SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 8-K CURRENT REPORT Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934 Date of Report (date of earliest event reported):November 25, 1997 FINANCIAL ASSET SECURITIES CORP., (as depositor under the Pooling and Servicing Agreement, dated as of May 1, 1997, providing for the issuance of Financial Asset Securities Corp., Empire Funding Home Loan Owner Trust 1997-2, Home Loan Asset Backed Notes Series 1997-2. (Exact name of registrant as specified in its charter) Delaware 333-21071-09 52-6858090 (State or Other Jurisdiction (Commission (I.R.S. Employer of Incorporation) File Number) Identification No.) 600 Steamboat Road Greenwich, Connecticut 06830 (Address of Principal Executive Offices) (Zip Code) Registrant's telephone number, including area code: (203) 625-2700 Item 5.Other Events On behalf of Empire Funding Home Loan Owner Trust 1997-2, Home Loan Asset-Backed Notes, Series 1997-2, a Trust created pursuant to the Pooling and Servicing Agreement, dated May 1, 1997, by First Bank National Association, as trustee for the Trust, the Trustee has caused to be filed with the Commission, the Monthly Report dated November 25, 1997. The Monthly Report is filed pursuant to and in accordance with (1) numerous no-action letters (2) current Commission policy in the area. The filing of the Monthly Report will occur subsequent to each monthly distribution to the holders of the Certificates, Due September 25, 2023. A. Monthly Report Information: Aggregate distribution information for the current distribution date November 25, 1997. Principal Interest Ending Balance Cede & Co $1,874,535.49 $888,969.34 $132,059,738.12 B. No delinquency in payment under the Certificate Guaranty Insurance Policy has occurred. C. Have any deficiencies occurred? NO. Date: Amount: D. Were any amounts paid or are any amounts payable under the Certificate Guaranty Insurance Policy? NO Amount: E. Are there any developments with respect to the Certificate Insurance Guaranty Policy? NONE. F. Item 1: Legal Proceedings: NONE G. Item 2: Changes in Securities: NONE H Item 4: Submission of Matters to a Vote of Certificatholders: NONE I. Item 5: Other Information - Form 10-Q, Part II - Items 1,2,4,5 if applicable: NOT APPLICABLE Item 7. Monthly Statements and Exhibits Exhibit No. 1. Monthly Distribution Report dated November 25, 1997. EMPIRE FUNDING HOME LOAN OWNER TRUST 1997-2 PASS-THROUGH CERTIFICATES SERIES 1997-2 DISTRIBUTION STATEMENT Distribution Date: 11/25/97 Beginning Ending Certificate Principal Interest Total Certificate Class Balance Distribution DistributionDistribution Balance A-1 11,234,273.61 1,874,535.49 82,852.77 1,957,388.26 9,359,738.12 A-2 16,500,000.00 0.00 106,975.00 106,975.00 16,500,000.00 A-3 25,500,000.00 0.00 165,325.00 165,325.00 25,500,000.00 A-4 11,000,000.00 0.00 70,308.33 70,308.33 11,000,000.00 A-5 24,016,000.00 0.00 159,306.13 159,306.13 24,016,000.00 A-6 7,000,000.00 0.00 45,150.00 45,150.00 7,000,000.00 M-1 16,728,000.00 0.00 108,732.00 108,732.00 16,728,000.00 M-2 15,683,000.00 0.00 104,945.41 104,945.41 15,683,000.00 B 6,273,000.00 0.00 45,374.70 45,374.70 6,273,000.00 Total 133,934,273.61 1,874,535.49 888,969.34 2,763,504.83 132,059,738.12 Payment of LossInterest Allocable Reimbursement CarLoss Class Deficiency Amount Amount A-1 NA 0.00 NA A-2 NA 0.00 NA A-3 NA 0.00 NA A-4 NA 0.00 NA A-5 NA 0.00 NA A-6 NA 0.00 NA M-1 0.00 0.00 0.00 M-2 0.00 0.00 0.00 B 0.00 0.00 0.00 Total 0.00 0.00 0.00 AMOUNTS PER $1,000 UNIT Ending Current Principal Interest Total Certificate Pass-Through Class Distribution Distribution DistributionBalance Interest Rate A-1 113.60821152 5.02138000 118.62959152 567.25685576 8.85000% A-2 0.00000000 6.48333333 6.48333333 1,000.00000000 7.78000% A-3 0.00000000 6.48333333 6.48333333 1,000.00000000 7.78000% A-4 0.00000000 6.39166636 6.39166636 1,000.00000000 7.67000% A-5 0.00000000 6.63333319 6.63333319 1,000.00000000 7.96000% A-6 0.00000000 6.45000000 6.45000000 1,000.00000000 7.74000% M-1 0.00000000 6.50000000 6.50000000 1,000.00000000 