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 25, 2003

ASSET BACKED FUNDING CORPORATION,  (as depositor under the Pooling and Servicing
Agreement,  dated April 1, 2003  providing  for the issuance of 2003-CB2  Trust,
C-BASS Mortgage Loan Asset-Backed Certificates, Series 2003-CB2).

                       ASSET BACKED FUNDING CORPORATION
             (Exact name of registrant as specified in its charter)


         Delaware                  333-90830-03                 75-2533468
     (State or other          (Commission File Number)       (IRS Employer
     jurisdiction of                                       Identification No.)
     incorporation)


100 North Tyron Sreet
Charlotte, North Carolina                                        28255
(Address pof principal executive offices)                       (Zip Code)


       Registrant's telephone number, including area code : (703) 386-2400

                                       N/A
         (Former name or former address, if changed since last report.)


<page>



Item 5.    Other Events.


     This  current  report  on Form  8-K  relates  to the  monthly  distribution
reported to the holders of 2003-CB2  Trust,  C-BASS  Mortgage Loan  Asset-Backed
Certificates, Series 2003-CB2 pursuant to the terms of the Pooling and Servicing
Agreement,  dated April 1, 2003 among Asset Backed Funding Corp.,  as depositor,
Litton Loan Servicing LP as servicer, and JPMorgan Chase Bank, as trustee.

     On September 25, 2003  distributions  were made to the  Certificateholders.
Specific information with respect to the distributions is filed as Exhibit 99.1.
No other  reportable  transactions  or matters have occurred  during the current
reporting period.




Item 7.    Financial Statements and Exhibits.

           (a)   Not applicable

           (b)   Not applicable

           (c)   The following exhibit is filed as part of this report:

                 Statement to Certificateholders on September 25, 2003
                 as Exhibit 99.1.



                                      -2-

<page>

2003-CB2 Trust
C-BASS Mortgage  Loan  Asset-Backed  Certificates,  Series 2003-CB2
- -------------------------------------------------------------------------------



SIGNATURE


     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.

                                     JPMorgan Chase Bank,


Date:  October 2, 2003                  By: /s/  Diane E. Wallace
                                       ------------------------------------
                                        Diane E. Wallace
                                        Assistant Vice President






                                      -3-
<page>
INDEX TO EXHIBITS


      Exhibit
      Number                  Description of Exhibits

        99.1             Statement to Certificateholders
                         September 25, 2003


                                      -4-




                                  Exhibit 99.1

                         Statement to Certificateholders
                                  September 25, 2003

                                      -5-
<page>

<table>

                         CREDIT-BASED LOAN ASSET-BACKED CERTIFICATES, SERIES 2003-CB2
                                           STATEMENT TO CERTIFICATEHOLDERS
                                               September 25, 2003

<s>       <c>       <c>
- -----------------------------------------------------------------------------------------------------------------------------------
                                             DISTRIBUTION IN DOLLARS
- -----------------------------------------------------------------------------------------------------------------------------------
                ORIGINAL        BEGINNING                                                                               ENDING
                    FACE         PRINCIPAL                                               REALIZED     DEFERRED        PRINCIPAL
CLASS              VALUE          BALANCE      PRINCIPAL   INTEREST        TOTAL         LOSSES       INTEREST        BALANCE
- ----------------------------------------------------------------------------------------------------------------------------------
AF1       60,300,000.00     45,272,426.86  4,863,046.06     47,461.02   4,910,507.08      0.00            0.00       40,409,380.80
AF2       31,600,000.00     31,600,000.00          0.00     82,354.83      82,354.83      0.00            0.00       31,600,000.00
AF3       22,771,000.00     22,771,000.00          0.00     98,485.43      98,485.43      0.00            0.00       22,771,000.00
AV1       66,700,000.00     57,992,159.00  3,914,444.78     62,788.96   3,977,233.74      0.00            0.00       54,077,714.22
AV2       14,069,000.00     14,069,000.00          0.00     20,672.97      20,672.97      0.00            0.00       14,069,000.00
M1        15,205,000.00     15,205,000.00          0.00     63,878.22      63,878.22      0.00            0.00       15,205,000.00
M2        12,286,000.00     12,286,000.00          0.00     56,651.98      56,651.98      0.00            0.00       12,286,000.00
B1         8,393,000.00      8,393,000.00          0.00     34,329.51      34,329.51      0.00            0.00        8,393,000.00
B2         4,258,000.00      4,258,000.00          0.00     20,526.36      20,526.36      0.00            0.00        4,258,000.00
N         12,900,000.00      8,941,694.52    977,282.22     65,795.97   1,043,078.19      0.00            0.00        7,964,412.30
R                  0.00              0.00          0.00          0.00           0.00      0.00            0.00                0.00
TOTALS   248,482,000.00    220,788,280.38  9,754,773.06    552,945.25  10,307,718.31      0.00            0.00      211,033,507.32

