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 : May 14, 2003 (Date of earliest event reported) Commission File No.: 333-53266-02 First Union Commercial Mortgage Securities, Inc. Commercial Mortgage Pass-Through Certificates Series 2001-C2 (Exact name of registrant as specified in its charter) New York (governing law of Pooling and Servicing Agreement) (State of Incorporation) 52-2316405 52-2316406 52-7184008 52-2316404 (I.R.S. Employer Identification No.) c/o Wells Fargo Bank Minnesota, N.A. 9062 Old Annapolis Road Columbia, Maryland 21045 (Address of principal executive offices) (Zip Code) (410) 884-2000 Registrant's Full Telephone Number (Former name, former address and former fiscal year, if changed since last report) ITEM 5. Other Events On May 14, 2003 a distribution was made to holders of First Union Commercial Mortgage Securities, Inc. Commercial Mortgage Pass-Through Certificates, Series 2001-C2. ITEM 7. Financial Statements and Exhibits (c) Exhibits Item 601(a) of Regulation S-K Exhibit Number Description (EX-99.1) Monthly report distributed to holders of Commercial Mortgage Pass-Through Certificates, Series 2001-C2, relating to the May 14, 2003 distribution. 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. First Union Commercial Mortgage Securities, Inc. Commercial Mortgage Pass-Through Certificates Series 2001-C2 By: Wells Fargo Bank Minnesota, N.A., as Trustee By: /s/ Beth Belfield, Assistant Vice President By: Beth Belfield, Assistant Vice President Date: May 14, 2003 INDEX TO EXHIBITS Exhibit Number Description (EX-99.1) Monthly report distributed to holders of Commercial Mortgage Pass-Through Certificates, Series 2001-C2, relating to the May 14, 2003 distribution. EX-99.1 Wells Fargo Bank Minnesota, N.A. Corporate Trust Services 9062 Old Annapolis Road Columbia, MD 21045-1951 First Union Commercial Mortgage Trust Commercial Mortgage Pass-Through Certificates Series 2001-C2 For Additional Information, please contact CTSLink Customer Service (301) 815-6600 Reports Available on the World Wide Web @ www.ctslink.com/cmbs Payment Date: 05/14/2003 Record Date: 04/30/2003 DISTRIBUTION DATE STATEMENT Table of Contents STATEMENT SECTIONS PAGE(s) Certificate Distribution Detail 2 Certificate Factor Detail 3 Reconciliation Detail 4 Other Required Information 5 Cash Reconciliation 6 Ratings Detail 7 Current Mortgage Loan and Property Stratification Tables 8 - 10 Mortgage Loan Detail 11 - 14 Principal Prepayment Detail 15 Historical Detail 16 Delinquency Loan Detail 17 Specially Serviced Loan Detail 18 - 19 Modified Loan Detail 20 Liquidated Loan Detail 21 Underwriter First Union Securities, Inc 201 South College Street Charlotte, NC 28288 Contact: William J. Cohane Phone Number: (704) 383-4984 Underwriter Merrill Lynch, Pierce, Fenner & Smith Inc. World Financial Center, North Tower 250 Vesey Street New York, NY 10281 Contact: John E. Gluszak Phone Number: (212) 449-1000 Master Servicer First Union National Bank Charlotte Plaza, Floor 23 NC-1075 201 South College Street Charlotte, NC 28288 Contact: Timothy S. Ryan Phone Number: (704) 593-7878 Special Servicer Lennar Partners, Inc. 760 N.W.107th Avenue Miami, FL 33172 Contact: Steve Bruha Phone Number: (305) 229-6614 This report has been compiled from information provided to Wells Fargo Bank MN, N.A. by various third parties, which may include the Servicer, Master Servicer, Special Servicer and others. Wells Fargo Bank MN, N.A. has not independently confirmed the accuracy of information received from these third parties and assumes no duty to do so. Wells Fargo Bank MN, N.A. expressly disclaims any responsibility for the accuracy or completeness of information furnished by third parties. Copyright 1997, Wells Fargo Bank Minnesota, N.A. Certificate Distribution Detail Class CUSIP Pass-Through Original Beginning Principal Rate Balance Balance Distribution <s> <c> <c> <c> <c> <c> A-1 33736XBY4 6.204000% 190,553,000.00 172,325,413.12 957,208.74 A-2 33736XBZ1 6.663000% 590,647,000.00 590,647,000.00 0.00 B 33736XCA5 6.819000% 42,565,000.00 42,565,000.00 0.00 C 33736XCB3 6.922000% 12,520,000.00 12,520,000.00 0.00 D 33736XCC1 6.951000% 12,519,000.00 12,519,000.00 0.00 E 33736XCD9 7.003000% 20,031,000.00 20,031,000.00 0.00 F 33736XCE7 7.123000% 10,015,000.00 10,015,000.00 0.00 G 33736XCF4 7.388000% 15,023,000.00 15,023,000.00 0.00 H 33736XCG2 7.487000% 17,527,000.00 17,527,000.00 0.00 J 33736XCH0 7.607553% 12,519,000.00 12,519,000.00 0.00 K 33736XCJ6 6.460000% 15,023,000.00 15,023,000.00 0.00 L 33736XCK3 6.460000% 20,031,000.00 20,031,000.00 0.00 M 33736XCL1 6.460000% 5,008,000.00 5,008,000.00 0.00 N 33736XCM9 6.460000% 6,048,000.00 6,048,000.00 0.00 O 33736XCN7 6.460000% 5,908,000.00 5,908,000.00 0.00 P 33736XCP2 6.460000% 3,939,000.00 3,939,000.00 0.00 Q 33736XCQ0 6.460000% 21,663,038.00 21,663,038.00 0.00 V 33736XCS6 6.828000% 1,175,111.70 1,331,343.26 -7,575.34 Z-I N/A 0.000000% 0.00 0.00 0.00 Z-II N/A 0.000000% 0.00 0.00 0.00 R-I N/A 0.000000% 0.00 0.00 0.00 R-II N/A 0.000000% 0.00 0.00 0.00 Totals 1,002,714,149.70 984,642,794.38 949,633.40 Class CUSIP Interest Prepayment Realized Loss/ Total Ending Current Distribution Penalties Additional Trust Distribution Balance Subordination Fund Expenses Level(1) <s> <c> <c> <c> <c> <c> <c> <c> A-1 33736XBY4 890,922.39 0.00 0.00 1,848,131.13 