________ Pool 3 $__________ Pool 4 $__________ The amounts below are for the aggregate of all Certificates: (6) Pool Scheduled Principal Balance, number of Mortgage Loans: Pool 1 $__________ $__________ Pool 2 $__________ $__________ Pool 3 $__________ $__________ Pool 4 $__________ $__________ (7) Class Certificate Principal Balance (or Class Notional Balance) of each Class; Certificate Principal Balance of Single Certificate of each Class: Single Certificate Class Balance Balance Class 1-A1 $__________ $__________ Class 1-A2 $__________ $__________ Class 1-A3 $__________ $__________ Class 1-A4 $__________ $__________ Class 1-A5 $__________ $__________ Class 1-A6 $__________* $_________** Class 1-A7 $__________ $__________ Class 1-A8 $__________ $__________ Class 1-A9 $__________ $__________ J-8 Class 1-A10 $__________ $__________ Class 1-A11 $__________ $__________ Class 1-A12 $__________ $__________ Class 1-A13 $__________ $__________ Class 1-A14 $__________ $__________ Class 1-PO $__________ $__________ Class 1-M $__________ $__________ Class 1-B1 $__________ $__________ Class 1-B2 $__________ $__________ Class 1-B3 $__________ $__________ Class 1-B4 $__________ $__________ Class 1-B5 $__________ $__________ Class 1-R $__________ $__________ Class 1-RL $__________ $__________ Class 2-A1 $__________ $__________ Class 2-A2 $__________ $__________ Class 2-A3 $__________* $__________* Class 2-A4 $__________ $__________ Class 2-A5 $__________ $__________ Class 2-A6 $__________ $__________ Class 2-A7 $__________ $__________ Class 2-A8 $__________ $__________ Class 2-A9 $__________ $__________ Class 2-PO $__________ $__________ Class 2-M $__________ $__________ Class 2-B1 $__________ $__________ Class 2-B2 $__________ $__________ Class 2-B3 $__________ $__________ Class 2-B4 $__________ $__________ Class 2-B5 $__________ $__________ Class 2-R $__________ $__________ Class 2-RL $__________ $__________ Class 3-A1 $__________ $__________ Class 3-A2 $__________ $__________ Class 3-A3 $__________ $__________ Class 3-A4 $__________ $__________ Class 3-PO $__________ $__________ Class 3-M $__________ $__________ Class 3-B1 $__________ $__________ Class 3-B2 $__________ $__________ Class 3-B3 $__________ $__________ Class 3-B4 $__________ $__________ Class 3-B5 $__________ $__________ J-9 Class 3-R $__________ $__________ Class 4-A1 $__________ $__________ Class 4-A2 $__________ $__________ Class 4-A3 $__________ $__________ Class 4-A4 $__________ $__________ Class 4-A5 $__________ $__________ Class 4-A6 $__________ $__________ Class 4-A7 $__________ $__________ Class 4-A8 $__________ $__________ Class 4-A9 $__________ $__________ Class 4-A10 $__________ $__________ Class 4-A11 $__________ $__________ Class 4-A12 $__________ $__________ Class 4-A13 $__________ $__________ Class 4-PO $__________ $__________ Class 4-M $__________ $__________ Class 4-B1 $__________ $__________ Class 4-B2 $__________ $__________ Class 4-B3 $__________ $__________ Class 4-B4 $__________ $__________ Class 4-B5 $__________ $__________ Class 4-R $__________ $__________ _________________________ * Class Notional Balance (8) Book value of real estate acquired on behalf of Certificateholders; number of related Mortgage Loans: Pool 1 $__________ __________ Pool 2 $__________ __________ Pool 3 $__________ __________ Pool 4 $__________ __________ (9) Aggregate Scheduled Principal Balance and number of delinquent Mortgage Loans: Pool 1 30-59 days delinquent $__________ __________ 60-89 days delinquent $__________ __________ 90 or more days delinquent $__________ __________ In foreclosure $__________ __________ Pool 2 30-59 days delinquent $__________ __________ J-10 60-89 days delinquent $__________ __________ 90 or more days delinquent $__________ __________ In foreclosure $__________ __________ Pool 3 30-59 days delinquent $__________ __________ 60-89 days delinquent $__________ __________ 90 or more days delinquent $__________ __________ In foreclosure $__________ __________ Pool 4 30-59 days delinquent $__________ __________ 60-89 days delinquent $__________ __________ 90 or more days delinquent $__________ __________ In foreclosure $__________ __________ (10) Aggregate Scheduled Principal Balance and number of replaced Mortgage Loans: Pool 1 $__________ __________ Pool 2 $__________ __________ Pool 3 $__________ __________ Pool 4 $__________ __________ (11) Aggregate Scheduled Principal Balance and number of modified Mortgage Loans: Pool 1 $__________ __________ Pool 2 $__________ __________ Pool 3 $__________ __________ Pool 4 $__________ __________ (12) Certificate Interest Rate of: N/A (13) Senior Percentage for such Distribution Date: Pool 1 _________% Pool 2 _________% Pool 3 _________% Pool 4 _________% (14) Senior Prepayment Percentage for such Distribution Date: Pool 1 _________% Pool 2 _________% Pool 3 _________% Pool 4 _________% J-11 (15) Class 2-A9 Prepayment Distribution Percentage for such Distribution Date: ____% (16) Class 2-A9 Scheduled Distribution Percentage for such Distribution Date: ____% (17) Class 2-A9 Percentage for such Distribution Date: ____% (18) Class 3-A3 Prepayment Distribution Percentage for such Distribution Date ____% (19) Class 3-A3 Percentage for such Distribution Date ____% (20) Class 4-A4 Distribution Percentage for such Distribution Date ____% (21) Class 4-A4 Percentage for such Distribution Date ____% (22) Junior Percentage for such Distribution Date: Pool 1 _________% Pool 2 _________% Pool 3 _________% Pool 4 _________% (23) Junior Prepayment Percentage for such Distribution Date: Pool 1 _________% Pool 2 _________% Pool 3 _________% Pool 4 _________% J-12 Capitalized terms used in this Statement shall have the same meanings as in the Agreement. GE CAPITAL MORTGAGE SERVICES, INC. By:_______________________________ Name: Title: J-13 EXHIBIT K FORM OF SPECIAL SERVICING AND