AIO       92,000,000.00     75,000,000.00          0.00    218,289.24     218,289.24      0.00            0.00       71,000,000.00
X                  0.00              0.00          0.00          0.00           0.00      0.00            0.00                0.00
- -----------------------------------------------------------------------------------------------------------------------------------

- --------------------------------------------------------------------------------------------------  ------------------------------
             FACTOR INFORMATION PER $1,000 OF ORIGINAL FACE                                           PASS-THROUGH RATES
- --------------------------------------------------------------------------------------------------  ------------------------------
                                                                                                                    CURRENT
                       BEGINNING                                                      ENDING                         PASS-THRU
CLASS     CUSIP        PRINCIPAL       PRINCIPAL        INTEREST        TOTAL       PRINCIPAL           CLASS          RATE
- --------------------------------------------------------------------------------------------------  ------------------------------
AF1     04542BCQ3      750.78651509   80.64753002   0.78708159    81.43461161          670.13898507     AF1           1.220000 %
AF2     04542BCR1    1,000.00000000    0.00000000   2.60616551     2.60616551        1,000.00000000     AF2           3.134000 %
AF3     04542BCS9    1,000.00000000    0.00000000   4.32503755     4.32503755        1,000.00000000     AF3           5.201000 %
AV1     04542BCT7      869.44766117   58.68732804   0.94136372    59.62869175          810.76033313     AV1           1.260000 %
AV2     04542BCU4    1,000.00000000    0.00000000   1.46939868     1.46939868        1,000.00000000     AV2           1.710000 %
M1      04542BCW0    1,000.00000000    0.00000000   4.20113252     4.20113252        1,000.00000000     M1            5.052000 %
M2      04542BCX8    1,000.00000000    0.00000000   4.61110044     4.61110044        1,000.00000000     M2            5.545000 %
B1      04542BCY6    1,000.00000000    0.00000000   4.09025497     4.09025497        1,000.00000000     B1            4.760000 %
B2      04542BCZ3    1,000.00000000    0.00000000   4.82065759     4.82065759        1,000.00000000     B2            5.610000 %
N       N/A            693.15461395   75.75831163   5.10046279    80.85877442          617.39630233     N             8.830000 %
TOTALS                 888.54838733   39.25746356   2.22529298    41.48275654          849.29092377

AIO     04542BCV2      815.21739130    0.00000000   2.37270913     2.37270913          771.73913043     AIO           3.500000 %
- ---------------------------------------------------------------------------------------------  ----------------------------------

If there are any questions or problems with this statement, please contact the Administrator listed below:

                     ---------------------------------------
                              TAOHEED A AGBABIAKA
               JPMorgan Chase Bank - Structured Finance Services
                          4 NEW YORK PLAZA, 6TH FLOOR,
                         New York, New York 10004-2477
                              Tel: (212) 623-4481
                              Fax: (212) 623-5858
                     Email: taoheed.agbabiaka@jpmorgan.com

                     ---------------------------------------



<page>
Sec. 4.06(iii) O/C Amount                                                              7,286,043.12
Sec. 4.06(iii) Targeted O/C Amount                                                     7,286,043.12
Sec. 4.06(iii) O/C Deficiency Amount                                                           0.00
Sec. 4.06(iii) O/C Release Amount                                                              0.00
Sec. 4.06(iii) Monthly Excess Interest                                                   898,238.55
Sec. 4.06(iii) Monthly Excess Cash Flow Amount                                           898,238.55
Sec. 4.06(iii) Extra Principal Distribution Amount                                        45,486.70

Sec. 4.06(iv) Servicing Compensation                                                           0.00

Sec. 4.06(v) Current Advances                                                            649,159.49

Sec. 4.06(vi) Ending Collateral Balance Group 1                                      122,981,259.18
Sec. 4.06(vi) Ending Collateral Balance Group 2                                       87,373,878.96
Sec. 4.06(vi) Total Ending Collateral Balance                                        210,355,138.14

Sec. 4.06(vii) Total Beginning Number of Loans                                             1,995.00
Sec. 4.06(vii) Total Group 1 Beginning Number of Loans                                     1,365.00
Sec. 4.06(vii) Total Group 2 Beginning Number of Loans                                       630.00