171,368,204.38 22.54% A-2 33736XBZ1 3,279,567.47 0.00 0.00 3,279,567.47 590,647,000.00 22.54% B 33736XCA5 241,875.61 0.00 0.00 241,875.61 42,565,000.00 18.21% C 33736XCB3 72,219.53 0.00 0.00 72,219.53 12,520,000.00 16.94% D 33736XCC1 72,516.31 0.00 0.00 72,516.31 12,519,000.00 15.66% E 33736XCD9 116,897.58 0.00 0.00 116,897.58 20,031,000.00 13.63% F 33736XCE7 59,447.37 0.00 0.00 59,447.37 10,015,000.00 12.61% G 33736XCF4 92,491.60 0.00 0.00 92,491.60 15,023,000.00 11.08% H 33736XCG2 109,353.87 0.00 0.00 109,353.87 17,527,000.00 9.30% J 33736XCH0 79,365.80 0.00 0.00 79,365.80 12,519,000.00 8.03% K 33736XCJ6 80,873.82 0.00 0.00 80,873.82 15,023,000.00 6.50% L 33736XCK3 107,833.55 0.00 0.00 107,833.55 20,031,000.00 4.46% M 33736XCL1 26,959.73 0.00 0.00 26,959.73 5,008,000.00 3.95% N 33736XCM9 32,558.40 0.00 0.00 32,558.40 6,048,000.00 3.34% O 33736XCN7 31,804.73 0.00 0.00 31,804.73 5,908,000.00 2.74% P 33736XCP2 21,204.95 0.00 0.00 21,204.95 3,939,000.00 2.34% Q 33736XCQ0 116,619.35 0.00 0.00 116,619.35 21,663,038.00 0.14% V 33736XCS6 7,575.34 0.00 0.00 0.00 1,338,918.60 0.00% Z-I N/A 0.00 0.00 0.00 0.00 0.00 0.00% Z-II N/A 0.00 0.00 0.00 0.00 0.00 0.00% R-I N/A 0.00 0.00 0.00 0.00 0.00 0.00% R-II N/A 0.00 0.00 0.00 0.00 0.00 0.00% Totals 5,440,087.40 0.00 0.00 6,389,720.80 983,693,160.98 Original Beginning Pass-Through Notional Notional Class CUSIP Rate Amount Amount <s> <c> <c> <c> <c> IO 33736XCR8 0.977899% 1,001,539,038.00 983,311,451.12 Ending Interest Prepayment Total Notional Class CUSIP Distribution Penalties Distribution Amount <s> <c> <c> <c> <c> <c> IO 33736XCR8 801,316.15 0.00 801,316.15 982,354,242.38 <FN> (1) Calculated by taking (A) the sum of the ending certificate balance of all classes less (B) the sum of (i) the ending certificate balance of the designated class and (ii) the ending certificate balance of all classes which are not subordinate to the designated class and dividing the result by (A). </FN> Certificate Factor Detail Realized Loss/ Beginning Principal Interest Prepayment Additional Trust Ending Class CUSIP Balance Distribution Distribution Penalties Fund Expenses Balance <c> <c> <c> A-1 33736XBY4 904.34374227 5.02332023 4.67545717 0.00000000 0.00000000 899.32042203 A-2 33736XBZ1 1,000.00000000 0.00000000 5.55250000 0.00000000 0.00000000 1,000.00000000 B 33736XCA5 1,000.00000000 0.00000000 5.68249994 0.00000000 0.00000000 1,000.00000000 C 33736XCB3 1,000.00000000 0.00000000 5.76833307 0.00000000 0.00000000 1,000.00000000 D 33736XCC1 1,000.00000000 0.00000000 5.79250020 0.00000000 0.00000000 1,000.00000000 E 33736XCD9 1,000.00000000 0.00000000 5.83583346 0.00000000 0.00000000 1,000.00000000 F 33736XCE7 1,000.00000000 0.00000000 5.93583325 0.00000000 0.00000000 1,000.00000000 G 33736XCF4 1,000.00000000 0.00000000 6.15666644 0.00000000 0.00000000 1,000.00000000 H 33736XCG2 1,000.00000000 0.00000000 6.23916643 0.00000000 0.00000000 1,000.00000000 J 33736XCH0 1,000.00000000 0.00000000 6.33962777 0.00000000 0.00000000 1,000.00000000 K 33736XCJ6 1,000.00000000 0.00000000 5.38333356 0.00000000 0.00000000 1,000.00000000 L 33736XCK3 1,000.00000000 0.00000000 5.38333333 0.00000000 0.00000000 1,000.00000000 M 33736XCL1 1,000.00000000 0.00000000 5.38333267 0.00000000 0.00000000 1,000.00000000 N 33736XCM9 1,000.00000000 0.00000000 5.38333333 0.00000000 0.00000000 1,000.00000000 O 33736XCN7 1,000.00000000 0.00000000 5.38333277 0.00000000 0.00000000 1,000.00000000 P 33736XCP2 1,000.00000000 0.00000000 5.38333333 0.00000000 0.00000000 1,000.00000000 Q 33736XCQ0 1,000.00000000 0.00000000 5.38333312 0.00000000 0.00000000 1,000.00000000 V 33736XCS6 1,132.95039101 -6.44648504 6.44648504 0.00000000 0.00000000 1,139.39687606 Z-I N/A 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 Z-II N/A 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 R-I N/A 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 R-II N/A 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 Beginnning Ending Notional Interest Prepayment Notional Class CUSIP Amount Distribution Penalties Amount IO 33736XCR8 981.80042296 0.80008479 0.00000000 980.84468514 Reconciliation Detail Advance Summary <s> <c> P & I Advances Outstanding 92,885.40 Servicing Advances Outstanding 0.00 Reimbursement for Interest on P&I Advances 0.00 paid from general collections Reimbursement for Interest on Servicing Advances 0.00 paid from general collections Aggregate amount of Nonrecoverable Advances 0.00 Servicing Fee Summary <s> <c> Current Period Accrued Servicing Fees 43,957.77 Less Delinquent Servicing Fees 506.54 Less Reductions to Servicing Fees 0.00 Plus Servicing Fees for Delinquent Payments Received 469.15 Plus Adjustments for Prior Servicing Calculation 0.00 Total Servicing Fees Collected 43,920.38 Certificate Interest Reconciliation Class Accrued Net Aggregate Deferred Distributable Distributable Additional Interest Remaining Unpaid Certificate Prepayment Interest Certificate Certificate Trust Distribution Distributable Interest Interest Shortfall Amount Interest Interest Fund Certificate Adjustment Expenses Interest <s> <c> <c> <c> <c> <c> <c> <c> <c> A-1 890,922.39 0.00 0.00 890,922.39 0.00 0.00 890,922.39 0.00 A-2 3,279,567.47 0.00 0.00 3,279,567.47 0.00 0.00 3,279,567.47 0.00 IO 801,316.15 0.00 0.00 801,316.15 0.00 0.00 801,316.15 0.00 B 241,875.61 0.00 0.00 