- -------------------------------------------------------------------------------- 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) September 2, 1999 First Alliance Mortgage Company ------------------------------------------------------ (Exact name of registrant as specified in its charter) California 333-44585-08 95-2944875 - -------------------------------- ---------------- ---------------------- (State or Other Jurisdiction of (Commission File (I.R.S. Employer Incorporation) Number) Identification No.) 92614-6203 17305 Von Karman Avenue ---------------------- Irvine, California (Zip Code) - ---------------------------------------- (Address of Principal Executive Offices) Registrant's telephone number, including area code (949) 224-8500 -------------- No Change ------------------------------------------------------------- (Former name or former address, if changed since last report) - -------------------------------------------------------------------------------- Item 5. Other Events. ------------- In connection with the offering of First Alliance Mortgage Company Mortgage Loan Asset Backed Certificates, Series 1999-3, described in a Prospectus Supplement to be dated as of September 1999, certain "Computational Materials" within the meaning of the May 20, 1994 Kidder, Peabody No-Action Letter and the February 17, 1995 Public Securities Association No-Action Letter were furnished to certain prospective investors (the "Related Computational Materials"). The Related Computational Materials furnished to certain prospective investors by the Underwriter, Lehman Brothers Inc., are filed herewith as Exhibit 99.1. Item 7. Financial Statements, Pro Forma Financial Information and Exhibits. ------------------------------------------------------------------- (a) Not applicable (b) Not applicable (c) Exhibits: 99.1 Computational Materials provided by Lehman Brothers Inc. in connection with sales efforts related to the Registrant's securities. 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 hereunto duly authorized. By: FIRST ALLIANCE MORTGAGE COMPANY, as Company By: /s/ Francisco Nebot ---------------------------------- Name: Francisco Nebot Title: Executive Vice President and Chief Financial Officer Dated: September 2, 1999 - -------------------------------------------------------------------------------- DERIVED INFORMATION - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- $117,440,000 Certificates (approximate) First Alliance Mortgage Loan Trust 1999-3 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- First Alliance Mortgage Company (Seller & Servicer) - -------------------------------------------------------------------------------- LEHMAN BROTHERS - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- First Alliance Mortgage Loan Trust 1999-3 - -------------------------------------------------------------------------------- - --------------------------------------------------------------------------------------------------------------- To Maturity Est. Est. Prin. Expected Stated Expected Approx. Tsy. WAL Window Final Final Ratings Class Size Group Type BMark (yrs) (mos) Maturity Maturity (S&P/Moody's) A-1 * 39,640,000 F FXD - PT Curve 3.51 1 - 192 09/20/15 T.B.D. AAA/Aaa A-2 * 77,800,000 A FLT - PT 1 m LI 2.59 1 - 160 01/20/13 T.B.D. AAA/Aaa - --------------------------------------------------------------------------------------------------------------- - --------------------------------------------------------------------------------------------------------------- To 10% Call Est. Est. Prin. Expected Stated Expected