GreenPoint Home Equity Loan Trust 2000-2 Monthly Payment Date Statement (December 2000)
Summary
This statement details the monthly cash reconciliation and distribution for the GreenPoint Home Equity Loan Trust 2000-2, covering home equity loan asset-backed securities as of December 15, 2000. It outlines the cash collected, fees paid, principal and interest distributed to investors, and the status of loan pools, including delinquencies and foreclosures. The report is prepared by Bank One, NA, as administrator, and is intended to provide transparency to investors and stakeholders regarding the trust's financial activity for the period.
EX-10.1 2 0002.txt MONTHLY PAYMENT DATE STATEMENT Exhibit 10.1
GREENPOINT HOME EQUITY LOAN TRUST Home Equity Loan Asset-Backed Securities Series 2000-2 Distribution Date: December 15, 2000
AMOUNTS PER $1,000 UNIT
Investor Certificate Rates Investor Class Certificate Rate A-1 6.75000% A-2 6.86000% Investor Certificate Rates based on a LIBOR of: 6.62000% PLEASE DIRECT ANY QUESTIONS OR COMMENTS TO THE FOLLOWING ADMINISTRATOR: Steven Charles Bank One, NA 1 Bank One Plaza Chicago, IL 60670 Information pursuant to Section 8.8 of the Pooling Agreement dated Sept. 1, 2000
(vi) Foreclosure, REO and Bankruptcy Information