241,875.61 0.00 0.00 241,875.61 0.00 C 72,219.53 0.00 0.00 72,219.53 0.00 0.00 72,219.53 0.00 D 72,516.31 0.00 0.00 72,516.31 0.00 0.00 72,516.31 0.00 E 116,897.58 0.00 0.00 116,897.58 0.00 0.00 116,897.58 0.00 F 59,447.37 0.00 0.00 59,447.37 0.00 0.00 59,447.37 0.00 G 92,491.60 0.00 0.00 92,491.60 0.00 0.00 92,491.60 0.00 H 109,353.87 0.00 0.00 109,353.87 0.00 0.00 109,353.87 0.00 J 79,365.80 0.00 0.00 79,365.80 0.00 0.00 79,365.80 0.00 K 80,873.82 0.00 0.00 80,873.82 0.00 0.00 80,873.82 0.00 L 107,833.55 0.00 0.00 107,833.55 0.00 0.00 107,833.55 0.00 M 26,959.73 0.00 0.00 26,959.73 0.00 0.00 26,959.73 0.00 N 32,558.40 0.00 0.00 32,558.40 0.00 0.00 32,558.40 0 O 31,804.73 0.00 0.00 31,804.73 0.00 0.00 31,804.73 0.00 P 21,204.95 0.00 0.00 21,204.95 0.00 0.00 21,204.95 0 Q 116,619.35 0.00 0.00 116,619.35 0.00 0.00 116,619.35 76.42 V 7,575.34 0.00 0.00 7,575.34 0.00 7,575.34 7,575.34 163,173.94 Total 6,241,403.55 0.00 0.00 6,241,403.55 0.00 7,575.34 6,241,403.55 163,250.36 Other Required Information <s> <c> Available Distribution Amount (1) 7,191,036.95 Aggregate Number of Outstanding Loans 108.00 Aggregate Stated Principal Balance of Loans Before Distribution 984,642,794.38 Aggregate Stated Principal Balance of Loans After Distribution 983,693,160.98 Aggregate Unpaid Principal Balance of Loans 983,715,733.29 Aggregate Amount of Servicing Fee 43,920.38 Aggregate Amount of Special Servicing Fee 0.00 Aggregate Amount of Trustee Fee 1,802.74 Aggregate Trust Fund Expenses 0.00 Interest Reserve Deposit 0.00 Interest Reserve Withdrawal 0.00 Specially Serviced Loans not Delinquent Number of Outstanding Loans 0.00 Aggregate Unpaid Principal Balance 0.00 (1) The Available Distribution Amount includes any Prepayment Premiums. Appraisal Reduction Amount Appraisal Cumulative Date Appraisal Loan Reduction ASER Reduction Number Amount Amount Effected <s> <c> <c> <c> None Total Cash Reconciliation Detail Total Funds Collected Interest: Scheduled Interest 6,287,164.06 Interest reductions due to Nonrecoverability Determinations 0.00 Interest Adjustments 0.00 Deferred Interest 0.00 Net Prepayment Interest Shortfall 0.00 Net Prepayment Interest Excess 0.00 Extension Interest 0.00 Interest Reserve Withdrawal 0.00 Total Interest Collected 6,287,164.06 Principal: Scheduled Principal 949,633.40 Unscheduled Principal 0.00 Principal Prepayments 0.00 Collection of Principal after Maturity Date 0.00 Recoveries from Liquidation and Insurance Proceeds 0.00 Excess of Prior Principal Amounts paid 0.00 Curtailments 0.00 Negative Amortization 0.00 Principal Adjustments 0.00 Total Principal Collected 949,633.40 Other: Prepayment Penalties/Yield Maintenance 0.00 Repayment Fees 0.00 Borrower Option Extension Fees 0.00 Equity Payments Received 0.00 Net Swap Counterparty Payments Received 0.00 Total Other Collected: 0.00 Total Funds Collected 7,236,797.46 Total Funds Distributed Fees: Master Servicing Fee 43,957.77 Trustee Fee 1,802.74 Certificate Administration Fee 0.00 Insurer Fee 0.00 Miscellaneous Fee 0.00 Total Fees 45,760.51 Additional Trust Fund Expenses: Reimbursement for Interest on Advances 0.00 ASER Amount 0.00 Special Servicing Fee 0.00 Rating Agency Expenses 0.00 Attorney Fees & Expenses 0.00 Bankruptcy Expense 0.00 Taxes Imposed on Trust Fund 0.00 Non-Recoverable Advances 0.00 Other Expenses 0.00 Total Additional Trust Fund Expenses 0.00 Interest Reserve Deposit 0.00 Payments to Certificateholders & Others: Interest Distribution 6,241,403.55 Principal Distribution 949,633.40 Prepayment Penalties/Yield Maintenance 0.00 Borrower Option Extension Fees 0.00 Equity Payments Paid 0.00 Net Swap Counterparty Payments Paid 0.00 Total Payments to Certificateholders & Others 7,191,036.95 Total Funds Distributed 7,236,797.46 Ratings Detail Original Ratings Current Ratings (1) Class CUSIP Fitch Moody's S&P Fitch Moody's S&P <s> <c> <c> <c> <c> <c> <c> A-1 33736XBY4 X Aaa AAA X Aaa AAA A-2 33736XBZ1 X Aaa AAA X Aaa AAA IO 33736XCR8 X Aaa AAA X Aaa AAA B 33736XCA5 X Aa2 AA X Aa2 AA C 33736XCB3 X Aa3 AA- X Aa3 AA- D 33736XCC1 X A1 A+ X A1 A+ E 33736XCD9 X A2 A X A2 A F 33736XCE7 X A3 A- X A3 A- G 33736XCF4 X Baa1 BBB+ X Baa1 BBB+ H 33736XCG2 X Baa2 BBB X Baa2 BBB J 33736XCH0 X Baa3 BBB- X Baa3 BBB- K 33736XCJ6 X Ba1 BB+ X Ba1 BB+ L 33736XCK3 X Ba2 BB X Ba2 BB M 33736XCL1 X Ba3 BB- X Ba3 BB- N 33736XCM9 X B1 B+ X B1 B+ O 33736XCN7 X B2 B X B2 B P 33736XCP2 X B3 B- X B3 B- Q 33736XCQ0 X NR NR X NR NR V 33736XCS6 X NR NR X NR NR <FN> NR - Designates that the class was not rated by the above agency at the time of original issuance. X - Designates that the above rating agency did not rate any classes in this transaction at the time of original issuance. N/A - Data not available this period. 