COLLATERAL FUND AGREEMENT This SPECIAL SERVICING AND COLLATERAL FUND AGREEMENT (the "Agreement") is made and entered into as of ____________________, 199_, between GE Capital Mortgage Services, Inc. (the "Company") and _____________________________ (the "Purchaser"). PRELIMINARY STATEMENT ___________________________ or an affiliate thereof is the holder of the entire interest in REMIC Multi-Class Pass-Through Certificates, Series 199_-__, Class __-B_ (the "Class __-B_ Certificates"). The Class __-B_ Certificates were issued pursuant to a Pooling and Servicing Agreement (the "Pooling and Servicing Agreement") dated as of ________ 1, 199_ between the Company (in its capacity as servicer thereunder, the "Servicer") and State Street Bank and Trust Company as Trustee. ____________________________ or an affiliate thereof intends to resell all of the Class __-B_ Certificates directly to the Purchaser on or promptly after the date hereof. In connection with such sale, the parties hereto have agreed that the Company, as Servicer, will engage in certain special servicing procedures relating to foreclosures for the benefit of the Purchaser, and that the Purchaser will deposit funds in a collateral fund to cover any losses attributable to such procedures as well as all advances and costs in connection therewith, as set forth herein. [The parties hereto have further agreed that the Purchaser will have no rights, and the Company will have no obligations under this Agreement until the Class Certificate Principal Balance of the REMIC Multi-Class Pass-Through Certificates, Series 199_-__, Class __-B5 (the "Class __-B5 Certificates") has been reduced to zero, and any Special Servicing and Collateral Fund Agreement in respect of such Class between the Company and the Purchaser has been terminated.] In consideration of the mutual agreements herein contained, the receipt and sufficiency of which are hereby acknowledged, the Company and the Purchaser agree that the following provisions shall become effective and shall be binding on and enforceable by the Company and the Purchaser upon the acquisition by the Purchaser of the Class __-B_ Certificates. K-1 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 following meanings: Business Day: Any day other than (i) a Saturday or a Sunday of (ii) a day on which banking institutions in New York City or Boston, Massachusetts are required or authorized by law or executive order to be closed. Collateral Fund: The fund established and maintained pursuant to Section 3.01 hereof. Collateral Fund Permitted Investments: Either (i) obligations of, or obligations fully guaranteed as to principal and interest by, the United States, or any agency or instrumentality thereof, provided such obligations are backed by the full faith and credit of the United States, (ii) repurchase agreements on obligations specified in clause (i) provided that the unsecured obligations of the party agreeing to repurchase such obligations are at the time rated by each Rating Agency in the highest long-term rating category, (iii) federal funds, certificates of deposit, time deposits and banker's acceptances of any U.S. depository institution or trust company incorporated under the laws of the United States or any state provided that the debt obligations of such depository institution or trust company at the date of acquisition thereof have been rated by each Rating Agency in the highest long-term rating category, (iv) commercial paper of any corporation incorporated under the laws of the United States or any state thereof which on the date of acquisition has the highest short term rating of each Rating Agency, and (v) other obligations or securities that are acceptable to each Rating Agency as a Collateral Fund Permitted Investment hereunder and will not, as evidenced in writing, result in a reduction or withdrawal in the then current rating of the Certificates and, for each of the preceding clauses, the maturity thereof shall be not later than the earlier to occur of (A) 30 days from the date of the related investment and (B) the Business Day preceding the next succeeding Distribution Date. Commencement of Foreclosure: The first official action required under local law in order to commence foreclosure proceedings or to schedule a trustee's sale under a deed of trust, including (i) in the case of a mortgage, any filing or service of process necessary to commence an action to foreclose, or (ii) in the case of a deed of trust, the posting, publishing, filing or delivery of a notice of sale, but not including in either case (x) any notice of default, notice of intent to foreclose or sell or any other action prerequisite to the actions specified in (i) or (ii) above and, upon the consent of the Purchaser which will be deemed given unless expressly withheld within two Business Days of notification, (y) the acceptance of a deed-in-lieu of foreclosure (whether in connection with a sale of the related property or otherwise) or (z) initiation and completion of a short pay-off. Current Appraisal: With respect to any Mortgage Loan as to which the Purchaser has made an Election to Delay Foreclosure, an appraisal of the related Mortgaged Property obtained by the Purchaser as nearly contemporaneously as practicable to the time of the Purchaser's election, prepared based on the Company's customary requirements for such appraisals. K-2 Election to Delay Foreclosure: Any election by the Purchaser to delay the Commencement of Foreclosure, made in accordance with Section 2.02(b). Election to Foreclose: Any election by the Purchaser to proceed with the Commencement of Foreclosure, made in accordance with Section 2.03(a). Mortgage Loan: Any Pool __ Mortgage Loan. Required Collateral Fund Balance: As of any date of determination, an amount equal to the aggregate of all amounts previously required to be deposited in the