Approx. Tsy. WAL Window Final Final Ratings Class Size Group Type BMark (yrs) (mos) Maturity Maturity (S&P/Moody's) A-1 * 39,640,000 F FXD - PT Curve 3.16 1 - 83 08/20/06 T.B.D. AAA/Aaa A-2 * 77,800,000 A FLT - PT 1 m LI 2.43 1 - 83 08/20/06 T.B.D. AAA/Aaa - --------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Pricing Speed Group I 125% PPC 100% PPC assumes that prepayments start at 4% CPR in month one, increase by approximately 1.455% each month to 20% CPR in month twelve, and remain at 20% CPR thereafter. Group II 30% CPR - -------------------------------------------------------------------------------- * Priced to call. After the 10% optional termination date, the Class A-1 interest rate will increase by 0.50% and the Class A-2 margin will double. - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Sensitivity Analysis - To Maturity - -------------------------------------------------------------------------------- - --------------------------------------------------------------------------------------------------------------- Group A % of CPR 10% 15% 20% 30% 35% 40% 50% Group F % of PPC 50% 75% 100% 125% 175% 200% 250% Class A-1 - --------- Yield @ 99.97719 7.722 7.708 7.693 7.687 7.638 7.618 7.573 Average Life (yrs.) 7.67 5.58 4.33 3.51 2.53 2.21 1.75 Window (mo.) 1-338 1-292 1-236 1-192 1-135 1-116 1-88 Expected Final Mat. 11/20/27 1/20/24 5/20/19 9/20/15 12/20/10 5/20/09 1/20/07 Duration (yrs.) 4.90 3.92 3.25 2.76 2.11 1.88 1.53 Class A-2 - --------- Average Life (yrs.) 7.63 5.36 4.03 2.59 2.16 1.82 1.35 Window (mo.) 1-335 1-296 1-241 1-160 1-134 1-113 1-84 Expected Final Mat. 8/20/27 5/20/24 10/20/19 1/20/13 11/20/10 2/20/09 9/20/06 - --------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Sensitivity Analysis - To 10% Call - -------------------------------------------------------------------------------- - --------------------------------------------------------------------------------------------------------------- Group A % of CPR 10% 15% 20% 30% 35% 40% 50% Group F % of PPC 50% 75% 100% 125% 175% 200% 250% Class A-1 - --------- Yield @ 99.97719 7.715 7.694 7.672 7.646 7.603 7.579 7.529 Average Life (yrs.) 7.34 5.26 4.04 3.16 2.35 2.04 1.62 Window (mo.) 1-221 1-158 1-119 1-83 1-65 1-55 1-42 Expected Final Mat. 2/20/18 11/20/12 8/20/09 8/20/06 2/20/05 4/20/04 3/20/03 Duration (yrs.) 4.83 3.82 3.13 2.59 2.00 1.78 1.45 Class A-2 - --------- Average Life (yrs.) 7.24 4.98 3.72 2.43 2.00 1.69 1.25 Window (mo.) 1-221 1-158 1-119 1-83 1-65 1-55 1-42 Expected Final Mat. 2/20/18 11/20/12 8/20/09 8/20/06 2/20/05 4/20/04 3/20/03 - --------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Total Number of Loans 389 Total Outstanding Loan Balance $35,239,006.40 Average Loan Current Balance $90,588.71 $15,185.00 to 353,999.00 WA Coupon 9.18% 7.49% to 14.15% WA Original Term (mo.) 333 120 to 360 WA Remaining Term (mo.) 332 119 to 360 WA CLTV 60.74% 9.80% to 85.00% Weighted Average FICO 625 314 to 819 Lien Position (first/second) 98.54%/1.46% Property Type Single Family 90.49% Condo 1.67% Two-to-Four Family 6.95% Other 0.88% Occupancy Status Owner Occupied 98.18% Non-Owner Occupied 1.82% Geographic Distribution other states account individually CA: 34.95% for less than 5% of pool balance NY: 26.15% NJ: 6.42% IL: 6.07% - -------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Current Balances ($) No of % of Group F Loans Current Balance ($) Current Balance 0.01 - 25,000.00 14 289,453.83 0.82 25,000.01 - 50,000.00 59 2,268,505.60 6.44 50,000.01 - 75,000.00 87 5,528,535.40 15.69 75,000.01 - 100,000.00 99 8,690,868.91 24.66 100,000.01 - 