1) For any class not rated at the time of original issuance by any particular rating agency, no request has been made subsequent to issuance to obtain rating information, if any, from such rating agency. The current ratings were obtained directly from the applicable rating agency within 30 days of the payment date listed above. The ratings may have changed since they were obtained. Because the ratings may have changed, you may want to obtain current ratings directly from the rating agencies. Fitch, Inc. One State Street Plaza New York, New York 10004 (212) 908-0500 Moody's Investors Service 99 Church Street New York, New York 10007 (212) 553-0300 Standard & Poor's Rating Services 55 Water Street New York, New York 10041 (212) 438-2430 </FN> Current Mortgage Loan and Property Stratification Tables Scheduled Balance % Of Scheduled # of Scheduled Agg. WAM Weighted Balance Loans Balance Bal. (2) WAC Avg DSCR(1) <s> <c> <c> <c> <c> <c> <c> Below 2,000,000 20 26,728,087.15 2.72 96 7.7507 1.420260 2,000,001 to 4,000,000 20 56,984,861.46 5.79 92 7.6594 1.331912 4,000,001 to 6,000,000 21 106,154,900.69 10.79 92 7.7659 1.495502 6,000,001 to 8,000,000 10 69,408,653.60 7.06 92 7.7582 1.978704 8,000,001 to 10,000,000 8 74,631,543.68 7.59 92 7.6292 1.333608 10,000,001 to 15,000,000 9 118,682,043.84 12.06 91 7.6261 1.549633 15,000,001 to 20,000,000 6 100,639,348.99 10.23 94 7.5424 1.297812 20,000,001 to 25,000,000 6 133,031,185.23 13.52 92 7.6412 1.882579 25,000,001 to 30,000,000 2 54,180,527.01 5.51 70 8.3626 1.060826 30,000,001 to 35,000,000 3 96,179,985.53 9.78 94 7.6841 1.037737 35,000,001 to 40,000,000 0 0.00 0.00 0 0.0000 0.000000 40,000,001 to 45,000,000 1 44,000,000.00 4.47 92 6.7940 2.100000 45,000,001 to 50,000,000 1 50,000,000.00 5.08 92 7.7500 1.432274 50,000,001 or greater 1 53,072,023.80 5.40 93 7.5800 1.492559 Totals 108 983,693,160.98 100.00 91 7.6624 1.499412 State(3) % Of # of Scheduled Agg. WAM Weighted State Props Balance Bal. (2) WAC Avg DSCR(1) <s> <c> <c> <c> <c> <c> <c> Alabama 3 9,919,876.15 1.01 96 7.2200 1.299365 Arizona 1 1,533,450.09 0.16 93 7.8750 1.614718 Arkansas 1 896,012.08 0.09 93 7.8750 1.572994 California 27 225,711,853.01 22.95 91 7.9615 1.665286 Connecticut 4 12,840,973.81 1.31 92 7.8009 1.505460 Delaware 2 11,508,342.62 1.17 93 7.3256 1.254420 Florida 14 96,716,943.17 9.83 82 7.7827 1.025914 Georgia 3 18,163,891.35 1.85 93 7.7312 1.455120 Hawaii 1 20,373,148.87 2.07 92 8.0000 1.280477 Idaho 1 869,399.07 0.09 93 8.0000 1.219610 Illinois 2 7,459,274.34 0.76 93 7.4876 1.040490 Indiana 1 12,400,000.00 1.26 96 7.4400 1.542772 Maine 1 9,264,422.03 0.94 95 7.3000 1.300000 Maryland 2 24,254,417.94 2.47 90 8.3300 1.641397 Massachusetts 3 7,309,785.74 0.74 93 7.8443 1.762698 Michigan 3 5,093,680.92 0.52 109 7.2163 1.269371 Missouri 1 2,435,826.50 0.25 93 7.8750 1.614718 Nevada 4 48,367,199.13 4.92 93 7.3348 1.069901 New Jersey 5 33,531,065.91 3.41 92 7.5196 1.340891 New Mexico 1 1,672,368.84 0.17 90 8.7500 2.721326 New York 7 80,505,084.65 8.18 93 7.8240 1.613115 North Carolina 2 26,851,420.98 2.73 95 7.1773 1.334561 Oklahoma 1 7,241,000.00 0.74 96 7.4400 1.787572 Pennsylvania 6 83,190,642.40 8.46 92 7.2026 1.739650 South Carolina 1 11,678,160.96 1.19 95 7.2900 1.320222 Tennessee 4 9,797,643.41 1.00 93 8.0249 1.238962 Texas 26 119,821,775.23 12.18 90 7.5493 1.676739 Virginia 6 38,381,430.73 3.90 95 7.3286 1.483317 Washington,DC 1 53,072,023.80 5.40 93 7.5800 1.492559 Wisconsin 1 2,832,047.24 0.29 93 7.7500 1.580000 Totals 135 983,693,160.98 100.00 91 7.6624 1.499412 Debt Service Coverage Ratio(1) Debt Service # of Scheduled % of Weighted Coverage Ratio Loans Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> Unknown 1 1,338,918.60 0.14 121 6.8280 NAP 1.04 or less 14 135,304,012.46 13.75 85 7.7308 0.867403 1.05 to 1.14 6 61,562,599.45 6.26 92 7.4207 1.076351 1.15 to 1.19 7 27,944,841.46 2.84 92 7.6892 1.178879 1.20 to 1.24 7 49,404,240.75 5.02 91 7.5597 1.220140 1.25 to 1.29 4 59,977,189.04 6.10 95 7.7807 1.281559 1.30 to 1.34 10 109,007,562.68 11.08 90 7.7145 1.319928 1.35 to 1.39 11 56,893,949.70 5.78 93 7.8303 1.362796 1.40 to 1.44 2 72,067,977.10 7.33 93 7.5693 1.422391 1.45 to 1.49 8 85,895,792.83 8.73 93 7.6066 1.481162 1.50 to 1.54 2 17,465,138.02 1.78 94 7.8054 1.532137 1.55 to 1.59 6 48,083,009.56 4.89 91 8.1760 1.578358 1.60 to 1.64 6 58,315,319.14 5.93 92 7.9341 1.627453 1.65 to 1.69 2 14,762,836.22 1.50 94 7.3898 1.669168 1.70 to 1.74 4 25,830,884.45 2.63 91 7.6851 1.708721 1.75 to 1.79 4 29,969,215.00 3.05 93 7.6191 1.778072 1.80 to 1.89 1 1,669,117.55 0.17 92 8.0000 1.803155 1.90 to 1.94 1 3,185,807.83 0.32 93 7.5000 1.900000 1.95 to 1.99 1 15,000,000.00 1.52 92 7.3500 1.980000 2.00 or greater 11 110,014,749.14 11.18 91 7.3582 2.833347 Totals 108 983,693,160.98 100.00 91 7.6624 1.499412 Property Type Property # of Scheduled % of Weighted Type Props Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> Industrial 7 49,403,958.75 5.02 92 8.0946 1.141112 Lodging 8 61,477,934.76 6.25 92 7.9274 1.430858 Mixed Use 3 36,617,922.17 3.72 90 7.8707 3.385897 Mobile Home Park 1 885,504.27 0.09 32 8.5000 1.150000 Multi-Family 40 329,660,964.48 33.51 89 7.5036 1.266518 Office 29 285,676,955.62 29.04 92 7.7229 1.671903 Retail 27 185,383,634.37 18.85 95 7.5635 1.377546 Self Storage 20 34,586,286.56 3.52 93 7.8750 1.593030 Totals 135 983,693,160.98 100.00 91 7.6624 1.499412 Note Rate Note # of Scheduled % of Weighted Rate Loans Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> 6.999% or less 7 54,879,499.58 5.58 98 6.8093 1.862462 7.000% to 7.249% 14 134,172,518.71 13.64 95 7.1769 1.198600 7.250% to 7.499% 22 225,912,581.76 22.97 92 7.3438 1.480965 7.500% to 7.749% 14 121,006,415.05 12.30 93 7.6057 1.367158 7.750% to 7.999% 18 191,900,732.78 19.51 93 7.8029 1.893924 8.000% to 8.249% 15 131,380,867.56 13.36 84 8.0485 1.264368 8.250% to 8.499% 8 45,024,537.75 4.58 86 8.3466 1.517472 8.500% to 8.749% 8 63,117,651.02 