Collateral Fund pursuant to Section 2.02(d) (after adjustments for all withdrawals and deposits prior to such date pursuant to Section 2.02(e)) and Section 2.03(b) (after adjustment for all withdrawals and deposits prior to such date pursuant to Section 2.03(c)) and Section 3.02, reduced by all withdrawals therefrom prior to such date pursuant to Section 2.02(g) and Section 2.03(d). Trust Fund: The Pool ___ Trust Fund. Section 1.02 Definitions Incorporated by Reference. All capitalized terms not otherwise defined in this Agreement shall have the meanings assigned in the Pooling and Servicing Agreement. ARTICLE II. SPECIAL SERVICING PROCEDURES Section 2.01 Reports and Notices. (a) In connection with the performance of its duties under the Pooling and Servicing Agreement relating to the realization upon defaulted Mortgage Loans, the Company as Servicer shall provide to the Purchaser the following notices and reports: (i) Within five Business Days after each Distribution Date (or included in or with the monthly statements to Certificateholders pursuant to the Pooling and Servicing Agreement), the Company, as Servicer, shall provide to the Purchaser a report, using the same methodology and calculations in its standard servicing reports, indicating for the Trust Fund the number of Mortgage Loans that are (A) thirty days, (B) sixty days, (C) ninety days or more delinquent or (D) in foreclosure, and indicating for each such Mortgage Loan the loan number and outstanding principal balance. (ii) Prior to the Commencement of Foreclosure in connection with any Mortgage Loan, the Company shall provide the Purchaser with a notice (sent by facsimile transmission) of such proposed and imminent foreclosure, stating the loan number and the aggregate amount owing under the Mortgage Loan. Such notice may be provided to the Purchaser in the form of a copy of a referral letter from the Company to an attorney requesting the institution of foreclosure or a copy of a request to foreclose received by the Company from the related primary servicer which has been approved by the Company. K-3 (b) If requested by the Purchaser, the Company shall make its servicing personnel available (during their normal business hours) to respond to reasonable inquiries, in writing by facsimile transmission, by the Purchaser in connection with any Mortgage Loan identified in a report under subsection (a)(i) or (a)(ii) which has been given to the Purchaser, provided, that (1) the Company shall only be required to provide information that is readily accessible to its servicing personnel and is non-confidential and (2) the Company shall respond within five Business Days orally or in writing by facsimile transmission. (c) In addition to the foregoing, the Company shall provide to the Purchaser such information as the Purchaser may reasonably request concerning each Mortgage Loan that is at least sixty days delinquent and each Mortgage Loan which has become real estate owned, through the final liquidation thereof, provided, that the Company shall only be required to provide information that is readily accessible to its servicing personnel and is non-confidential. Section 2.02 Purchaser's Election to Delay Foreclosure Proceedings. (a) The Purchaser shall be deemed to direct the Company that in the event that the Company does not receive written notice of the Purchaser's election pursuant to subsection (b) below within 24 hours (exclusive of any intervening non-Business Days) of transmission of the notice provided by the Company under Section 2.01(a)(ii) subject to extension as set forth in Section 2.02(b), the Company may proceed with the Commencement of Foreclosure in respect of such Mortgage Loan in accordance with its normal foreclosure policies without further notice to the Purchaser. Any foreclosure that has been initiated may be discontinued (i) without notice to the Purchaser if the Mortgage Loan has been brought current or if a refinancing or prepayment occurs with respect to the Mortgage Loan (including by means of a short payoff approved by the Company) or (ii) with notice to the Purchaser if the Company has reached the terms of a forbearance agreement with the borrower. In such latter case the Company may complete such forbearance agreement unless instructed otherwise by the Purchaser within two Business Days of notification. (b) In connection with any Mortgage Loan with respect to which a notice under Section 2.01(a)(ii) has been given to the Purchaser, the Purchaser may elect to instruct the Company to delay the Commencement of Foreclosure until such time as the Purchaser determines that the Company may proceed with the Commencement of Foreclosure. Such election must be evidenced by written notice received within 24 hours (exclusive of any intervening non-Business Days) of transmission of the notice provided by the Company under Section 2.01(a)(ii). The Purchaser shall send a copy of such notice of election to each Rating Agency as soon as practicable thereafter. Such 24-hour period shall be extended for no longer than an additional four Business Days after the receipt of the information if the Purchaser requests additional information related to such foreclosure within such 24-hour period; provided, however, that the Purchaser will have at least one Business Day to make such election following its receipt of any requested additional information. Any such additional information shall (i) not be confidential in nature and (ii) be obtainable by the Company from existing reports, certificates or statements or otherwise be readily accessible to its servicing personnel. The Purchaser agrees that it has no right to deal with the mortgagor. However, if the Company's normal foreclosure K-4 policies include acceptance of a deed-in-lieu of foreclosure or short payoff, the Purchaser will be notified and given two Business Days to