125,000.00 61 6,731,052.84 19.10 125,000.01 - 150,000.00 33 4,481,815.43 12.72 150,000.01 - 175,000.00 11 1,775,368.23 5.04 175,000.01 - 200,000.00 12 2,199,066.73 6.24 200,000.01 - 225,000.00 6 1,290,354.43 3.66 225,000.01 - 250,000.00 2 480,730.00 1.36 250,000.01 - 275,000.00 2 534,637.00 1.52 275,000.01 - 300,000.00 1 290,459.00 0.82 300,000.01 - 325,000.00 1 324,160.00 0.92 350,000.01 - 375,000.00 1 353,999.00 1.00 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Loan Rates (%) No of % of Group F Loans Current Balance ($) Current Balance 7.001 - 7.500 3 215,382.32 0.61 7.501 - 8.000 20 2,278,579.88 6.47 8.001 - 8.500 54 5,588,765.28 15.86 8.501 - 9.000 108 9,776,538.57 27.74 9.001 - 9.500 84 8,048,799.48 22.84 9.501 - 10.000 75 6,020,768.31 17.09 10.001 - 10.500 20 1,669,094.27 4.74 10.501 - 11.000 8 617,092.94 1.75 11.001 - 11.500 3 119,297.86 0.34 11.501 - 12.000 2 86,981.24 0.25 12.001 - 12.500 4 246,224.46 0.70 12.501 - 13.000 5 209,155.79 0.59 13.001 - 13.500 2 323,553.00 0.92 14.001 - 14.500 1 38,773.00 0.11 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Prepayment Penalties - -------------------------------------------------------------------------------- No of % of Group F Loans Current Balance ($) Current Balance - --------------------------------------------------------------------------------------------------------------------- No Prepay Penalty 189 16,627,429.63 47.18 1% of original principal balance for 5 13 756,865.96 2.15 years 6 mos interest on 80% of UPB for 1 year 56 5,742,172.25 16.29 3 mos interest on 100% of UPB for 3 2 144,970.54 0.41 years 6 mos interest on 80% of UPB for 5 127 11,840,784.02 33.60 years 2 mos interest on 80% of UPB for 3 1 40,433.00 0.11 years 5% of prepayment amount for 1 year 1 86,351.00 0.25 Total: 389 35,239,006.40 100.00 - --------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Original Term to Stated Maturity (months) No of % of Group F Loans Current Balance ($) Current Balance 120 11 358,091.11 1.02 180 59 4,010,254.69 11.38 240 18 1,316,702.53 3.74 360 301 29,553,958.07 83.87 Total: 389 35,239,006.40 100.00 Remaining Term to Stated Maturity (months) No of % of Group F Loans Current Balance ($) Current Balance <=120 11 358,091.11 1.02 121 - 180 59 4,010,254.69 11.38 181 - 240 18 1,316,702.53 3.74 301 - 360 301 29,553,958.07 83.87 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Seasoning - -------------------------------------------------------------------------------- (months) No of % of Group F Loans Current Balance ($) Current Balance - -------------------------------------------------------------------------------- 0 272 24,706,600.70 70.11 1-3 114 10,329,867.88 29.31 4-6 2 118,267.52 0.34 7-12 1 84,270.30 0.24 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Combined Loan-to-Value Ratio (%) No of % of Group F Loans Current Balance ($) Current Balance 5.01 - 10.00 1 24,903.00 0.07 10.01 - 15.00 9 253,884.92 0.72 15.01 - 20.00 9 278,760.33 0.79 20.01 - 25.00 13 627,218.34 1.78 25.01 - 30.00 11 624,313.49 1.77 30.01 - 35.00 20 1,046,733.01 2.97 35.01 - 40.00 19 1,325,864.54 3.76 40.01 - 45.00 22 1,544,601.78 4.38 45.01 - 50.00 33 3,086,120.18 8.76 50.01 - 55.00 28 2,665,636.06 7.56 55.01 - 60.00 26 2,464,344.78 6.99 60.01 - 65.00 54 5,102,778.37 14.48 65.01 - 70.00 62 7,496,223.72 21.27 70.01 - 75.00 40 4,304,261.24 12.21 75.01 - 80.00 25 2,332,195.15 6.62 80.01 - 85.00 17 2,061,167.49 5.85 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Occupancy Type No of % of Group F Loans Current Balance ($) Current Balance Primary 380 34,598,244.00 98.18 Investor 9 640,762.40 1.82 