MERIT SECURITIES CORPORATION Monthly Payment Report Payment Statement MERIT Series 8 Payment Date: 28-Aug-98 Reporting Month: July Class Interest Interest Beginning Interest Principal Total Applied Class Rate Balance Accrual Payment Payment Distribution Losses Ending Balance Class A-1 5.876250% $218,911,836.74 $1,071,983.90 $1,071,983.90 $25,086,335.72 $26,158,319.62 $0.00 $193,825,501.02 Class A-2 6.256250% $142,000,000.00 $740,322.92 $740,322.92 $0.00 $740,322.92 $0.00 $142,000,000.00 Class A-3 12.000000% $89,978,000.00 $899,780.00 $899,780.00 $0.00 $899,780.00 $0.00 $89,978,000.00 $450,889,836.74 $2,712,086.82 $2,712,086.82 $25,086,335.72 $27,798,422.54 $0.00 $425,803,501.02 Principal Interest Class CUSIP Priority Type Type Class A-1 589962AY5 Senior Sequential Floater Class A-2 589962AZ2 Senior Sequential Floater Class A-3 589962BA6 Senior Sequential Floater MERIT SECURITIES CORPORATION Payments per Bond Denomination MERIT Series 8 Payment Date: 28-Aug-98 Reporting Month: July Interest Interest Principal Principal Original Integral Accrual Payment Payment Ending Class Original Balance Pct Pool Denomination Record Date Factor Factor Factor Balance Factor Class A-1 $710,500,000.00 75.00% $1,000.00 31-Jul-98 1.50877396 1.50877396 35.30800242 $193,825,501.02 0.27280155 Class A-2 $142,000,000.00 14.99% $1,000.00 31-Jul-98 5.21354169 5.21354169 0.00000000 $142,000,000.00 1.00000000 Class A-3 $89,978,000.00 9.50% $1,000.00 31-Jul-98 10.00000000 10.00000000 0.00000000 $89,978,000.00 1.00000000 $942,478,000.00 $425,803,501.02 MERIT SECURITIES CORPORATION Funds Account Activity Report MERIT Series 8 Payment Date: 28-Aug-98 Report Date: July Collateral Proceeds Account Beginning Balance $0.00 Deposits Withdrawals Interest Net of Servicing Fee $2,956,953.69 Interest Payments $2,712,086.82 Principal $25,339,733.06 Principal Payments $25,086,335.72 Deposits From Reserve Fund $0.00 Surplus $466,328.95 Other Deposits $0.00 FSA Fee $31,935.26 Discount Principal Reserve $0.00 Total Deposit $28,296,686.75 Total Withdrawals $28,296,686.75 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 Series 8 Payment Date: 28-Aug-98 Reporting Month July Reserve Funds and Subordination Initial Coverage Beginning Coverage Adjustments Losses Insured Balance Ending Coverage Type Pool Over Collateralization 0.50% $4,736,097.11 1.00% $4,554,442.80 ($253,397.34) $430,104,546.48 1.00% $4,301,045.46 Surplus Summary Class Total Distribution Surplus $466,328.95 Delinquency Statistics Directly Held Mortgage Loans* % of # of Loans Current Balance Current Balance 30+ Days 1 $450,000 0.10% 60+ Days 0 $0 0.00% 90+ Days 0 $0 0.00% Foreclosure 0 $0 0.00% REO 1 $209,709 0.06% Totals 2 $659,709 0.17% Underlying Mortgage Loans** Current % of # of Loans Balance Current Balance 30+ Days 76 $12,265,595.99 3.52% 60+ Days 16 $2,469,311.11 0.71% 90+ Days 55 $9,900,949.20 2.84% Foreclosure 39 $8,044,576.43 2.31% REO 28 $4,844,481.84 1.39% Totals 214 $37,524,914.57 10.76% Advances on Delinquencies $250,187.99 Non-Recoverable Advances on Delinquencies $0.00 *Not covered by Pool Insurance policy **Covered by various Pool Insurance policies 1) Release of funds in excess of Target Overcollateralization Amount. See Indenture, Prospectus and their respective Supplements for complete details.