Monthly Payment Report Payment Statement MERIT Series 11 Payment 28-May-99 Date: Reporting Apr-99 Month Class Class Beginning Interest Interest Principal Total Ending Balance Interest Rate Balance Accrual Payment Payment Distribution - ------------------------------------------------------------------------------------------------------------- 1A-1 6.580000% $24,348,148.41 $133,509.01 $133,509.01 $17,895,215.80 $18,028,724.81 $6,452,932.61 1A-2 5.302500% $238,000,000.00 $1,051,662.5 $1,051,662.50 $0. $1,051,662.50 $238,000,000.00 2A-1 5.105330% $44,602,685.34 $189,759.52 $189,759.52 $18,691,599. $18,881,358.61 $25,911,086.25 2A-2 5.202500% $200,000,000.00 $867,083.33 $867,083.33 $0.00 $867,083.33 $200,000,000.00 2A-3 5.352500% $166,560,000.00 $742,927.00 $742,927.00 $0.00 $742,927.00 $166,560,000.00 3A-1 5.212500% $238,017,505.28 $1,033,888.5 $1,033,888.54 $1,635,257.69 $2,669,146.23 $236,382,247.59 B-1 5.602500% $59,600,000.00 $278,257.50 $278,257.50 $0.00 $278,257.50 $59,600,000.00 B-2 5.902500% $34,500,000.00 $169,696.88 $169,696.88 $0.00 $169,696.88 $34,500,000.00 B-3 6.652500% $20,000,000.00 $110,875.00 $110,875.00 $0.00 $110,875.00 $20,000,000.00 - ------------------------------------------------------------------------------------------------------------ $1,025,628,339 $4,577,659.2 $4,577,659.2 $38,222,072. $42,799,731.86 $987,406,266.45 Class Cusip Priority Principal Interest Type Type - ------------------------------------------------------------- 1A-1 589962BQ1 Senior Sequential Fixed 1A-2 589962BR9 Senior Sequential Floater 2A-1 589962BS7 Senior Sequential Floater 2A-2 589962BT5 Senior Sequential Floater 2A-3 589962BU2 Senior Sequential Floater 3A-1 589962BV0 Senior Sequential Floater B-1 589962BW8 Subordinate Sequential Floater B-2 589962BX6 Subordinate Sequential Floater B-3 589962BY4 Subordinate Sequential Floater - ------------------------------------------------------------- Payments per Bond Denomination MERIT Series 11 Payment 28-May-99 Date: Reporting Apr-99 Month Amounts Per Individual Security ------------------------------------------------------------ Class Original Original Integral Record Interest Interest Principal Realized Ending Remaining Balance %of Pool Denomin- Date Accrual Payment Payment Losses Balance Principal ation Factor - ------------------------------------------------------------------------------------------------------------------------- 1A-1 $262,000,000.00 17.03% $1,000.00 Apr-99 0.50957639 0.50957639 68.30235038 $0.00 $6,452,932.61 0.02462951 1A-2 $238,000,000.00 15.47% $1,000.00 Apr-99 4.41875000 4.41875000 0.00000000 $0.00 $238,000,000.00 1.00000000 2A-1 $300,000,000.00 19.50% $1,000.00 Apr-99 0.63253174 0.63253174 62.30533030 $0.00 $25,911,086.25 0.08637029 2A-2 $200,000,000.00 13.00% $1,000.00 Apr-99 4.33541667 4.33541667 0.00000000 $0.00 $200,000,000.00 1.00000000 2A-3 $166,560,000.00 10.82% $1,000.00 Apr-99 4.46041667 4.46041667 0.00000000 $0.00 $166,560,000.00 1.00000000 3A-1 $258,173,000.00 16.78% $1,000.00 Apr-99 4.00463464 4.00463464 6.33396091 $0.00 $236,382,247.59 0.91559632 B-1 $59,600,000.00 3.87% $1,000.00 Apr-99 4.66875000 4.66875000 0.00000000 $0.00 $59,600,000.00 1.00000000 B-2 $34,500,000.00 2.24% $1,000.00 Apr-99 4.91875000 4.91875000 0.00000000 $0.00 $34,500,000.00 1.00000000 B-3 $20,000,000.00 1.30% $1,000.00 Apr-99 5.54375000 5.54375000 0.00000000 $0.00 $20,000,000.00 1.00000000 - ------------------------------------------------------------------------------------------------------------------------- $1,538,833,000.00 Funds Account Activity Summary MERIT Series 11 Payment Date: 28-May-99 Reporting Month Apr-99 Collateral Proceeds Account Beginning Balance $0.00 Deposits Withdrawals Interest Net of $6,821,950.32 Interest Payments $4,577,659.28 Servicing Fee Principal $38,107,796.68 Principal Payment $38,222,072.58 Deposits from $306,798.91 Surplus $2,086,366.82 Reserve Fund Other Deposits $0.00 Dynex Servicing Fee $157,924.22 Collateralized Reserve Fund $192,523.01 Total Deposits $45,236,545.91 otal Withdrawals $45,236,545.91 Ending ($0.00) Balance <FN> Note: "Principal" and "Interest Net of Servicing Fee" includes Advances on Delinquencies </FN> Credit Enhancement Summary MERIT Series 11 Payment Date: 28-May-99 Reporting Month Apr-99 Ending Initial Beginning Adjustments Losses Collateral Ending Period Coverage Period Balance Coverage Coverage ------------------------------------------------------------------------------------------------------ Type Purpose % $ % $ $ $ $ % $ - ----------------------------------------------------------------------------------------------------------------------------------- Reserve and Over 3.29% $52,317,814.62 4.76% $51,192,880.76 $0.00 $306,798.91 $1,037,990,509.09 4.90% $50,886,081.85 Collateralization Amount Beginning Current Withdrawals Ending Type Balance Deposits for Losses Reserve Balance - -------------------------------------------------------------------------------- Collateralized Reserve Fund $138,485.37 $192,523.01 $306,798.91 $24,209.47 Reserve Collateral Ending Balance Surplus Summary Class Total Distribution - ----------------------------- Surplus $2,086,366.82 Delinquency Statistics UNDERLYING LOANS* % of Underlying Loans # of Loans Current Balance Current Balance - ----------------------------------------------------------- 30 Days 90 $15,885,393 3.67% 60 Days 16 $2,330,215 0.54% 90 + days 40 $7,786,297 1.80% F/C 36 $5,695,122 1.31% REO 20 $2,657,254 0.61% - ----------------------------------------------------------- 202 $34,354,282 7.93% DIRECTLY HELD LOANS** % of Directly Held Loans # of Loans Current Balance Current Balance - ----------------------------------------------------------- 30 Days 87 $4,196,071 0.69% 60 Days 21 $827,298 0.14% 90 + days 21 $1,452,625 0.24% F/C 13 $513,268 0.08% REO 40 $1,817,371 0.30% - ----------------------------------------------------------- 182 $8,806,632 1.46% <FN> *Covered by various Pool Insurance policies ** Not covered by Pool Insurance policy </FN>