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): October 25, 2000 BA MORTGAGE SECURITIES, INC. (Depositor) North Carolina 333-53933-05 13-4048100 (State or other (Commission File No.) (I.R.S. Employer jurisdiction of Identification No.) organization) 101 N. Tryon St. 28255 (Address of principal executive offices) (Zip Code) Registrant's Telephone Number, including area code: 704-387-2111 Not Applicable (Former name, former address and former fiscal year, if changed since last report) Item 5. Other Events BA MORTGAGE SECURITIES, INC. Mortgage Pass-Through Certificates Series 1998-7 Trust On October 25, 2000, The Bank of New York, as Trustee for Mortgage Pass-Through Certificates made a monthly distribution of principal and/or interest to the Holders of the Series 1998-7 Trust. The monthly distributions were made pursuant to the terms of the Pooling and Servicing Agreement (the "Pooling and Servicing Agreement") dated as of December 1, 1998 by and among BA MORTGAGE SECURITIES, INC. as Depositor, EquiCredit Corporation of America, as Transferor and Initial Servicer, Bank of America, N.A., as Advancing Party, Fairbanks Capital Corp., as Expected Successor Servicer and The Bank of New York, as Trustee. All capitalized terms used, but not defined herein, shall have the meanings assigned to them in the Pooling and Servicing Agreement. Item 7. Financial Statements and Exhibits (c) Exhibits Exhibit No. Description 99 Report to Holders of Series 1998-7 Trust relating to the Distribution Date of October 25, 2000 prepared by the Trustee pursuant to the terms of the Pooling and Servicing Agreement. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized. Dated: October 25, 2000 By: /s/ Diane Pickett ------------------------------ Name: Diane Pickett Vice President The Bank of New York, as Trustee EXHIBIT INDEX Exhibit 99 Report to Holders of Series 1998-7 Trust relating to the Distribution Date of October 25, 2000 prepared by the Trustee pursuant to the terms of the Pooling and Servicing Agreement. 99 Monthly Remittance Statement dated October 25, 2000 Payment Date: 10/25/00 ------------------------------------------------------------ Mortgage Pass-Through Certificates Series 1998-7 Trust Bank of America, FSB, Master Servicer ------------------------------------------------------------ Class Information Current Payment Information - ---------------------------------------------------------------------------------------------------------------------------------- Beginning Pass Thru Principal Interest Total Principal Interest Type Class Code Name Cert. Bal. Rate Dist. Amt. Dist. Amt. Dist. Losses Shortfalls - ---------------------------------------------------------------------------------------------------------------------------------- Senior A-1 58,519,805.35 6.250000% 417,474.46 304,790.65 722,265.11 0.00 0.00 A-2 136,688,762.75 6.250000% 797,989.41 711,920.64 1,509,910.05 0.00 0.00 A-3 50,568,884.31 6.250000% 403,244.06 263,379.61 666,623.67 0.00 0.00 A-4 18,503,375.32 6.250000% 0.00 96,371.75 96,371.75 0.00 0.00 A-5 12,990,000.00 6.250000% 0.00 67,656.25 67,656.25 0.00 0.00 A-6 17,177,000.00 6.250000% 0.00 89,463.54 89,463.54 0.00 0.00 A-7 40,000,000.00 6.250000% 0.00 208,333.33 208,333.33 0.00 0.00 Residual R 0.00 6.250000% 0.00 0.00 0.00 0.00 0.00 - ---------------------------------------------------------------------------------------------------------------------------------- Subordinate B-1 7,667,992.59 6.250000% 7,711.84 39,937.46 47,649.30 0.00 0.00 B-2 3,342,431.84 6.250000% 3,361.55 17,408.50 20,770.05 0.00 0.00 B-3 1,572,909.51 6.250000% 1,581.90 8,192.24 9,774.14 0.00 0.00 B-4 1,376,295.69 6.250000% 1,384.17 7,168.21 8,552.37 0.00 0.00 B-5 786,455.24 6.250000% 790.95 4,096.12 4,887.07 0.00 0.00 B-6 975,130.75 6.250000% 980.71 5,078.81 6,059.51 0.00 0.00 - ---------------------------------------------------------------------------------------------------------------------------------- - ---------------------------------------------------------------------------------------------------------------------------------- Totals - - 350,169,043.35 - 1,634,519.05 1,823,797.10 3,458,316.15 - - - ---------------------------------------------------------------------------------------------------------------------------------- Class Information - -------------------------------------------------------------------------------- Ending Cert. Unpaid Type Class Code Name Notional Bal. Interest - -------------------------------------------------------------------------------- Senior A-1 58,102,330.89 0.00 A-2 135,890,773.34 0.00 A-3 50,165,640.25 0.00 A-4 18,503,375.32 0.00 A-5 12,990,000.00 0.00 A-6 17,177,000.00 0.00 A-7 40,000,000.00 0.00 Residual R 0.00 0.00 - -------------------------------------------------------------------------------- Subordinate B-1 7,660,280.74 0.00 B-2 3,339,070.30 0.00 B-3 1,571,327.60 0.00 B-4 1,374,911.53 0.00 B-5 785,664.29 0.00 B-6 974,150.04 0.00 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Totals - - 348,534,524.30 - - -------------------------------------------------------------------------------- Payment Date: 10/25/00 ------------------------------------------------------------ Mortgage Pass-Through Certificates Series 1998-7 Trust Bank of America, FSB, Master Servicer ------------------------------------------------------------ Class Information Current Payment Information Factors per $1,000 - ------------------------------------------------------------------------------------------------------------------------ Beginning Pass Thru CUSIP Principal Interest Ending Cert./ Type Class Code Name Cert. Bal.