6.42 87 8.6570 1.366658 8.750% or greater 2 16,298,356.77 1.66 86 8.8577 1.704785 Totals 108 983,693,160.98 100.00 91 7.6624 1.499412 Seasoning # of Scheduled % of Weighted Seasoning Loans Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> 12 months or less 0 0.00 0.00 0 0.0000 0.000000 13 to 24 months 18 104,493,721.82 10.62 97 7.4162 1.342265 25 to 36 months 90 879,199,439.16 89.38 91 7.6916 1.518089 37 to 48 months 0 0.00 0.00 0 0.0000 0.000000 49 months and greater 0 0.00 0.00 0 0.0000 0.000000 Totals 108 983,693,160.98 100.00 91 7.6624 1.499412 Anticipated Remaining Term (ARD and Balloon Loans) Anticipated # of Scheduled % of Weighted Remaining Term(2) Loans Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> 60 months or less 3 32,251,214.19 3.28 53 8.0865 0.841093 61 to 84 months 1 11,792,911.89 1.20 78 7.4100 1.330000 85 to 108 months 89 875,088,874.28 88.96 92 7.6714 1.454583 109 to 120 months 0 0.00 0.00 0 0.0000 0.000000 121 months or greater 0 0.00 0.00 0 0.0000 0.000000 Totals 93 919,133,000.36 93.44 91 7.6826 1.431458 Remaining Stated Term (Fully Amortizing Loans) Remaining # of Scheduled % of Weighted Stated Term Loans Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> 108 months or less 9 53,680,661.04 5.46 93 7.4766 2.784062 109 to 120 months 0 0.00 0.00 0 0.0000 0.000000 121 to 144 months 6 10,879,499.58 1.11 121 6.8710 0.901786 145 to 300 months 0 0.00 0.00 0 0.0000 0.000000 301 to 348 months 0 0.00 0.00 0 0.0000 0.000000 349 to 360 months 0 0.00 0.00 0 0.0000 0.000000 361 months or greater 0 0.00 0.00 0 0.0000 0.000000 Totals 15 64,560,160.62 6.56 98 7.3746 2.466866 Remaining Amortization Term (ARD and Balloon Loans) Remaining # of Scheduled % of Weighted Amortization Term Loans Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> Interest Only 7 61,250,000.00 6.23 92 7.3500 1.882980 108 months or less 0 0.00 0.00 0 0.0000 0.000000 109 to 120 months 0 0.00 0.00 0 0.0000 0.000000 121 to 144 months 0 0.00 0.00 0 0.0000 0.000000 145 to 300 months 12 250,194,782.63 25.43 92 7.5594 1.544514 301 to 348 months 73 599,742,536.67 60.97 90 7.7653 1.311715 349 to 360 months 0 0.00 0.00 0 0.0000 0.000000 361 months or greater 1 7,945,681.06 0.81 91 7.8800 3.429208 Totals 93 919,133,000.36 93.44 91 7.6826 1.431458 Age of Most Recent NOI Age of Most # of Scheduled % of Weighted Recent NOI Loans Balance Agg. WAM WAC Avg DSCR(1) Bal. (2) <s> <c> <c> <c> <c> <c> <c> Underwriter's Information 3 15,753,010.51 1.60 92 8.2835 1.367478 Unknown 1 1,338,918.60 0.14 121 6.8280 NAP 1 year or less 91 868,205,752.66 88.26 91 7.6394 1.523898 1 to 2 years 13 98,395,479.21 10.00 92 7.7766 1.324887 2 years or greater 0 0.00 0.00 0 0.0000 0.000000 Totals 108 983,693,160.98 100.00 91 7.6624 1.499412 <FN> (1)The Trustee makes no representations as to the accuracy of the data provided by the borrower for this calculation. "NAP" means not applicable and relates to the omission of credit lease loans in the calculation of DSCR. (2)Anticipated Remaining Term and WAM are each calculated based upon the term from the current month to the earlier of the Anticipated Repayment Date, if applicable, and the maturity date. (3)Data in this table was calculated by allocating pro-rata the current loan information to the properties based upon the Cut-off Date Balance of the related mortgage loan as disclosed in the offering document. </FN> Mortgage Loan Detail Loan Property Interest Principal Gross Number ODCR Type(1) City State Payment Payment Coupon <s> <c> <c> <c> <c> <c> <c> <c> 265950394 1 OF Washington DC 335,692.50 71,907.31 7.580% 265950357 2 LO Various Various 322,916.67 0.00 7.750% 510000162 3 OF Philadelphia PA 249,113.33 0.00 6.794% 265950334 4 MF La Jolla CA 224,905.93 26,757.17 8.030% 510000172 5 RT Islip NY 208,985.43 26,092.37 7.770% 603000006 6 MF Tallahassee FL 182,505.34 28,128.90 7.210% 603000007 7 MF Various FL 188,827.13 22,322.17 8.050% 603000008 8 OF Anaheim CA 189,033.27 18,849.98 8.700% 510000146 9 OF Gaithersburg MD 168,494.22 18,459.61 8.330% 265950525 10 MU Sacramento CA 154,375.00 0.00 7.800% 265950455 11 MF Las Vegas NV 138,187.50 0.00 7.370% 265950554 12 OF New York NY 131,793.54 20,325.03 7.160% 510000160 13 RT Kaneohe HI 135,994.90 26,086.51 8.000% 265950520 14 MF Las Vegas NV 118,784.00 18,844.35 7.090% 510000165 15 SS Various Various 118,132.55 23,308.19 7.875% 265950445 16 IN Lake Forest CA 113,005.71 14,614.16 7.700% 265950532 17 RT Asheboro NC 101,303.47 15,530.70 7.178% 510000166 18 SS Various Various 109,134.22 21,532.77 7.875% 265950489 19 MF Riverside CA 96,876.62 14,406.14 7.320% 265950448 20 MF Neptune City NJ 94,803.13 22,291.58 7.250% 265950378 21 MF Irving TX 91,875.00 0.00 7.350% 510000129 22 OF New York NY 108,186.64 10,311.04 8.870% 503000023 23 MF Moon Township PA 87,444.53 12,752.78 7.380% 265950381 24 MF Irving TX 87,281.25 0.00 7.350% 265950457 25 RT Woodbridge VA 76,435.53 11,317.55 7.300% 265950614 26 MF Bloomington IN 76,880.00 0.00 7.440% 265950322 27 OF Bensalem Township PA 82,656.48 9,543.42 8.140% 265950611 28 RT Los Angeles CA 72,884.73 10,282.72 7.410% 503000029 29 RT Bluffton SC 71,008.58 10,493.51 7.290% 265950533 30 RT Randleman NC 59,443.66 9,119.22 7.176% 510000153 31 IN Santa Cruz CA 69,416.95 6,785.93 8.650% 265950386 32 MF Dallas TX 58,187.50 0.00 7.350% 265950400 33 RT Chesapeake VA 58,215.99 