Sec. 4.06(vii) Total Ending Number of Loans                                                1,943.00
Sec. 4.06(vii) Total Group 1 Ending Number of Loans                                        1,330.00
Sec. 4.06(vii) Total Group 2 Ending Number of Loans                                          613.00

Sec. 4.06(vii) Weighted Average Net Mortgage Rate for All Loans                              8.79 %
Sec. 4.06(vii) Group 1 Weighted Average Net Mortgage Rate                                    8.94 %
Sec. 4.06(vii) Group 2 Weighted Average Net Mortgage Rate                                    8.56 %

Sec. 4.06(vii)Group 1 Weighted Average Term to Maturity                                      312.00
Sec. 4.06(vii)Group 2 Weighted Average Term to Maturity                                      343.00

Sec. 4.06(viii)Loans Delinquent
                                           Group 1
                                                                                     Principal
                                          Category              Number                Balance               Percentage
                                          1 Month                        89             7,281,163.34                  5.92 %
                                          2 Month                        42             2,771,871.14                  2.25 %
                                          3 Month                        50             3,470,468.13                  2.82 %
                                          Total                     181                13,523,502.61                 10.99 %
                                           Group 2
                                                                                     Principal
                                          Category              Number                Balance               Percentage
                                          1 Month                        38             6,135,164.12                  7.02 %
                                          2 Month                        11             2,084,441.85                  2.39 %
                                          3 Month                        14             2,146,213.67                  2.46 %
                                           Total                         63            10,365,819.64                 11.87 %
                                           Group Totals
                                                                                     Principal
                                          Category              Number                Balance               Percentage
                                          1 Month                       127            13,416,327.46                  6.38 %
                                          2 Month                        53             4,856,312.99                  2.31 %
                                          3 Month                        64             5,616,681.80                  2.67 %
                                           Total                        244            23,889,322.25                 11.36 %

                                          Please Note: Delinquency Numbers Include Bankruptcies and Foreclosures

Sec. 4.06(viii)Loans in Foreclosures
                                                               Loans in Foreclosure
                                           Group 1
                                                                Principal
                                           Number               Balance                Percentage
                                                    22            1,868,322.38                  1.52 %
                                           Group 2
                                                                Principal
                                           Number               Balance                Percentage
                                                     5              699,804.56                  0.80 %
                                          Group Totals
                                                                Principal
                                           Number               Balance                Percentage
                                                    27            2,568,126.94                  1.22 %


Sec. 4.06(viii)Loans in Bankruptcy
                                                               Loans in Bankruptcy

                                           Group 1
                                                                Principal
                                           Number               Balance                Percentage
                                                    15            1,052,916.45                  0.86 %
                                           Group 2
                                                                Principal
                                           Number               Balance                Percentage
                                                     8            1,228,785.21                  1.41 %

                                          Group Totals
                                                                Principal
                                           Number               Balance                Percentage
                                                    23            2,281,701.66                  1.08 %

Sec. 4.06(ix)Loans in REO
                                           Group 1
                                                                Principal
                                           Number               Balance                Percentage
                                                     3              163,893.71                  0.13 %
                                           Group 2
                                                                Principal
                                           Number               Balance                Percentage
                                                     2              305,001.33                  0.35 %
                                          Group Totals
                                                                Principal
                                           Number               Balance                Percentage
                                                     5              468,895.04                  0.22 %

Sec. 4.06(xi) Principal Prepayments
Principal Prepayments Group 1                                                                  4,707,885.94
Principal Prepayments Group 2                                                                  3,830,717.72

Sec. 4.06(xii) Prepayment Penalties/Premiums                                                     190,326.34

Sec. 4.06(xiii) Realized Losses
Current Realized Losses Incurred in Group 1                                                       45,547.62
Current Realized Losses Incurred in Group 2                                                            0.00
Cumulative Realized Losses Incurred in Group 1                                                    45,547.62
Cumulative  Realized Losses Incurred in Group 2                                                        0.00

Sec. 4.06(xiv) Class M1 Unpaid Realized Loss Amount                                                    0.00
Sec. 4.06(xiv) Class M1 Applied Realized Loss Amount                                                   0.00

Sec. 4.06(xiv) Class M2 Unpaid Realized Loss Amount                                                    0.00
Sec. 4.06(xiv) Class M2 Applied Realized Loss Amount                                                   0.00

Sec. 4.06(xiv) Class B1 Unpaid Realized Loss Amount                                                    0.00
Sec. 4.06(xiv) Class B1 Applied Realized Loss Amount                                                   0.00