respond. (c) With respect to any Mortgage Loan as to which the Purchaser has made an Election to Delay Foreclosure, the Purchaser shall obtain a Current Appraisal as soon as practicable, and shall provide the Company with a copy of such Current Appraisal. (d) Within two Business Days of making any Election to Delay Foreclosure, the Purchaser shall remit by wire transfer to the Trustee, for deposit in the Collateral Fund, an amount, as calculated by the Company, equal to the sum of (i) 125% of the greater of the Scheduled Principal Balance of the Mortgage Loan and the value shown in the Current Appraisal referred to in subsection (c) above (or, if such Current Appraisal has not yet been obtained, the Company's estimate thereof, in which case the required deposit under this subsection shall be adjusted upon obtaining such Current Appraisal), and (ii) three months' interest on the Mortgage Loan at the applicable Mortgage Rate. If any Election to Delay Foreclosure extends for a period in excess of three months (such excess period being referred to herein as the "Excess Period"), the Purchaser shall remit by wire transfer in advance to the Trustee for deposit in the Collateral Fund the amount of each additional month's interest, as calculated by the Company, equal to interest on the Mortgage Loan at the applicable Mortgage Rate for the Excess Period. The terms of this Agreement will no longer apply to the servicing of any Mortgage Loan upon the failure of the Purchaser to deposit the above amounts relating to the Mortgage Loan within two Business Days of (i) the Election to Delay Foreclosure or (ii) the beginning of the related Excess Period, as the case may be. (e) With respect to any Mortgage Loan as to which the Purchaser has made an Election to Delay Foreclosure, the Company or the Trustee may withdraw from the Collateral Fund from time to time amounts necessary to reimburse the Company for all related Monthly Advances and Liquidation Expenses thereafter made by the Company as Servicer in accordance with the Pooling and Servicing Agreement. To the extent that the amount of any such Liquidation Expense is determined by the Company based on estimated costs, and the actual costs are subsequently determined to be higher, the Company or the Trustee may withdraw the additional amount from the Collateral Fund to reimburse the Company. In the event that the Mortgage Loan is brought current by the mortgagor, the amounts so withdrawn from the Collateral Fund shall be redeposited therein as and to the extent that reimbursement therefor from amounts paid by the mortgagor is not prohibited pursuant to the Pooling and Servicing Agreement as of the date hereof. Except as provided in the preceding sentence, amounts withdrawn from the Collateral Fund to cover Monthly Advances and Liquidation Expenses shall not be redeposited therein or otherwise reimbursed to the Purchaser. If and when any such Mortgage Loan is brought current by the mortgagor, all amounts remaining in the Collateral Fund in respect of such Mortgage Loan (after adjustment for all previous withdrawals and deposits pursuant to this subsection and after reimbursement to the Servicer for all related Monthly Advances) shall be released to the Purchaser. (f) With respect to any Mortgage Loan as to which the Purchaser has made an Election to Delay Foreclosure, the Company shall continue to service the Mortgage Loan in K-5 accordance with its customary procedures (other than the delay in Commencement of Foreclosure as provided herein). If and when, following such election, the Purchaser shall notify the Company that it believes that it is appropriate to do so, the Company shall proceed with the Commencement of Foreclosure; provided that, in any event, if the Mortgage Loan is not brought current by the mortgagor by the time the loan becomes 6 months delinquent, the Purchaser's election shall no longer be effective, unless the Purchaser shall have purchased the related Mortgage Loan promptly following (and in any event not later than the third Business Day after) the end of such 6-month period in the manner provided in the following two sentences, and the Company shall be entitled to proceed with the Commencement of Foreclosure. Any purchase of such Mortgage Loan by the Purchaser pursuant to the preceding sentence shall be at a purchase price equal to the unpaid principal balance of the Mortgage Loan plus accrued interest at the Mortgage Rate from the date last paid by the mortgagor. Such purchase price shall be deposited by the Purchaser into the Collateral Fund in immediately available funds on the Business Day which is the date of purchase and the Purchaser shall instruct the Trustee (with notice to the Company) to withdraw such amount therefrom on such Business Day and remit the same to the Trust Fund for application as Liquidation Proceeds pursuant to the Pooling and Servicing Agreement. Following such withdrawal, all amounts remaining in the Collateral Fund in respect of such Mortgage Loan (after adjustment for all previous withdrawals and deposits pursuant to this Agreement and after reimbursement to the Servicer for all related Monthly Advances) shall be released to the Purchaser. (g) Upon the occurrence of a liquidation with respect to any Mortgage Loan as to which the Purchaser made an Election to Delay Foreclosure and as to which the Company proceeded with the Commencement of Foreclosure in accordance with subsection (f) above, the Company shall calculate the amount, if any, by which the value shown on the Current Appraisal obtained under subsection (c) exceeds the actual sales price obtained for the related Mortgaged Property (net of Liquidation Expenses and unreimbursed Monthly Advances related to the extended foreclosure period), and the Company or the Trustee shall withdraw the amount of such excess from the Collateral Fund and shall