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Property Type - -------------------------------------------------------------------------------- No of % of Group F Loans Current Balance ($) Current Balance - -------------------------------------------------------------------------------- S 351 31,889,313.80 90.49 F 29 2,449,247.81 6.95 Condo 6 589,468.55 1.67 M 1 222,710.00 0.63 P 2 88,266.24 0.25 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- States - -------------------------------------------------------------------------------- No of % of Group F Loans Current Balance ($) Current Balance - -------------------------------------------------------------------------------- CA 119 12,317,531.39 34.95 NY 88 9,214,900.46 26.15 NJ 30 2,262,653.84 6.42 IL 30 2,139,598.81 6.07 MN 13 1,237,179.15 3.51 PA 18 1,089,407.96 3.09 UT 14 1,063,294.64 3.02 WA 11 1,037,553.14 2.94 OR 11 995,107.25 2.82 FL 11 864,903.31 2.45 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 States (continued) No of % of Group F Loans Current Balance ($) Current Balance CO 11 822,904.58 2.34 MD 10 780,012.21 2.21 OH 13 758,040.15 2.15 AZ 6 480,039.63 1.36 CT 2 95,181.04 0.27 DC 2 80,698.84 0.23 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Loan Modification - -------------------------------------------------------------------------------- Modified Loans No of % of Group F Loans Current Balance Current Balance - -------------------------------------------------------------------------------- N 388 35,102,890.40 99.61 Y 1 136,116.00 0.39 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Months Delinquent - -------------------------------------------------------------------------------- Months Currently No of % of Group F Delinquent Loans Current Balance Current Balance - -------------------------------------------------------------------------------- 0 387 35,120,858.41 99.66 1 2 118,147.99 0.34 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Lien Position No of % of Group F Loans Current Balance ($) Current Balance 1 378 34,723,735.72 98.54 2 11 515,270.68 1.46 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- FICO - -------------------------------------------------------------------------------- FICO No of % of Group F Loans Current Balance ($) Current Balance - -------------------------------------------------------------------------------- 0 - 440 4 349,503.68 0.99 461 - 480 3 313,788.82 0.89 481 - 500 7 715,780.54 2.03 501 - 520 16 1,426,169.02 4.05 521 - 540 12 959,426.34 2.72 541 - 560 18 1,417,357.66 4.02 561 - 580 55 4,422,718.40 12.55 581 - 600 39 3,379,881.39 9.59 601 - 620 40 3,487,834.29 9.90 621 - 640 46 4,597,457.96 13.05 641 - 660 46 4,558,856.25 12.94 661 - 680 28 2,666,508.99 7.57 681 - 700 24 2,271,156.05 6.45 701 - 720 16 1,538,712.80 4.37 721 - 740 10 801,418.39 2.27 741 - 760 13 1,244,067.12 3.53 761 - 780 6 573,269.98 1.63 781 - 800 4 364,593.72 1.03 801 - 820 2 150,505.00 0.43 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Documentation Type No of Loans % of Group F Current Balance ($) Current Balance Full 308 27,775,640.01 78.82 No Doc 49 4,332,995.65 12.30 Alternate 32 3,130,370.74 8.88 Total: 389 35,239,006.40 100.00 Credit Grade Credit Grade No of Loans % of Group F Current Balance ($) Current Balance A loans 213 19,603,062.18 55.63 A- loans 1 51,100.00 0.15 B loans 30 2,109,851.04 5.99 B- loans 1 61,800.59 0.18 C loans 12 827,520.16 2.35 D loans 5 303,766.09 0.86 AA 98 9,692,485.28 27.50 BB 29 2,589,421.06 7.35 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Debt-To-Income - -------------------------------------------------------------------------------- Debt-To-Income No of Loans % of Group F Current Balance ($) Current Balance - -------------------------------------------------------------------------------- 5.01 - 10.00 2 209,798.30 0.60 10.01 - 15.00 4 257,089.00 0.73 15.01 - 20.00 12 721,954.91 2.05 20.01 - 25.00 29 2,565,607.22 7.28 25.01 - 30.00 40 3,297,147.12 9.36 30.01 - 35.00 49 3,715,330.29 10.54 35.01 - 40.00 54 4,139,671.35 11.75 40.01 - 45.00 62 5,695,244.73 16.16 45.01 - 50.00 59 6,803,454.25 19.31 50.01 - 55.00 36 3,475,792.31 9.86 55.01 - 60.00 32 3,365,385.71 9.55 60.01 - 65.00 10 992,531.21 2.82 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group F Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the fixed rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Loan Purpose No of Loans % of Group F Current Balance ($) Current Balance Cash Out Refinance 328 31,851,090.95 90.39 Debt Consolidation 26 1,587,189.01 4.50 Home Improvement 32 1,526,266.15 4.33 Investment 1 125,528.00 0.36 Rate/Term Refinance 2 148,932.29 0.42 Total: 389 35,239,006.40 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - ----------------------------------------------------------------------------------------- Loan Group A Collateral Summary - ----------------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Total Number of Loans 451 Total Outstanding Loan Balance $56,632,065.22 Average Loan Current Balance $125,569.99 $20,441.00 to $411,326.47 WA Coupon 8.41% 6.29% to 11.85% ARM Characteristics Margin 5.37% 4.49% to 7.50% First Periodic Cap 1.48% 1.00% to 3.00% Subsequent Periodic Cap 1.00% Lifetime Cap 15.40% 13.29% to 18.85% Lifetime Floor 8.41% 6.29% to 11.85% WA Original Term (mo.) 351 120 to 360 WA Remaining Term (mo.) 350 119 to 360 Lien Position (first/second) 100.00%/0.00% WA LTV 68.06% 15.19% to 85.27% Loan Type 2 yr Fixed, 6 mo LI ARM 74.01% 3 yr Fixed, 6 mo LI ARM 1.91% 6 mo LI ARM 24.08% WA Mos to Next Rate Adjustment 20 Property Type Single Family 88.12% Two- to Four-Family 6.67% Condo 3.11% PUD 2.10% Occupancy Status Owner Occupied 96.00% Non-Owner Occupied 4.00% Geographic Distribution other states account individually CA: 51.67% for less than 5% of pool balance NJ: 13.13% NY: 6.22% IL: 5.76% - ----------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Current Balances ($) No of Loans % of Group A Current Balance ($) Current Balance 0.01 - 25,000.00 2 45,264.00 0.08 25,000.01 - 50,000.00 20 791,942.93 1.40 50,000.01 - 75,000.00 73 4,613,022.62 8.15 75,000.01 - 100,000.00 97 8,480,858.67 14.98 100,000.01 - 125,000.00 93 10,491,761.36 18.53 125,000.01 - 150,000.00 50 6,841,776.81 12.08 150,000.01 - 175,000.00 31 5,027,958.51 8.88 175,000.01 - 200,000.00 23 4,271,048.69 7.54 200,000.01 - 225,000.00 19 4,028,920.58 7.11 225,000.01 - 250,000.00 16 3,772,570.06 6.66 250,000.01 - 275,000.00 9 2,360,005.00 4.17 275,000.01 - 300,000.00 6 1,720,543.12 3.04 300,000.01 - 325,000.00 4 1,260,722.00 2.23 325,000.01 - 350,000.00 3 1,021,365.57 1.80 350,000.01 - 375,000.00 3 1,091,223.00 1.93 400,000.01 - 425,000.00 2 813,082.30 1.44 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Loan Rates (%) No of % of Group A Loans Current Balance ($) Current Balance 6.001 - 6.500 7 746,973.58 1.32 6.501 - 7.000 14 1,560,298.59 2.76 7.001 - 7.500 45 5,594,971.79 9.88 7.501 - 8.000 94 11,810,256.25 20.85 8.001 - 8.500 102 13,910,443.88 24.56 8.501 - 9.000 93 12,084,653.95 21.34 9.001 - 9.500 41 5,560,882.58 9.82 9.501 - 10.000 31 3,062,398.31 5.41 10.001 - 10.500 5 483,795.01 0.85 10.501 - 11.000 11 1,131,525.21 2.00 11.001 - 11.500 5 487,788.59 