8,209.39 7.500% 265950450 34 MF Wilmington DE 55,594.43 13,072.22 7.250% 510000169 35 RT Bangor ME 56,409.11 8,308.79 7.300% 265950449 36 MF Matawan NJ 54,424.02 12,797.02 7.250% 510000128 37 IN Sunnyvale CA 63,198.54 6,578.54 8.590% 265330988 38 MU Santa Monica CA 52,576.91 6,519.57 7.940% 510000151 39 OF New York NY 52,194.44 2,711.34 7.880% 265950566 40 OF Richmond VA 38,884.29 49,049.84 7.220% 265330998 41 OF Los Angeles CA 50,971.34 5,637.50 8.300% 265330995 42 OF San Francisco CA 49,036.35 5,995.99 8.000% 265950562 43 OF Houston TX 37,847.38 47,741.84 7.220% 265950619 44 MF Norman OK 44,894.20 0.00 7.440% 265330972 45 LO Sabal Park FL 46,547.08 7,490.38 8.700% 265950561 46 OF Birmingham AL 33,699.72 42,509.86 7.220% 265950377 47 MF Richardson TX 38,281.25 0.00 7.350% 265950384 48 MF Bedford TX 38,281.25 0.00 7.350% 510000168 49 RT Jacksonville FL 36,258.17 5,202.79 7.380% 510000148 50 OF Parsippany NJ 40,910.03 4,295.51 8.480% 510000144 51 RT Los Angeles CA 39,832.52 4,116.80 8.530% 265950348 52 OF Austin TX 34,232.25 4,454.01 7.750% 265950458 53 MF Safety Harbor FL 34,089.37 4,384.43 7.770% 265950395 54 IN Augusta GA 33,822.80 4,326.15 7.750% 265950387 55 MF Dallas TX 32,156.25 0.00 7.350% 510000163 56 MF Joliet IL 32,192.63 4,516.13 7.500% 265950456 57 OF Alexandria VA 31,666.61 4,479.14 7.440% 265330973 58 LO Tallahassee FL 36,765.14 5,916.26 8.700% 265950321 59 MU Las Vegas NV 33,292.37 3,893.16 8.100% 510000156 60 MF Lafayette Hills PA 29,120.45 4,616.11 7.140% 265950435 61 RT Morrow GA 31,224.82 4,133.64 7.680% 510000152 62 MF Monterey CA 30,856.46 4,179.33 7.625% 265950390 63 RT Cupertino CA 30,874.01 4,061.04 7.700% 265950444 64 OF San Clemente CA 30,745.13 3,976.03 7.700% 265950382 65 MF San Antonio TX 29,093.75 0.00 7.350% 510000159 66 RT Austin TX 30,788.78 3,698.15 8.000% 265950349 67 OF Austin TX 28,526.88 3,711.67 7.750% 265950565 68 OF Richmond VA 21,775.20 27,467.91 7.220% 510000145 69 RT Jacksonville FL 27,598.41 3,196.93 8.170% 503000070 70 OF Pittsburgh PA 26,349.70 3,267.62 7.900% 603000071 71 MF Patton Township PA 24,849.99 3,393.00 7.600% 265950317 72 IN Memphis TN 24,628.62 2,778.54 8.140% 825999645 73 RT Galt CA 17,141.97 16,784.61 6.942% 265950370 74 MF Pasadena TX 22,399.39 2,485.27 8.290% 510000164 75 MF Farmers Branch TX 19,928.77 2,795.70 7.500% 265950372 76 MF Arlington TX 21,517.03 2,366.21 8.180% 265950560 77 OF Birmingham AL 15,553.72 19,619.93 7.220% 265950563 78 OF Houston TX 15,553.72 19,619.93 7.220% 265950459 79 RT Palm Beach Garden FL 18,319.37 2,464.47 7.630% 265950422 80 IN Green Bay WI 18,314.47 3,741.13 7.750% 510000161 81 OF Healdsburg CA 18,679.95 2,232.34 8.000% 825999649 82 RT Palm Desert CA 13,427.44 13,452.56 6.828% 265950365 83 MF Newark DE 14,751.62 1,987.70 7.625% 265950328 84 RT Sterling IL 14,391.67 2,045.20 7.460% 265950481 85 MF Detroit MI 14,395.03 1,907.97 7.640% 265950431 86 RT Stamford CT 14,557.10 1,796.02 7.900% 510000158 87 MF Johnson Ciy TN 14,149.74 1,699.57 8.000% 265330960 88 MF Clarksville TN 13,856.82 1,732.17 7.875% 265950559 89 OF Birmingham AL 10,887.60 13,733.96 7.220% 265950369 90 MF Woburn MA 12,708.33 0.00 7.625% 265330945 91 OF San Francisco CA 12,710.81 1,617.43 7.750% 510000157 92 MF Johnson Ciy TN 12,937.84 1,554.01 8.000% 825999532 93 RT Portage MI 8,902.26 8,633.57 6.990% 510000154 94 IN Plano TX 11,136.37 1,337.63 8.000% 510000149 95 RT Albuquerque NM 12,202.89 1,171.02 8.750% 825999737 96 RT Roanoke VA 8,077.89 8,106.13 6.820% 825999799 97 RT Warren MI 7,439.12 7,572.10 6.750% 265950312 98 OF Encino CA 10,218.47 1,076.32 8.470% 265950564 99 OF San Antonio TX 7,258.40 9,155.97 7.220% 265950440 100 MF Naples FL 8,254.33 1,026.56 7.875% 265950353 101 OF White Plains NY 8,530.01 958.49 8.250% 265950367 102 MF Stuart FL 8,304.88 882.88 8.400% 265330909 103 MH Roanoke TX 6,276.88 643.34 8.500% 265950423 104 RT Meridian ID 5,800.62 693.20 8.000% 265950429 105 MF Carson City NV 5,515.20 717.59 7.750% 265950409 106 RT Long Beach CA 4,640.01 473.26 8.500% 265950428 107 MF Brookline MA 3,577.05 374.76 8.415% 825999649 108 RT Palm Desert CA 7,575.34 -7,575.34 6.828% Totals 6,287,164.06 949,633.40 Loan Anticipated Neg Beginning Ending Paid Number Repayment Maturity Amort Scheduled Scheduled Thru Date Date (Y/N) Balance Balance Date <s> <c> <c> <c> <c> <c> <c> 265950394 N/A 02/01/2011 N 53,143,931.11 53,072,023.80 05/01/2003 265950357 N/A 01/01/2011 N 50,000,000.00 50,000,000.00 05/01/2003 510000162 01/31/2011 01/01/2029 N 44,000,000.00 44,000,000.00 05/01/2003 265950334 N/A 01/01/2011 N 33,609,852.86 33,583,095.69 05/01/2003 510000172 06/01/2011 06/01/2031 N 32,275,741.68 32,249,649.31 05/01/2003 603000006 02/01/2011 02/01/2031 N 30,375,369.43 30,347,240.53 05/01/2003 603000007 N/A 01/01/2008 N 28,148,144.24 28,125,822.07 05/01/2003 603000008 07/01/2010 07/01/2030 N 26,073,554.92 26,054,704.94 05/01/2003 510000146 11/01/2010 11/01/2030 N 24,272,877.55 24,254,417.94 05/01/2003 265950525 N/A 11/10/2010 N 23,750,000.00 23,750,000.00 05/10/2003 265950455 N/A 01/01/2011 N 22,500,000.00 22,500,000.00 05/01/2003 265950554 04/01/2011 04/01/2031 N 22,088,302.13 22,067,977.10 05/01/2003 510000160 N/A 01/01/2011 N 20,399,235.38 20,373,148.87 05/01/2003 265950520 N/A 03/01/2011 N 20,104,485.67 20,085,641.32 05/01/2003 510000165 02/01/2011 02/01/2026 N 18,001,150.61 