remit the same to the Trust Fund for application as additional Liquidation Proceeds pursuant to the Pooling and Servicing Agreement. After making such withdrawal, all amounts remaining in the Collateral Fund in respect of such Mortgage Loan (after adjustment for all withdrawals and deposits pursuant to subsection (e) and after reimbursement to the Servicer for all related Monthly Advances) shall be released to the Purchaser. Section 2.03 Purchaser's Election to Commence Foreclosure Proceedings. (a) In connection with any Mortgage Loan identified in a report under Section 2.01(a)(i)(B), the Purchaser may elect to instruct the Company to proceed with the Commencement of Foreclosure as soon as practicable. Such election must be evidenced by written notice received by the Company by 5:00 p.m., New York City time, on the third Business Day following the delivery of such report under Section 2.01(a)(i). (b) Within two Business Days of making any Election to Foreclose, the Purchaser shall remit to the Trustee, for deposit in the Collateral Fund, an amount, as calculated by the K-6 Company, equal to 125% of the current Scheduled Principal Balance of the Mortgage Loan and three months' interest on the Mortgage Loan at the applicable Mortgage Rate. If and when any such Mortgage Loan is brought current by the mortgagor, all amounts in the Collateral Fund in respect of such Mortgage Loan (after adjustment for all withdrawals and deposits pursuant to subsection (c) below) shall be released to the Purchaser. The terms of this Agreement will no longer apply to the servicing of any Mortgage Loan upon the failure of the Purchaser to deposit the above amounts relating to the Mortgage Loan within two Business Days of the Election to Foreclose. (c) With respect to any Mortgage Loan as to which the Purchaser has made an Election to Foreclose, the Company shall continue to service the Mortgage Loan in accordance with its customary procedures. In connection therewith, the Company shall have the same rights to make withdrawals for Monthly Advances and Liquidation Expenses from the Collateral Fund as are provided under Section 2.02(e), and the Company shall make reimbursements thereto to the limited extent provided under such subsection. The Company shall not be required to proceed with the Commencement of Foreclosure if (i) the same is stayed as a result of the mortgagor's bankruptcy or is otherwise barred by applicable law, or to the extent that all legal conditions precedent thereto have not yet been complied with, or (ii) the Company believes there is a breach of representations or warranties by the Company, which may result in a repurchase or substitution of such Mortgage Loan, or (iii) the Company has or expects to have the right under the Pooling and Servicing Agreement to purchase the defaulted Mortgage Loan and intends to exercise such right or (iv) the Company reasonably believes the Mortgaged Property may be contaminated with or affected by hazardous wastes or hazardous substances (and the Company supplies the Purchaser with information supporting such belief) or (v) the same is prohibited by or is otherwise inconsistent with the provisions of the Pooling and Servicing Agreement. Any foreclosure that has been initiated may be discontinued (i) without notice to the Purchaser if the Mortgage Loan has been brought current or if a refinancing or prepayment occurs with respect to the Mortgage Loan (including by means of a short payoff approved by the Purchaser) or (ii) with notice to the Purchaser if the Company has reached the terms of a forbearance agreement unless instructed otherwise by the Purchaser within two Business Days of notification. (d) Upon the occurrence of a liquidation with respect to any Mortgage Loan as to which the Purchaser made an Election to Foreclose and as to which the Company proceeded with the Commencement of Foreclosure in accordance with subsection (a) above, the Company shall calculate the amount, if any, by which the Scheduled Principal Balance of the Mortgage Loan at the time of liquidation (plus all unreimbursed Monthly Advances and Liquidation Expenses in connection therewith other than those previously paid from the Collateral Fund) exceeds the actual sales price obtained for the related Mortgaged Property, and the Company or the Trustee shall withdraw the amount of such excess from the Collateral Fund and shall remit the same to the Trust Fund for application as additional Liquidation Proceeds pursuant to the Pooling and Servicing Agreement. After making such withdrawal, all amounts remaining in the Collateral Fund (after adjustment for all withdrawals and deposits pursuant to subsection (a) above and after reimbursement to the Servicer for all related Monthly Advances) in respect of such Mortgage Loan shall be released to the Purchaser. K-7 Section 2.04 Termination. (a) With respect to all Mortgage Loans included in the Trust Fund, the Purchaser's right to make any Election to Delay Foreclosure or any Election to Foreclose and the Company's obligations under Section 2.01 shall terminate on the earliest to occur of the following: (i)at such time as the Class Certificate Principal Balance of the Class B_ Certificates has been reduced to zero, (ii) if the greater of (x) 43% (or such lower or higher percentage that represents the Company's actual loss experience with respect to the Mortgage Loans) of the aggregate principal balance of all Mortgage Loans that are in foreclosure or are more than 90 days delinquent on a contractual basis and the aggregate book value of REO properties or (y) the aggregate amount that the Company estimates through its normal servicing practices will be required to be withdrawn from the Collateral Fund with respect to Mortgage Loans as to which the Purchaser has made an Election to Delay Foreclosure or an Election to Foreclose exceeds (z) the