0.86 11.501 - 12.000 3 198,077.48 0.35 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------- Prepayment Penalties - -------------------------------------------------------------------------------------------------- No of % of Group A Loans Current Balance ($) Current Balance - -------------------------------------------------------------------------------------------------- No Prepay Penalty 259 31,054,902.03 54.84 1% of original principal balance for 5 24 2,379,128.85 4.20 years 6 mos interest on 80% of UPB for 1 year 1 411,326.47 0.73 3 mos interest on 100% of UPB for 3 2 356,061.68 0.63 years 6 mos interest on 80% of UPB for 5 162 22,137,584.54 39.09 years 2 mos interest on 80% of UPB for 3 1 72,698.65 0.13 years 2% of prepayment amount for 5 years 1 104,113.00 0.18 3% of prepay amount for 2 years 1 116,250.00 0.21 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Original Term to Stated Maturity (months) No of % of Group A Loans Current Balance ($) Current Balance 120 2 175,822.58 0.31 180 23 2,285,400.78 4.04 240 7 526,937.00 0.93 300 1 108,715.02 0.19 360 418 53,535,189.84 94.53 Total: 451 56,632,065.22 100.00 Remaining Term to Stated Maturity (months) No of % of Group A Loans Current Balance ($) Current Balance <=120 2 175,822.58 0.31 121 - 180 23 2,285,400.78 4.04 181 - 240 7 526,937.00 0.93 241 - 300 1 108,715.02 0.19 301 - 360 418 53,535,189.84 94.53 Total: 451 56,632,065.22 100.00 Seasoning (months) No of % of Group A Loans Current Balance ($) Current Balance 0 350 43,253,428.96 76.38 1-3 98 12,611,248.11 22.27 4-6 3 767,388.15 1.36 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Loan-to-Value Ratio (%) No of % of Group A Loans Current Balance ($) Current Balance 15.01 - 20.00 5 293,610.00 0.52 20.01 - 25.00 5 272,662.00 0.48 25.01 - 30.00 7 433,916.29 0.77 30.01 - 35.00 9 762,604.33 1.35 35.01 - 40.00 15 1,023,358.74 1.81 40.01 - 45.00 17 1,522,220.51 2.69 45.01 - 50.00 21 1,531,866.23 2.70 50.01 - 55.00 21 2,075,733.91 3.67 55.01 - 60.00 41 4,739,755.93 8.37 60.01 - 65.00 59 7,415,825.58 13.09 65.01 - 70.00 59 7,832,048.13 13.83 70.01 - 75.00 85 13,346,313.36 23.57 75.01 - 80.00 63 8,704,947.23 15.37 80.01 - 85.00 43 6,527,985.98 11.53 85.01 - 90.00 1 149,217.00 0.26 Total: 451 56,632,065.22 100.00 Occupancy Type No of % of Group A Loans Current Balance ($) Current Balance Primary 430 54,368,870.92 96.00 Investor 21 2,263,194.30 4.00 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Property Type - -------------------------------------------------------------------------------- No of % of Group A Loans Current Balance ($) Current Balance - -------------------------------------------------------------------------------- S 397 49,902,308.40 88.12 F 30 3,776,808.96 6.67 Condo 15 1,762,001.59 3.11 P 9 1,190,946.27 2.10 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 States No of % of Group A Loans Current Balance ($) Current Balance CA 194 29,259,330.69 51.67 NJ 64 7,435,126.29 13.13 NY 28 3,523,509.00 6.22 IL 35 3,264,821.25 5.76 CO 23 2,396,553.82 4.23 WA 21 2,238,726.15 3.95 OR 13 1,557,457.86 2.75 OH 16 1,494,893.85 2.64 CT 8 1,017,093.94 1.80 FL 13 991,705.49 1.75 AZ 8 963,936.98 1.70 MD 10 936,175.96 1.65 UT 6 587,165.66 1.04 PA 8 520,413.44 0.92 DC 2 225,672.00 0.40 AK 1 115,369.84 0.20 VA 1 104,113.00 0.18 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Debt-To-Income - -------------------------------------------------------------------------------- Debt-To-Income No of % of Group A Loans Current Balance ($) Current Balance - -------------------------------------------------------------------------------- 