MERIT SECURITIES CORPORATION Monthly Payment Report Payment Statement MERIT 6 Payment Date: 29-Jun-98 Reporting Month: May Class Interest Beginning Interest Interest Principal Total Applied Ending Class Rate Balance Accrual Payment Payment Distribution Losses Balance Class A1 6.148440% $152,822,904.01 $783,018.71 $783,018.71 $12,654,836.43 $13,437,855.14 $0.00 $140,168,067.58 Class A2 13.164860% $75,912,000.00 $832,808.82 $832,808.82 $0.00 $832,808.82 $0.00 $75,912,000.00 Class A3 6.200000% $15,591,824.72 $80,557.76 $80,557.76 $1,158,570.58 $1,239,128.34 $0.00 $14,433,254.14 Class A4 6.600000% $6,000,000.00 $33,000.00 $33,000.00 $0.00 $33,000.00 $0.00 $6,000,000.00 $250,326,728.73 $1,729,385.29 $1,729,385.29 $13,813,407.01 $15,542,792.30 $0.00 $236,513,321.72 Class CUSIP Priority Principal Type Interest Type Class A1 589962AP4 Senior Sequential Floater Class A2 589962AQ2 Senior Sequential Floater Class A3 589962AR0 Senior Sequential Fixed Class A4 589962AS8 Senior Sequential Fixed MERIT SECURITIES CORPORATION Payments per Bond Denomination MERIT 6 Payment Date: 29-Jun-98 Reporting Month: May Interest Interest Principal Original Original Integral Record Accrual Payment Payment Ending Remaining Class Balance Pct Pool Denomination Date Factor Factor Factor Balance Principal Factor Class A1 $473,800,000.00 79.58% $1,000.00 31-May-98 1.65263552 1.65263552 26.70923687 $140,168,067.58 0.29583805 Class A2 $75,912,000.00 12.75% $1,000.00 31-May-98 10.97071372 10.97071372 0.00000000 $75,912,000.00 1.00000000 Class A3 $26,200,000.00 4.40% $1,000.00 31-May-98 3.07472366 3.07472366 44.22025115 $14,433,254.14 0.55088756 Class A4 $6,000,000.00 1.01% $1,000.00 31-May-98 5.50000000 5.50000000 0.00000000 $6,000,000.00 1.00000000 $581,912,000.00 $236,513,321.72 MERIT SECURITIES CORPORATION Funds Account Activity Report MERIT 6 Payment Date: 29-Jun-98 Report Date: May Collateral Proceeds Account Beginning Balance $0.00 Deposits Withdrawals Interest Net of Servicing Fee $1,823,651.76 Interest Payments $1,729,385.29 Principal $14,738,047.91 Principal Payments $13,813,407.01 Deposits From Reserve Fund $0.00 Surplus $1,009,052.65 Other Deposits $0.00 MBIA Fee $9,854.72 Total Deposit $16,561,699.67 Total Withdrawals $16,561,699.67 Ending Balance $0.00 <FN> Note: "Principal" and Interest Net of Servicing Fee" includes Advances on Delinquencies </FN> MERIT SECURITIES CORPORATION Credit Enhancement Summary MERIT 6 Payment Date: 29-Jun-98 Reporting Month May Reserve Funds and Subordination Initial Coverage Beginning Coverage Adjustments Losses Insured Balance Ending Coverage Type Pool Over Collateralization 2.26%$13,474,965.80 4.65%$12,218,513.16 ($924,940.90) $97,389.08 $247,709,804.91 4.52% $11,196,483.18 Class Total Distribution Surplus $1,009,052.65 Delinquency Statistics Current % of # of Loans Balance Current Balance 30+ Days 32 $6,102,461 2.46% 60+ Days 4 $542,160 0.22% 90+ Days 16 $2,748,701 1.11% Foreclosure 10 $2,495,102 1.01% REO 4 $416,475 0.17% Totals 66 $12,304,899 4.97% Advances on Delinquencies $90,583.61 Non-Recoverable Advances on Delinquencies $0.00 1 Release of funds in excess of Target Overcollateralization Amount. See Indenture, Prospectus and their respective Supplements for complete details.