then-current Class Certificate Principal Balance of the Class __-B_ Certificates, or (iii) upon any transfer by the Purchaser of any interest (other than the minority interest therein, but only if the transferee provides written acknowledgment to the Company of the Purchaser's right hereunder and that such transferee will have no rights hereunder) in the Class __-B_ Certificates [or in the Class __-B5 Certificates] (whether or not such transfer is registered under the Pooling and Servicing Agreement), including any such transfer in connection with a termination of the Trust Fund. Unless earlier terminated as set forth herein, this Agreement and the respective rights, obligations and responsibilities of the Purchaser and the Company hereunder shall terminate immediately upon (x) the later to occur of (i) the final liquidation of the last Mortgage Loan as to which the Purchaser made any Election to Delay Foreclosure or any Election to Foreclose and the withdrawal of all remaining amounts in the Collateral Fund as provided herein and (ii) ten (10) Business Days' notice or (y) the occurrence of any event that results in the Purchaser becoming an "affiliate" of the Trustee within the meaning of the Prohibited Transaction Exemption (as defined in the Pooling and Servicing Agreement). (b) The Purchaser's rights pursuant to Section 2.02 or 2.03 of this Agreement shall terminate with respect to a Mortgage Loan as to which the Purchaser has exercised its rights under Section 2.02 or 2.03 hereof, upon Purchaser's failure to deposit any amounts required pursuant to Section 2.02(d) or 2.03(b) after one Business Day's notice of such failure. Section 2.05 Notification. The Purchaser shall promptly notify the Trustee and the Company if such Purchaser becomes aware of any discussions, plans or events that might lead to such Person's becoming an "affiliate" (within the meaning of the Prohibited Transaction Exemption) of the Trustee, provided that the contents of any such notification shall be kept confidential by the parties to this Agreement. ARTICLE III. COLLATERAL FUND; SECURITY INTEREST Section 3.01 Collateral Fund. Upon payment by the Purchaser of the initial amount required to be deposited in the Collateral Fund pursuant to Article II, the Company shall request K-8 the Trustee to establish and maintain with the Trustee a segregated account entitled "REMIC Multi-Class Pass-Through Certificates 199_-__ Pool __ Collateral Fund, for the benefit of GE Capital Mortgage Services, Inc. and State Street Bank and Trust Company on behalf of Pool __ Certificateholders, as secured parties" (the "Collateral Fund"). Amounts held in the Collateral Fund shall continue to be the property of the Purchaser, subject to the first priority security interest granted hereunder for the benefit of such secured parties, until withdrawn from the Collateral Fund pursuant to the Section 2.02 or 2.03 hereof. Upon the termination of this Agreement and the liquidation of all Mortgage Loans as to which the Purchaser has made any Election to Delay Foreclosure or any Election to Foreclose pursuant to Section 2.04 hereof, the Company shall distribute to the Purchaser all amounts remaining in the Collateral Fund together with any investment earnings thereon (after giving effect to all withdrawals therefrom permitted under this Agreement). The Purchaser shall not take or direct the Company or the Trustee to take any action contrary to any provision of the Pooling and Servicing Agreement. In no event shall the Purchaser (i) take or cause the Trustee or the Company to take any action that could cause any REMIC established under the Pooling and Servicing Agreement to fail to qualify as a REMIC or cause the imposition on any such REMIC of any "prohibited transaction" or "prohibited contribution" taxes or (ii) cause the Trustee or the Company to fail to take any action necessary to maintain the status of any such REMIC as a REMIC. Section 3.02 Collateral Fund Permitted Investments. The Company shall, at the written direction of the Purchaser, direct the Trustee to invest the funds in the Collateral Fund in the name of the Trustee in Collateral Fund Permitted Investments. Such direction shall not be changed more frequently then quarterly. In the absence of any direction, the Company shall direct the Trustee select such investments in accordance with the definition of Collateral Fund Permitted Investments in its discretion. All income and gain realized from any investment as well as any interest earned on deposits in the Collateral Fund (net of any losses on such investments) and any payments of principal made in respect of any Collateral Fund Permitted Investment shall be deposited in the Collateral Fund upon receipt. All costs and realized losses associated with the purchase and sale of Collateral Fund Permitted Investments shall be borne by the Purchaser and the amount of net realized losses shall be promptly deposited by the Purchaser in the Collateral Fund. The Company shall periodically (but not more frequently than monthly) direct the Trustee to distribute to the Purchaser upon request an amount of cash, to the extent cash is available therefor in the Collateral Fund, equal to the amount by which the balance of the Collateral Fund, after giving effect to all other distributions to be made from the Collateral Fund on such date, exceeds the Required Collateral Fund Balance. Any amounts so distributed shall be released from the lien and security interest of this Agreement. Section 3.03 Grant of Security Interest. In order to secure the obligations of the Purchaser hereunder to the Company and the Trustee for the benefit of Certificateholders (other than its obligations under Section 4.10), the Purchaser hereby grants to the Company and to the K-9 Trustee for the benefit of the Pool __ Certificateholders a security interest in and