Sec. 4.06(xiv) Class B2 Unpaid Realized Loss Amount                                                    0.00
Sec. 4.06(xiv) Class B2 Applied Realized Loss Amount                                                   0.00

Sec. 4.06(xvii) Unpaid Interest
Class AF1 Unpaid Interest Shortfall                                                                    0.00
Class AF2 Unpaid Interest Shortfall                                                                    0.00
Class AF3 Unpaid Interest Shortfall                                                                    0.00
Class AV1 Unpaid Interest Shortfall                                                                    0.00
Class AV2 Unpaid Interest Shortfall                                                                    0.00
Class AIO Unpaid Interest Shortfall                                                                    0.00
Class M1 Unpaid Interest Shortfall                                                                     0.00
Class M2 Unpaid Interest Shortfall                                                                     0.00
Class B1  Unpaid Interest Shortfall                                                                    0.00
Class B2  Unpaid Interest Shortfall                                                                    0.00
Class N Unpaid Interest Shortfall                                                                      0.00

Current Period Relief Act Interest Shortfalls                                                      1,489.03

Class AF1 Interest Accrual Relief Act Reduction                                                      100.18
Class AF2 Interest Accrual Relief Act Reduction                                                      173.83
Class AF3 Interest Accrual Relief Act Reduction                                                      207.88
Class AV1 Interest Accrual Relief Act Reduction                                                      132.53
Class AV2 Interest Accrual Relief Act Reduction                                                       43.64
Class AIO Interest Accrual Relief Act Reduction                                                      460.76
Class M1  Interest Accrual Relief Act Reduction                                                      134.83
Class M2 Interest Accrual Relief Act Reduction                                                       119.58
Class B1  Interest Accrual Relief Act Reduction                                                       72.46
Class B2  Interest Accrual Relief Act Reduction                                                       43.33
Total Class Interest Accrual Relief Act Reduction                                                  1,489.03

Sec. 4.06(xviii) Net Prepayment Interest Shortfalls                                                    0.00
Class AF1  Prepayment Interest Shortfall Reduction                                                     0.00
Class AF2  Prepayment Interest Shortfall Reduction                                                     0.00
Class AF3  Prepayment Interest Shortfall Reduction                                                     0.00
Class AV1  Prepayment Interest Shortfall Reduction                                                     0.00
Class AV2  Prepayment Interest Shortfall Reduction                                                     0.00
Class AIO  Prepayment Interest Shortfall Reduction                                                     0.00
Class M1   Prepayment Interest Shortfall Reduction                                                     0.00
Class M2  Prepayment Interest Shortfall Reduction                                                      0.00
Class B1   Prepayment Interest Shortfall Reduction                                                     0.00
Class B2   Prepayment Interest Shortfall Reduction                                                     0.00

Sec. 4.06(xxi) Trustee Fee Paid                                                                    2,282.63

Sec. 4.06(xxii)Net Rate Carryover Amount - Class AF1                                                   0.00
Sec. 4.06(xxii)Unpaid Net Rate Carryover Amount - Class AF1                                            0.00
Sec. 4.06(xxii)Net Rate Carryover Amount - Class AV1                                                   0.00
Sec. 4.06(xxii)Unpaid Net Rate Carryover Amount - Class AV1                                            0.00
Sec. 4.06(xxii)Net Rate Carryover Amount - Class AV2                                                   0.00
Sec. 4.06(xxii)Unpaid Net Rate Carryover Amount - Class AV2                                            0.00
Sec. 4.06(xxii)Net Rate Carryover Amount - Class B1                                                    0.00
Sec. 4.06(xxii)Unpaid Net Rate Carryover Amount - Class B1                                             0.00
Sec. 4.06(xxii)Net Rate Carryover Amount - Class B2                                                    0.00
Sec. 4.06(xxii)Unpaid Net Rate Carryover Amount - Class B2                                             0.00

Sec. 4.06(xiv) Has the Trigger Event Occured                                                             NO

Sec. 4.06 Rolling 6 Month Prior Delinquency Percentage                                                  N/A

Sec. 4.06 Cumulative Realized Losses as a Percentage of Original Collateral Balance                0.0000 %

Sec. 4.06(xxv) Available Funds
Available Funds                                                                               10,337,963.83
Interest Remittance Amount                                                                     1,605,959.69
Principal Remittance Amount                                                                    8,732,004.14

Sec 4.06 Repurchased Principal                                                                         0.00

Sec 4.06 Class X Distributable Amount                                                                  0.00