Monthly Payment Report Payment Statement MERIT Series 11 Payment 28-Jul-99 Date: Reporting Jun-99 Month Class Class Beginning Interest Interest Principal Total Ending Interest Balance Accrual Payment Payment Distribution Balance Rate - --------------------------------------------------------------------------------------------- 1A-1 6.580000% $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 1A-2 5.540000% $230,740,30 $1,065,251 $1,065,25 $15,627,256.4 $16,692,507.52 $215,113,047.29 2A-1 5.264000% $8,966,035. $39,331.01 $39,331.0 $8,966,035.59 $9,005,366.60 $0.00 2A-2 5.440000% $200,000,00 $906,666.6 $906,666. $6,416,310.48 $7,322,977.15 $193,583,689.52 2A-3 5.590000% $166,560,00 $775,892.0 $775,892.00 $0.00 $775,892.00 $166,560,000.00 3A-1 5.450000% $234,489,25 $1,064,972 $1,064,97 $2,093,717.49 $3,158,689.54 $232,395,541.25 B-1 5.840000% $59,600,000 $290,053.3 $290,053.33 $0.00 $290,053.33 $59,600,000.00 B-2 6.140000% $34,500,000 $176,525.0 $176,525.00 $0.00 $176,525.00 $34,500,000.00 B-3 6.890000% $20,000,000 $114,833.3 $114,833.33 $0.00 $114,833.33 $20,000,000.00 - ------------------------------------------------------------------------------------------ $954,855,59 $4,433,524 $4,433,52 $33,103,320.0 $37,536,844.47 $921,752,278.06 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-Jul-99 Date: Reporting Jun-99 Month Amounts Per Individual Security Class Original Original Integral Record Interest Interest Payment Principal Realized Ending Remaining Balance % of Pool Denomination Date Accrual Payment Losses Balance Principal Factor - ----------------------------------------------------------------------------------------------------------------------------- 1A-1 $262,000,000.00 17.03% $1,000.00 Jun-99 0.00000000 0.00000000 0.00000000 $0.00 $0.00 0.00000000 1A-2 $238,000,000.00 15.47% $1,000.00 Jun-99 4.47584483 4.47584483 65.66074139 $0.00 $215,113,040 .90383633 2A-1 $300,000,000.00 19.50% $1,000.00 Jun-99 0.13110336 0.13110336 29.88678530 $0.00 $0.00 0.00000000 2A-2 $200,000,000.00 13.00% $1,000.00 Jun-99 4.53333333 4.53333333 32.08155240 $0.00 $193,583,68 0.96791845 2A-3 $166,560,000.00 10.82% $1,000.00 Jun-99 4.65833333 4.65833333 0.00000000 $0.00 $166,560,00 1.00000000 3A-1 $258,173,000.00 16.78% $1,000.00 Jun-99 4.12503263 4.12503263 8.10974614 $0.00 $232,395,54 0.90015432 B-1 $59,600,000.00 3.87% $1,000.00 Jun-99 4.86666667 4.86666667 0.00000000 $0.00 $59,600,000 1.00000000 B-2 $34,500,000.00 2.24% $1,000.00 Jun-99 5.11666667 5.11666667 0.00000000 $0.00 $34,500,000 1.00000000 B-3 $20,000,000.00 1.30% $1,000.00 Jun-99 5.74166667 5.74166667 0.00000000 $0.00 $20,000,000 1.00000000 - ----------------------------------------------------------------------------------------------------------------------------- $1,538,833,000.00 Funds Account Activity Summary MERIT Series 11 Payment 28-Jul-99 Date: Reporting Jun-99 Month Collateral Proceeds Account Beginning $0.00 Balance Deposits Withdrawals Interest Net of $6,342,039.02 Interest $4,433,524.46 Servicing Fee Payments Principal $33,099,558.62 Principal $33,103,320.01 Payment Deposits from Reserve $218,446.65 Surplus $1,753,005.34 Fund Other $0.00 Dynex $155,509.22 Deposits Servicing Fee Collateralized $214,685.26 Reserve Fund Total $39,660,044.29 Total $39,660,044.29 Deposits Withdrawals 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 28-Jul-99 Date: Reporting Jun-99 Month Ending Initial Coverage Beginning Period Adjustments Losses Ending Period Coverage Collateral Coverage Balance -------------------------------------------------------------------------------------------------------- ----------- Type Purpose % $ % $ $ $ $ % $ - --------------------------------------------------------------------------------------------------------------------------------- Reserve and Over 3.29% $52,317,8145.02% $50,433,273.63 $0.00 $218,446.65 $971,808,412.5.17% $50,214,826.98 Collateralization Amount Beginning Current WithdrawalsEnding Type Balance Deposits for Reserve Losses Balance - ------------------------------------------------------------------ Collateralized Reserve $24,209.47 $214,685.2$218,446.$20,448.08 Fund Reserve Collateral Ending Balance Surplus Summary Class Total Distribution - ------------------------- Surplus $1,753,005.34 Delinquency Statistics UNDERLYING % of LOANS* Underlying Loans # of Loans Current Current Balance Balance - ---------------------------------------------- 30 Days 98 $4,709,835 1.17% 60 Days 39 $2,399,613 0.60% 90 + days 32 $1,794,859 0.45% F/C 19 $888,293 0.22% REO 45 $1,955,502 0.49% - ---------------------------------------------- 233 $11,748,102 2.93% DIRECTLY HELD LOANS** % of Directly Held Loans # of Loans Current Current Balance Balance - ---------------------------------------------- 30 Days 69 $12,154,340 2.13% 60 Days 17 $2,458,565 0.43% 90 + days 43 $7,426,030 1.30% F/C 27 $4,413,878 0.77% REO 14 $2,159,193 0.38% - ---------------------------------------------- 170 $28,612,006 5.01% *Covered by various Pool Insurance policies ** Not covered by Pool Insurance policy