lien on all of the Purchaser's right, title and interest, whether now owned or hereafter acquired, in and to: (1) the Collateral Fund, (2) all amounts deposited in the Collateral Fund and Collateral Fund Permitted Investments in which such amounts are invested (and the distributions and proceeds of such investments) and (3) all cash and non-cash proceeds of any of the foregoing, including proceeds of the voluntary or involuntary conversion thereof (all of the foregoing collectively, the "Collateral"). The Purchaser acknowledges the lien on and security interest in the Collateral for the benefit of the Company and the Trustee on behalf of the Pool __ Certificateholders. The Purchaser shall take all actions requested by the Company or the Trustee as may be reasonably necessary to perfect the security interest created under this Agreement in the Collateral and cause it to be prior to all other security interests and liens, including the execution and delivery to the Company or at its direction the Trustee for filing of appropriate financing statements in accordance with applicable law. Section 3.04 Collateral Shortfalls. In the event that amounts on deposit in the Collateral Fund at any time are insufficient to cover any withdrawals therefrom that the Company or the Trustee is then entitled to make hereunder, the Purchaser shall be obligated to pay such amounts to the Company or the Trustee immediately upon demand. Such obligation shall constitute a general corporate obligation of the Purchaser. The failure to pay such amounts within two Business Days of such demand (except for amounts to cover interest on a Mortgage Loan pursuant to Sections 2.02(d) and 2.03(b)), shall cause an immediate termination of the Purchaser's right to make any Election to Delay Foreclosure or Election to Foreclose and the Company's obligations under this Agreement with respect to all Mortgage Loans to which such insufficiencies relate, without the necessity of any further notice or demand on the part of the Company. ARTICLE IV. MISCELLANEOUS PROVISIONS Section 4.01 Amendment. This Agreement may be amended from time to time by the Company and the Purchaser by written agreement signed by the Company and the Purchaser provided that no such amendment shall have a material adverse effect on the holders of other Classes of Certificates. Section 4.02 Counterparts. 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 4.03 Governing Law. This Agreement shall be construed in accordance with the laws of the State of New York and the obligations, rights and remedies of the parties hereunder shall be determined in accordance with such laws. K-10 Section 4.04 Notices. All demands, notices and direction hereunder shall be in writing or by telecopy and shall be deemed effective upon receipt to: (a) in the case of the Company, with respect to notices pursuant to Sections 2.02 and 2.03 hereto, GE Capital Mortgage Services, Inc. 2000 West Loop South Suite 1917 Houston, Texas 77027 Attention: Mark Pendergrass Telephone: (713) 964-4207 Facsimile: (713) 964-4100 with respect to all other notices pursuant to this Agreement, GE Capital Mortgage Services, Inc. Three Executive Campus Cherry Hill, New Jersey 08002 Attention: General Counsel Telephone: (609) 661-6515 Facsimile: (609) 661-6875 or such other address as may hereafter be furnished in writing by the Company, or (b) in the case of the Purchaser, with respect to notices pursuant to Section 2.01, ________________________________ ________________________________ ________________________________ Attention:______________________ Telephone:______________________ Facsimile:______________________ with respect to all other notices pursuant to this Agreement, ________________________________ ________________________________ ________________________________ Attention:______________________ Telephone:______________________ Facsimile:______________________ or such other address as may hereafter be furnished in writing by the Purchaser, or (c) in the case of the Trustee, K-11 State Street Bank and Trust Company Corporate Trust Department Two International Place, Fifth Floor Boston, Massachusetts 02110 Attention: Karen Beard Telephone: (617) 664-5465 Facsimile: (617) 664-5367 Section 4.05 Severability of Provisions. If any one or more of the covenants, agreements, provisions or terms of this Agreement shall be for any reason whatsoever, including regulatory, 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. Section 4.06 Successor and Assigns. The provisions of this Agreement shall be binding upon and inure to the benefit of the parties hereto and the respective successors and assigns of the parties hereto; provided, however, that the rights under this Agreement cannot be assigned by the Purchaser without the consent of the Company. Section 4.07 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 4.08 Third Party Beneficiaries. The Trustee on behalf of Certificateholders is the intended third party beneficiary of this Agreement. Section 4.09 Confidentiality. The Purchaser agrees that all information supplied by or on behalf of the Company pursuant to Section 2.01 or 2.02, including individual account information, is the property of the Company and the Purchaser agrees to use such information solely for the purposes set forth in this Agreement and to hold such information confidential and not to disclose such information. Section 4.10 Indemnification. The Purchaser agrees to indemnify and hold harmless the Company against any and all losses, claims, damages or liabilities to which it may be subject, insofar as such losses, claims, damages or liabilities (or actions in respect thereof) arise out of or are based upon actions taken by the Company in accordance with the provisions of this Agreement and which actions conflict or are alleged to conflict with the Company's obligations under the