17,977,842.42 05/01/2003 265950445 N/A 04/01/2011 N 17,611,279.77 17,596,665.61 05/01/2003 265950532 N/A 04/01/2011 N 16,935,659.43 16,920,128.73 05/01/2003 510000166 02/01/2011 02/01/2026 N 16,629,976.90 16,608,444.13 05/01/2003 265950489 N/A 02/01/2011 N 15,881,413.33 15,867,007.19 05/01/2003 265950448 N/A 02/01/2011 N 15,691,552.49 15,669,260.91 05/01/2003 265950378 N/A 01/01/2011 N 15,000,000.00 15,000,000.00 05/01/2003 510000129 N/A 06/01/2010 N 14,636,298.97 14,625,987.93 05/01/2003 503000023 N/A 02/01/2011 N 14,218,622.32 14,205,869.54 05/01/2003 265950381 N/A 01/01/2011 N 14,250,000.00 14,250,000.00 05/01/2003 265950457 N/A 03/01/2011 N 12,564,744.20 12,553,426.65 05/01/2003 265950614 N/A 05/01/2011 N 12,400,000.00 12,400,000.00 05/01/2003 265950322 N/A 12/01/2010 N 12,185,230.29 12,175,686.87 05/01/2003 265950611 N/A 11/01/2009 N 11,803,194.61 11,792,911.89 05/01/2003 503000029 N/A 04/01/2011 N 11,688,654.47 11,678,160.96 05/01/2003 265950533 N/A 04/01/2011 N 9,940,411.47 9,931,292.25 05/01/2003 510000153 N/A 01/01/2011 N 9,630,096.88 9,623,310.95 05/01/2003 265950386 N/A 01/01/2011 N 9,500,000.00 9,500,000.00 05/01/2003 265950400 N/A 01/01/2011 N 9,314,559.06 9,306,349.67 05/01/2003 265950450 N/A 02/01/2011 N 9,201,836.37 9,188,764.15 05/01/2003 510000169 N/A 04/01/2011 N 9,272,730.82 9,264,422.03 05/01/2003 265950449 N/A 02/01/2011 N 9,008,113.37 8,995,316.35 05/01/2003 510000128 N/A 06/01/2010 N 8,828,666.82 8,822,088.28 05/01/2003 265330988 N/A 11/01/2010 N 7,946,132.16 7,939,612.59 05/01/2003 510000151 N/A 12/01/2010 N 7,948,392.40 7,945,681.06 05/01/2003 265950566 N/A 05/01/2011 N 6,462,762.89 6,413,713.05 05/01/2003 265330998 11/01/2010 11/01/2030 N 7,369,350.10 7,363,712.60 05/01/2003 265330995 N/A 10/01/2010 N 7,355,452.84 7,349,456.85 05/01/2003 265950562 N/A 05/01/2011 N 6,290,422.55 6,242,680.71 05/01/2003 265950619 N/A 05/01/2011 N 7,241,000.00 7,241,000.00 05/01/2003 265330972 N/A 11/01/2010 N 6,420,287.12 6,412,796.74 05/01/2003 265950561 N/A 05/01/2011 N 5,601,061.16 5,558,551.30 05/01/2003 265950377 N/A 01/01/2011 N 6,250,000.00 6,250,000.00 05/01/2003 265950384 N/A 01/01/2011 N 6,250,000.00 6,250,000.00 05/01/2003 510000168 N/A 04/01/2011 N 5,895,636.96 5,890,434.17 05/01/2003 510000148 N/A 10/01/2010 N 5,789,155.83 5,784,860.32 05/01/2003 510000144 N/A 10/01/2010 N 5,603,637.14 5,599,520.34 05/01/2003 265950348 N/A 01/01/2011 N 5,300,478.14 5,296,024.13 05/01/2003 265950458 N/A 02/01/2011 N 5,264,767.57 5,260,383.14 05/01/2003 265950395 N/A 03/01/2011 N 5,237,078.64 5,232,752.49 05/01/2003 265950387 N/A 01/01/2011 N 5,250,000.00 5,250,000.00 05/01/2003 510000163 N/A 02/01/2011 N 5,150,821.05 5,146,304.92 05/01/2003 265950456 N/A 03/01/2011 N 5,107,517.64 5,103,038.50 05/01/2003 265330973 N/A 11/01/2010 N 5,071,054.28 5,065,138.02 05/01/2003 265950321 N/A 12/01/2010 N 4,932,202.74 4,928,309.58 05/01/2003 510000156 N/A 01/01/2011 N 4,894,193.85 4,889,577.74 05/01/2003 265950435 N/A 02/01/2011 N 4,878,877.74 4,874,744.10 05/01/2003 510000152 N/A 01/01/2011 N 4,856,098.29 4,851,918.96 05/01/2003 265950390 N/A 02/01/2011 N 4,811,533.64 4,807,472.60 05/01/2003 265950444 N/A 04/01/2011 N 4,791,448.77 4,787,472.74 05/01/2003 265950382 N/A 01/01/2011 N 4,750,000.00 4,750,000.00 05/01/2003 510000159 N/A 01/01/2011 N 4,618,317.66 4,614,619.51 05/01/2003 265950349 N/A 01/01/2011 N 4,417,065.13 4,413,353.46 05/01/2003 265950565 N/A 05/01/2011 N 3,619,147.28 3,591,679.37 05/01/2003 510000145 10/01/2010 10/01/2030 N 4,053,621.60 4,050,424.67 05/01/2003 503000070 N/A 01/01/2011 N 4,002,485.88 3,999,218.26 05/01/2003 603000071 N/A 01/01/2011 N 3,923,682.99 3,920,289.99 05/01/2003 265950317 N/A 03/01/2011 N 3,630,755.17 3,627,976.63 05/01/2003 825999645 N/A 06/01/2013 N 2,963,175.49 2,946,390.88 05/01/2003 265950370 N/A 11/01/2005 N 3,242,373.12 3,239,887.85 05/01/2003 510000164 N/A 02/01/2011 N 3,188,603.53 3,185,807.83 04/01/2003 265950372 N/A 11/01/2010 N 3,156,533.08 3,154,166.87 04/01/2003 265950560 N/A 05/01/2011 N 2,585,105.22 2,565,485.29 05/01/2003 265950563 N/A 05/01/2011 N 2,585,105.22 2,565,485.29 05/01/2003 265950459 N/A 02/01/2011 N 2,881,159.13 2,878,694.66 05/01/2003 265950422 N/A 02/01/2011 N 2,835,788.37 2,832,047.24 05/01/2003 510000161 N/A 02/01/2011 N 2,801,992.31 2,799,759.97 05/01/2003 825999649 N/A 06/01/2013 N 2,359,829.95 2,346,377.39 05/01/2003 265950365 N/A 02/01/2011 N 2,321,566.17 2,319,578.47 05/01/2003 265950328 N/A 02/01/2011 N 2,315,014.62 2,312,969.42 05/01/2003 265950481 N/A 03/01/2011 N 2,260,999.67 2,259,091.70 05/01/2003 265950431 N/A 02/01/2011 N 2,211,205.59 2,209,409.57 05/01/2003 510000158 N/A 01/01/2011 N 2,122,460.93 2,120,761.36 05/01/2003 265330960 N/A 01/01/2011 N 2,111,515.59 2,109,783.42 04/01/2003 265950559 N/A 05/01/2011 N 1,809,573.52 1,795,839.56 05/01/2003 265950369 N/A 01/01/2011 N 2,000,000.00 2,000,000.00 05/01/2003 265330945 N/A 04/01/2011 N 1,968,125.38 1,966,507.95 05/01/2003 510000157 N/A 01/01/2011 N 1,940,676.01 1,939,122.00 05/01/2003 825999532 N/A 06/01/2013 N 1,528,285.14 1,519,651.57 05/01/2003 510000154 N/A 01/01/2011 N 1,670,455.18 1,669,117.55 05/01/2003 510000149 N/A 11/01/2010 N 1,673,539.86 1,672,368.84 05/01/2003 825999737 N/A 06/01/2013 N 1,421,329.62 1,413,223.49 04/01/2003 825999799 N/A 06/01/2013 N 1,322,509.75 1,314,937.65 04/01/2003 265950312 N/A 