(Face) Rate Numbers Dist. Dist. Notional Bal. - ------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------ Senior A-1 58,519,805.35 6.250000% 055240LQ6 5.838804 4.262806 812.620012 A-2 136,688,762.75 6.250000% 055240LR4 4.941111 4.408177 841.428937 A-3 50,568,884.31 6.250000% 055240LS2 7.123195 4.652528 886.162167 A-4 18,503,375.32 6.250000% 055240LT0 0.000000 3.854870 740.135013 A-5 12,990,000.00 6.250000% 055240LU7 0.000000 5.208333 1,000.000000 A-6 17,177,000.00 6.250000% 055240LV5 0.000000 5.208333 1,000.000000 A-7 40,000,000.00 6.250000% 055240LW3 0.000000 5.208333 1,000.000000 Residual R 0.00 6.250000% 055240MA0 0.000000 0.000000 0.000000 - ------------------------------------------------------------------------------------------------------------------------ Subordinate B-1 7,667,992.59 6.250000% 055240LX1 0.986693 5.109804 980.095670 B-2 3,342,431.84 6.250000% 055240LY9 0.986693 5.109804 980.095670 B-3 1,572,909.51 6.250000% 055240LZ6 0.986693 5.109804 980.095671 B-4 1,376,295.69 6.250000% 055240MB8 0.986693 5.109804 980.095668 B-5 786,455.24 6.250000% 055240MC6 0.986693 5.109804 980.095665 B-6 975,130.75 6.250000% 055240MD4 0.978726 5.068547 972.182307 - ------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------ Totals - - 350,169,043.35 - - - - - - ------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------ ------------------------------------------------------------ Mortgage Pass-Through Certificates Series 1998-7 Trust Bank of America, FSB, Master Servicer ------------------------------------------------------------ - -------------------------------------------------------------------------------- COLLATERAL INFORMATION - -------------------------------------------------------------------------------- Total ----- Prin balance 348,534,566.68 348,534,566.68 Loan count 1059 1059 Avg loan rate 7.142521% 7.14 Prepay amount 1,282,347.53 1,282,347.53 - -------------------------------------------------------------------------------- FEES AND ADVANCES - -------------------------------------------------------------------------------- Total ----- Master serv fees 256,999.07 256,999.07 Sub servicer fees 0.00 0.00 Trustee fees 1,313.13 1,313.13 Agg advances N/A N/A Adv this period 0.00 0.00 - -------------------------------------------------------------------------------- LOSSES & INSURANCE COVERAGES - -------------------------------------------------------------------------------- Total ----- Realized losses 0.00 0.00 Cumulative losses 7,945.26 7,945.26 Coverage Amounts Total - ---------------- ----- Bankruptcy 0.00 0.00 Fraud 0.00 0.00 Special Hazard 3,501,690.86 3,501,690.86 Aggregate Certificate Information ----------------------------------------------------------------------------- Class Aggregate Aggregate Aggregate Type Percentage Prepay Pct. End Cert. Bal. ----------------------------------------------------------------------------- Senior 95.514705% 100.000000% 334,447,827.73 ----------------------------------------------------------------------------- Junior 4.485295% 0.000000% 15,705,404.50 ----------------------------------------------------------------------------- - -------------------------------------------------------------------------------- DELINQUENCY INFORMATION - -------------------------------------------------------------------------------- Period Loan Count Ending Stated Balance - ------ ---------- --------------------- 30 to 59 days 0 0.00 60 to 89 days 0 0.00 90 or more 1 246,781.47 Foreclosure 0 0.00 Totals: 1 246,781.47 - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- REO INFORMATION - -------------------------------------------------------------------------------- REO Date Loan Number Ending Stated Balance Book Value -------- ----------- --------------------- ---------- N/A # 0 N/A N/A # 0 N/A N/A # 0 N/A N/A # 0 N/A N/A # 0 N/A N/A # 0 N/A N/A # 0 N/A N/A # 0 N/A Totals: 0 N/A Current Total Outstanding Balance: 0.00 Current Total Outstanding Number of Loans: 0 - -------------------------------------------------------------------------------- OTHER INFORMATION - -------------------------------------------------------------------------------- Amount/Withdrawal Total/Ending Bal. ----------------- ----------------- Available remittance amount 3,458,316.15 3,458,316.15 Principal remittance amount 1,634,519.05 1,634,519.05 Interest remittance amount 1,823,797.10 1,823,797.10