Pooling and Servicing Agreement. The Purchaser hereby agrees to reimburse the Company on demand for the reasonable legal or other expenses incurred by it in connection with investigating or defending any such loss, claim, damage, liability or action. Section 4.11 Delayed Effectiveness. The Purchaser agrees that, notwithstanding any other provision of this Agreement, the Purchaser shall have no rights hereunder, and the Company shall have no obligations hereunder, until the Class Certificate Principal Balance of the Class __-B5 Certificates has been reduced to zero and any Special Servicing and Collateral Fund Agreement between the Company and the Purchaser relating to such Class B5 Certificates has been terminated. K-12 IN WITNESS WHEREOF, the Company and the Purchaser 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. GE CAPITAL MORTGAGE SERVICES, INC. By:_______________________________ Name: Title: [PURCHASER] By:_______________________________ Name: Title: Acknowledged and agreed to: STATE STREET BANK AND TRUST COMPANY By:_________________________ Name: Title: EXHIBIT L FORM OF LOST NOTE AFFIDAVIT AND AGREEMENT I, _________________________________________, being duly sworn, do hereby state under oath that: 1. I am a duly elected ______________________ of GE Capital Mortgage Services, Inc. (the "Company") and am duly authorized to make this affidavit. 2. This affidavit is being delivered in connection with the transfer of the Mortgage Loan described in Paragraph 3 hereof by the Company pursuant to the Pooling and Servicing Agreement dated as of [date] between the Company, Seller and Servicer, and State Street Bank and Trust Company, Trustee, relating to the Company's REMIC Multi-Class Pass-Through Certificates, Series [____] ("Agreement"). Such Mortgage Loan constitutes a Designated Loan [with respect to Pool __ ]. 3. The Company is the payee under the following described Mortgage Note ("Mortgage Note") which evidences the obligation of the borrower(s) to repay the Mortgage Loan: Loan Number: ___________________________________ Mortgage Note Date:_____________________________ Borrower(s): ___________________________________ Original Payee (if not the Company): ___________ Original Amount:________________________________ Mortgage Rate: _________________________________ Address of Mortgaged Property: _________________ ________________________________________________ 4. The Company is the lawful owner of the Mortgage Note and has not cancelled, altered, assigned or hypothecated the Mortgage Note. 5. A thorough and diligent search for the executed original Mortgage Note was undertaken and was unsuccessful. 6. Attached hereto is a true and correct copy of the Mortgage Note. 7. The Mortgage Note has not been endorsed by the Company in any manner inconsistent with its transfer of the Mortgage Loan under the Agreement. L-1 8. Without limiting the generality of the rights and remedies of the Trustee contained in the Agreement, the Company hereby confirms and agrees that in the event the inability to produce the executed original Mortgage Note results in a breach of the representations and warranties appearing in Agreement subsections 2.03(a)(ii) (the validity and enforceability of the lien created by the Mortgage Loan) or (x) (no valid offset, defense or counterclaim to any Mortgage Note or Mortgage), the Company shall repurchase the Mortgage Loan at the Purchase Price and otherwise in accordance with Section 2.03(b) of the Agreement. In addition, the Company covenants and agrees to indemnify the Trustee and the related Trust Fund from and hold them harmless against any and all losses, liabilities, damages, claims or expenses (other than those resulting from negligence or bad faith of the Trustee) arising from the Company's failure to have delivered the Mortgage Note to the Trustee, including without limitation any such losses, liabilities, damages, claims or expenses arising from any action to enforce the indebtedness evidenced by the Mortgage Note or any claim by any third party who is the holder of such indebtedness by virtue of possession of the Mortgage Note. 9. In the event that the Company locates the executed original Mortgage Note, it shall promptly provide the Mortgage Note to the Trustee. 10. Capitalized terms not otherwise defined herein shall have the meanings given them in the Agreement. Date:_________________ __________________________ (signature) __________________________ (print name) __________________________ (print title) L-2 State of New Jersey ) ) ss.: ) On this ____________________day of _________________, 199__, before me appeared ____________________________, to me personally known, who acknowledged the execution of the foregoing and who, having been duly sworn states that he/she is a/the ______________________________of GE Capital Mortgage Services, Inc., that any representations therein contained are true, that this Lost Note Affidavit was signed and sealed on behalf of GE Capital Mortgage Services, Inc. and that this Lost Note Affidavit is the free act and deed of GE Capital Mortgage Services, Inc. ________________________________ (Notary Public) [Notarial Seal] EXHIBIT M SCHEDULE OF DESIGNATED LOANS SERIES 1998-12 Pool 1 Original Loan No. Amount Last Name -------- -------- --------- 70086301 $270,000.00 Hamilton ----------- Totals $270,000.00 PERCENTAGE OF POOL: Less than 0.10% Pool 2 Original Loan No. Amount Last Name -------- -------- --------- 30924559 $236,800.00 Brown 31075625 $105,000.00 Barr ----------- Totals $341,800.00 PERCENTAGE OF POOL: Less than 0.10% M-1 EXHIBIT N SCHEDULE OF PLEDGED ASSET MORTGAGE LOANS SERIES 1998-12 Pool 1 Outstanding Covered Actual GECMSI MLCC Principal Pledge Pledge Loan No. Loan No. Balance Amount Amount - -------- -------- ----------- ------- ------ 31184245 2251577 $178,000 $53,400 $53,400 1 1 $178,000 $53,400 $53,400