10.01 - 15.00 1 63,690.00 0.11 15.01 - 20.00 15 1,446,750.79 2.55 20.01 - 25.00 35 3,334,711.17 5.89 25.01 - 30.00 43 4,529,904.42 8.00 30.01 - 35.00 41 5,427,297.23 9.58 35.01 - 40.00 68 8,781,614.69 15.51 40.01 - 45.00 66 7,569,215.25 13.37 45.01 - 50.00 79 11,034,102.76 19.48 50.01 - 55.00 64 9,084,653.74 16.04 55.01 - 60.00 28 3,464,919.06 6.12 60.01 - 65.00 10 1,669,883.11 2.95 65.01 - 70.00 1 225,323.00 0.40 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 - -------------------------------------------------------------------------------- FICO - -------------------------------------------------------------------------------- FICO - -------------------------------------------------------------------------------- 441 - 460 3 233,008.29 0.41 461 - 480 4 438,488.18 0.77 481 - 500 7 916,452.01 1.62 501 - 520 15 1,845,365.56 3.26 521 - 540 30 3,020,208.24 5.33 541 - 560 64 7,655,288.85 13.52 561 - 580 57 6,601,022.90 11.66 581 - 600 59 7,507,606.74 13.26 601 - 620 54 7,394,297.88 13.06 621 - 640 44 6,543,250.71 11.55 641 - 660 21 2,646,258.84 4.67 661 - 680 27 3,888,694.90 6.87 681 - 700 26 3,422,443.42 6.04 701 - 720 17 2,309,560.42 4.08 721 - 740 15 1,427,907.82 2.52 741 - 760 2 219,210.00 0.39 761 - 780 2 270,473.29 0.48 781 - 800 4 292,527.17 0.52 Total: 451 56,632,065.22 100 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Loan Purpose - -------------------------------------------------------------------------------- No of Loans % of Group F Current Balance ($) Current Balance - -------------------------------------------------------------------------------- Cash Out Refinance 423 54,459,608.10 96.16 Debt Consolidation 13 844,886.42 1.49 Home Improvement 13 797,643.23 1.41 Investment 1 118,601.00 0.21 Purchase 1 411,326.47 0.73 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 - -------------------------------------------------------------------------------- Documentation Type - -------------------------------------------------------------------------------- No of Loans % of Group A Current Balance ($) Current Balance - -------------------------------------------------------------------------------- Full 306 37,515,304.90 66.24 No Doc 102 13,280,233.18 23.45 Alternate 43 5,836,527.14 10.31 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Credit Grade - -------------------------------------------------------------------------------- No of Loans % of Group A Current Balance ($) Current Balance - -------------------------------------------------------------------------------- A loans 208 28,916,411.66 51.06 A- loans 1 213,500.00 0.38 B+ loans 1 239,868.63 0.42 B loans 51 5,930,925.99 10.47 B- loans 3 314,090.00 0.55 C loans 27 2,729,660.14 4.82 D loans 17 1,584,407.18 2.80 AA 83 9,969,366.45 17.60 BB 60 6,733,835.17 11.89 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Product Type - -------------------------------------------------------------------------------- No of Loans % of Group A Current Balance ($) Current Balance - -------------------------------------------------------------------------------- 2/28 6 Month Libor 329 41,915,058.36 74.01 3/27 6 Month Libor 5 1,081,051.15 1.91 6 Month Libor 117 13,635,955.71 24.08 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Margin (%) No of Loans % of Group A Current Balance ($) Current Balance 4.001 - 4.500 39 3,913,170.05 6.91 4.501 - 5.000 165 19,719,713.15 34.82 5.001 - 5.500 137 20,272,463.37 35.80 5.501 - 6.000 54 6,674,342.77 11.79 6.001 - 6.500 25 2,356,650.86 4.16 6.501 - 7.000 12 1,830,208.47 3.23 7.001 - 7.500 19 1,865,516.55 3.29 Total: 451 56,632,065.22 