10/01/2010 N 1,447,716.69 1,446,640.37 05/01/2003 265950564 N/A 05/01/2011 N 1,206,382.44 1,197,226.47 05/01/2003 265950440 N/A 02/01/2011 N 1,257,801.94 1,256,775.38 05/01/2003 265950353 N/A 11/01/2010 N 1,240,728.28 1,239,769.79 05/01/2003 265950367 N/A 12/01/2010 N 1,186,410.74 1,185,527.86 05/01/2003 265330909 N/A 01/01/2006 N 886,147.61 885,504.27 05/01/2003 265950423 N/A 02/01/2011 N 870,092.27 869,399.07 05/01/2003 265950429 N/A 01/01/2011 N 853,965.82 853,248.23 05/01/2003 265950409 N/A 02/01/2011 N 655,060.74 654,587.48 05/01/2003 265950428 N/A 02/01/2011 N 510,095.78 509,721.02 05/01/2003 825999649 N/A 06/01/2013 N 1,331,343.26 1,338,918.60 05/01/2003 Totals 984,642,794.38 983,693,160.98 Appraisal Appraisal Res Mod Loan Number Reduction Reduction Strat. Code Date Amount (2) (3) Totals 0.00 <FN> (1) Property Type Code SS- Self Storage MF- Multi-Family RT- Retail HC- Health Care IN- Industrial WH- Warehouse MH- Mobile Home Park OF- Office LO- Lodging MU- Mixed Use OT- Other IW- Industrial/Warehouse (2) Resolution Strategy Code 1- Modification 2- Foreclosure 3- Bankruptcy 4- Extension 5- Note Sale 6- DPO 7- REO 8- Resolved 9- Pending Return to Master Servicer 10- Deed In Lieu of Foreclosure 11- Full Payoff 12- Reps and Warranties 13- Other or TBD (3) Modification Code 1- Maturity Date Extension 2- Amortization Change 3- Principal Write-Off 4- Combination </FN> Principal Prepayment Detail No Principal Prepayments this Period Historical Detail Delinquencies Distribution 30-59 Days 60-89 Days 90 Days or More Foreclosure REO Modifications Date # Balance # Balance # Balance # Balance # Balance # Balance 05/14/2003 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 04/14/2003 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 03/14/2003 1 $3,158,170.52 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 02/14/2003 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 01/14/2003 1 $3,163,536.46 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 12/13/2002 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 11/15/2002 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 10/15/2002 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 09/13/2002 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 08/14/2002 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 07/12/2002 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 06/14/2002 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 0 $0.00 Prepayments Distribution Curtailments Payoff Date # Amount # Amount 05/14/2003 0 $0.00 0 $0.00 04/14/2003 0 $0.00 0 $0.00 03/14/2003 0 $0.00 0 $0.00 02/14/2003 0 $0.00 0 $0.00 01/14/2003 0 $0.00 0 $0.00 12/13/2002 0 $0.00 0 $0.00 11/15/2002 0 $0.00 0 $0.00 10/15/2002 0 $0.00 0 $0.00 09/13/2002 0 $0.00 0 $0.00 08/14/2002 0 $0.00 0 $0.00 07/12/2002 0 $0.00 0 $0.00 06/14/2002 0 $0.00 0 $0.00 Rate and Maturities Distribution Next Weighted Avg. WAM Date Coupon Remit 05/14/2003 7.662358% 7.606589% 91 04/14/2003 7.662268% 7.606499% 92 03/14/2003 7.662158% 7.606390% 93 02/14/2003 7.662109% 7.606341% 94 01/14/2003 7.662001% 7.606233% 95 12/13/2002 7.661893% 7.606125% 96 11/15/2002 7.661806% 7.606039% 97 10/15/2002 7.661669% 7.605932% 98 09/13/2002 7.661613% 7.605847% 99 08/14/2002 7.661508% 7.605742% 100 07/12/2002 7.661403% 7.605638% 101 06/14/2002 7.661319% 7.605554% 102 <FN> Note: Foreclosure and REO Totals are excluded from the delinquencies aging categories. </FN> Delinquency Loan Detail Offering # of Paid Current Outstanding Status of Loan Number Document Months Through P & I P & I Mortgage Cross-Reference Delinq. Date Advances Advances** Loan(1) <s> <c> <c> <c> <c> <c> <c> 510000164 75 0 04/01/2003 22,551.75 22,551.75 B 265950372 76 0 04/01/2003 23,751.72 23,751.72 B 265330960 88 0 04/01/2003 15,501.01 15,501.01 B 825999737 96 0 04/01/2003 16,124.80 16,124.80 B 825999799 97 0 04/01/2003 14,956.12 14,956.12 B Totals 5 92,885.40 92,885.40 Resolution Actual Outstanding Loan Number Strategy Servicing Foreclosure Principal Servicing Bankruptcy REO Code(2) Transfer Date Date Balance Advances Date Date <s> <c> <c> <c> <c> <c> <c> <c> 510000164 3,188,603.53 0.00 265950372 3,156,533.08 0.00 265330960 2,111,515.59 0.00 825999737 1,421,329.62 0.00 825999799 1,322,509.75 0.00 Totals 11,200,491.57 0.00 Current Outstanding Actual Outstanding P & I P & I Principal Servicing Advances Advances Balance Advances Totals by Delinquency Code: Total for Status Code = B (5 Loans) 92,885.40 92,885.40 11,200,491.57 0.00 (1) Status of Mortgage Loan A- Payment Not Received But Still in Grace Period B- Late Payment But Less Than 1 Month Delinquent 0- Current 1- One Month Delinquent 2- Two Months Delinquent 3- Three Or More Months Delinquent 4- Assumed Scheduled Payment (Performing Matured Balloon) 7- Foreclosure 9- REO (2) Resolution Strategy Code 1- Modification 2- Foreclosure 3- Bankruptcy 4- Extension 5- Note Sale 6- DPO 7- REO 8- Resolved 9- Pending Return to Master Servicer 10- Deed In Lieu Of Foreclosure 11- Full Payoff 12- Reps and Warranties 13- Other or TBD **Outstanding P & I Advances include the current period advance. Specially Serviced Loan Detail - Part 1 No Specially Serviced Loans this Period Specially Serviced Loan Detail - Part 2 No Specially Serviced Loans this Period Modified Loan Detail No Modified Loans Liquidated Loan Detail No Liquidated Loans