7.80000% M-2 0.00000000 6.69166677 6.69166677 1,000.00000000 8.03000% B 0.00000000 7.23333333 7.23333333 1,000.00000000 8.68000% Payment of LossInterest Allocable Reimbursement CarrLoss Class Amount Amount Amount A-1 NA 0.00000000 NA A-2 NA 0.00000000 NA A-3 NA 0.00000000 NA A-4 NA 0.00000000 NA A-5 NA 0.00000000 NA A-6 NA 0.00000000 NA M-1 0.00000000 0.00000000 0.00000000 M-2 0.00000000 0.00000000 0.00000000 B 0.00000000 0.00000000 0.00000000 EMPIRE FUNDING HOME LOAN OWNER TRUST 1997-2 PASS-THROUGH CERTIFICATES SERIES 1997-2 Distribution Date: 11/25/97 Distribution Statement Pooling and Servicing Agreement Dated May 1, 1997 i) Available Collection Amount 2,852,093.21 Available Distribution Amount 2,763,504.83 ii) Beginning and Ending Class Principal Balances See page 1 Beginning Pool Principal Balance 136,126,047.12 Ending Pool Principal Balance 134,821,764.57 iii) Class Factors Class A-1 0.68086507 0.56725686 Class A-2 1.00000000 1.00000000 Class A-3 1.00000000 1.00000000 Class A-4 1.00000000 1.00000000 Class A-5 1.00000000 1.00000000 Class A-6 1.00000000 1.00000000 Class M-1 1.00000000 1.00000000 Class M-2 1.00000000 1.00000000 Class B 1.00000000 1.00000000 iv) Interest from Mortgagors / Master Servicer 1,568,177.13 Interest from Purchased Loans 0.00 Interest from Liquidated Mortgage Loans 0.00 Interest from Capitalized Interest Subsequent Deposit 0.00 1,568,177.13 Principal Collections (Regular Installments) 173,171.54 Principal Collections (Curtailments and Paid in Fulls) 1,099,808.41 Substitution Adjustment 0.00 Principal from Liquidated Mortgage Loans 0.00 Principal from Purchased Loans 0.00 1,272,979.95 Total Payments 2,841,157.08 plus: Capitalized Interest Requirement 0.00 plus: Amts remaining upon termination of Pre_funded Acct 0.00 plus: Int. Income on Collection, Certificate, & Note Dist. Accts 10,936.13 less: Trust Fees and Expenses 88,588.38 Available Distribution Amount 2,763,504.83 v) Optimal Principal Balances: 0.00 Senior 0.00 Class M-1 0.00 Class M-2 0.00 Class B 0.00 vi) Overcollateralization Deficiency Amount (before distribution 10,367,529.09 Amounts distributed to the Residual Interest 0.00 vii) Servicing Compensation 85,078.78 Indenture Trustee Fee 3,176.27 Owner Trustee Fee 333.33 viii) Overcollateralization Amount 2,762,026.45 Overcollateralization Target Amount 12,528,000.00 Net Loan Losses 0.00 Cumulative Net Loan Losses 0.00 Allocable Loss Amount 0.00 Excess Spread 601,555.54 Beginning Ending ix) Weighted Average Maturity of the Home Loans 230 229 weighted avg. Home Loan Int Rate of the Home Loans 13.806% 13.804% x) Performance information in Servicer's Monthly Remittance Report 60 Day Delinquency Amount 1,239,846.36 Six-Month Rolling Delinquency Average 392,147.58 Net Delinquency Calculation Amount 0.00 xiii) Current Aggregate Combination Loans Number Prin Balance Number A)Defaulted Home Loans 1 31,302.60 1 B)Liquidated Home Loans 1 31,302.60 1 C)Deleted Home Loans because Defective 0 0.00 0 D)Deleted Home Loans because Defaulted 0 0.00 0 Current Aggregate Debt Consolidation Loans Number Prin Balance Number A)Defaulted Home Loans 0 0.00 0 B)Liquidated Home Loans 0 0.00 0 C)Deleted Home Loans because Defective 0 0.00 0 D)Deleted Home Loans because Defaulted 0 0.00 0 xiv) Delinquency And Foreclosure Information: # of Account Prin Balance % of Total 30-59 Days Delinquent 37 1,065,285.40 0.790% 60-89 Days Delinquent 11 394,324.69 0.292% 90-179 Days Delinquent 19 610,449.87 0.453% 180 or more Days Delinquent 0 0.00 0.000% Loans in foreclosure proceedings 0 0.00 0.000% Foreclosed Properties 0 0.00 0.000% Loans in bankruptcy proceedings# of Account Prin Balance % of Total 30-59 Days Delinquent 0 0.00 0.000% 60-89 Days Delinquent 5 130,744.90 0.097% 90-179 Days Delinquent 5 104,326.90 0.077% 180 or more Days Delinquent 0 0.00 0.000% Aggregate 10 235,071.80 0.174% SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized. FINANCIAL ASSET SECURITIES CORPORATION By /s/ James Kaufman Name: Jim Kaufman Title: Assistant Vice President, First National Association Dated: November 30, 1997