100.00 Next Rate Adjustment Date No of Loans % of Group A Current Balance ($) Current Balance 1999-12 1 125,857.64 0.22 2000-01 5 579,939.08 1.02 2000-02 34 3,866,207.29 6.83 2000-03 50 5,553,288.70 9.81 2000-04 25 3,175,959.00 5.61 2000-05 2 334,704.00 0.59 2001-08 58 8,039,244.10 14.20 2001-09 135 15,988,541.26 28.23 2001-10 114 14,994,708.00 26.48 2001-11 22 2,892,565.00 5.11 2002-03 1 240,691.84 0.43 2002-04 1 411,326.47 0.73 2002-05 1 115,369.84 0.20 2002-10 1 198,873.00 0.35 2002-11 1 114,790.00 0.20 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Loan Modification - -------------------------------------------------------------------------------- No of Loans % of Group A Current Balance ($) Current Balance - -------------------------------------------------------------------------------- N 451 56,632,065.22 100.00 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Lifetime Cap (%) No of Loans % of Group A Current Balance ($) Current Balance 13.001 - 13.500 7 746,973.58 1.32 13.501 - 14.000 14 1,560,298.59 2.76 14.001 - 14.500 45 5,594,971.79 9.88 14.501 - 15.000 94 11,810,256.25 20.85 15.001 - 15.500 104 14,562,462.19 25.71 15.501 - 16.000 92 11,548,005.48 20.39 16.001 - 16.500 40 5,445,512.74 9.62 16.501 - 17.000 31 3,062,398.31 5.41 17.001 - 17.500 5 483,795.01 0.85 17.501 - 18.000 11 1,131,525.21 2.00 18.001 - 18.500 5 487,788.59 0.86 18.501 - 19.000 3 198,077.48 0.35 Total: 451 56,632,065.22 100.00 First Period Cap (%) No of Loans % of Group A Current Balance ($) Current Balance 1 117 13,635,955.71 24.08 1.5 308 39,061,418.93 68.97 3 26 3,934,690.58 6.95 Total: 451 56,632,065.22 100.00 Subsequent Period Cap (%) No of Loans % of Group A Current Balance ($) Current Balance 1 451 56,632,065.22 100.00 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document). - -------------------------------------------------------------------------------- Loan Group A Collateral Summary - -------------------------------------------------------------------------------- Collateral statistics for the adjustable rate home equity loans in the Statistic Calculation Pool, as of 7/31/99 Lifetime Floor (%) No of Loans % of Group A Current Balance ($) Current Balance 6.001 - 6.500 7 746,973.58 1.32 6.501 - 7.000 14 1,560,298.59 2.76 7.001 - 7.500 45 5,594,971.79 9.88 7.501 - 8.000 94 11,810,256.25 20.85 8.001 - 8.500 102 13,910,443.88 24.56 8.501 - 9.000 93 12,084,653.95 21.34 9.001 - 9.500 41 5,560,882.58 9.82 9.501 - 10.000 31 3,062,398.31 5.41 10.001 - 10.500 5 483,795.01 0.85 10.501 - 11.000 11 1,131,525.21 2.00 11.001 - 11.500 5 487,788.59 0.86 11.501 - 12.000 3 198,077.48 0.35 Total: 451 56,632,065.22 100.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- This information does not constitute either an offer to sell or a solicitation of an offer to buy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by , and this information must be read in conjunction with, the final Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). Information contained herein does not purport to be complete and is subject to the same qualifications and assumptions, and should be considered by investors only in the light of the same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the securities or an affiliate thereof and has not been independently verified by Lehman Brothers Inc. or any affiliate. The analyses contained herein have been prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. Lehman Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes any prior versions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained in the Offering Document).