GreenPoint Home Equity Loan Trust 2000-3 Monthly Payment Date Statement (Deutsche Bank, GreenPoint Mortgage, FGIC)

Contract Categories: Business Finance Trust Agreements
Summary

This document is a monthly payment statement for the GreenPoint Home Equity Loan Trust 2000-3, involving GreenPoint Mortgage as the seller and master servicer, Deutsche Bank as administrator, and Financial Guaranty Insurance Corporation as the certificate insurer. It details the distribution of principal and interest payments to noteholders for the period ending September 17, 2001, including payment amounts, outstanding balances, and collection account activity. The statement provides transparency on the trust's financial performance and payment allocations to investors.

EX-10.1 3 dex101.txt MONTHLY PAYMENT DATE STATEMENT DATED 09/17/2001 Exhibit 10.1 CONTACTS - -------------------------------------------------------------------------------- Administrator: Barbara A Campbell Direct Phone No: (714 ###-###-#### Address: Deutsche Bank 1761 E. St. Andrew Place Santa Ana, CA 92705 Web Site: http://www-apps.gis.deutsche-bank.com/invr Factor Information: (800) 735-7777 Main Phone No: (714) 247-6000 - -------------------------------------------------------------------------------- ISSUANCE INFORMATION - ------------------------------------------------------------------------------------------------------------------------------------ Seller: GreenPoint Mortgage Cut-Off Date: November 30, 2000 Certificate Insurer: Financial Guaranty Insurance Corporation Closing Date: December 18, 2000 Servicer(s): GreenPoint Mortgage - Master Servicer First Payment Date: January 16, 2001 Underwriter(s): Greenwich Capital Markets, Inc. - Underwriter Distribution Date: September 17, 2001 Record Date: September 14, 2001 - ------------------------------------------------------------------------------------------------------------------------------------
GreenPoint Home Equity Loan Trust 2000-3 Home Equity Loan Asset-Backed Notes Series 2000-3 Certificate Payment Report for September 17, 2001 Distribution Distribution in Dollars - Current Period
- ------------------------------------------------------------------------------------------------------------------------------------ Prior Current Class Original Principal Total Realized Deferred Principal Class Type Face Value Balance Interest Principal Distribution Losses Interest Balance - ------------------------------------------------------------------------------------------------------------------------------------ (1) (2) (3) (4)=(2)+(3) (5) (6) (7)=(1)-(3)- (5)+(6) - ------------------------------------------------------------------------------------------------------------------------------------ A-1 FLT,STEP 102,736,000.00 81,700,669.41 288,335.28 5,155,028.81 5,443,364.09 - - 76,545,640.61 A-2 FLT,STEP 98,584,000.00 77,437,224.88 273,288.87 4,527,542.74 4,800,831.61 - - 72,909,682.15 A-3 FLT,STEP 97,966,000.00 75,651,564.65 267,680.45 3,606,123.64 3,873,804.09 - - 72,045,441.01 S - - 222,647.79 - 222,647.79 - - - R - - - - - - - - - ------------------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------------------ Total 299,286,000.00 234,789,458.94 1,051,952.39 13,288,695.18 14,340,647.57 - - 221,500,763.76 - ------------------------------------------------------------------------------------------------------------------------------------
Interest Accrual Detail Current Period Factor Information per $1,000 of Original Face - ------------------------------------------------------------------------------------------------------------------------------------ Orig. Principal Prior Current Period Period (with Notional) Principal Total Principal Class Starting Ending Method Cusip Balance Balance Interest Principal Distribution Balance - ------------------------------------------------------------------------------------------------------------------------------------ (1) (2) (3) (4)=(2)+(3) (5) - ------------------------------------------------------------------------------------------------------------------------------------ A-1 08/15/01 09/16/01 A-Act/360 395385AF4 102,736,000.00 795.248690 2.806565 50.177433 52.983999 745.071256 A-2 08/15/01 09/16/01 A-Act/360 395385AG2 98,584,000.00 785.494856 2.772142 45.925736 48.697878 739.569120 A-3 08/15/01 09/16/01 A-Act/360 395385AH0 97,966,000.00 772.222655 2.732381 39.542332 735.412705 36.809951 S - - - - - - - R - - - - - - - - ------------------------------------------------------------------------------------------------------------------------------------ Distribution in Dollars - to Date - ------------------------------------------------------------------------------------------------------------------------------------ Current Original Unscheduled Scheduled Total Total Realized Deferred Principal Class Face Value Interest Principal Principal Principal Distribution Losses Interest Balance - ------------------------------------------------------------------------------------------------------------------------------------ (1) (2) (3) (4) (5)=(3)+(4) (6)=(2)+(5) (7) (8) (9)=(1)-(5)- (7)+(8) - ------------------------------------------------------------------------------------------------------------------------------------ A-1 102,736,000.00 3,695,501.70 24,825,690.54 1,364,668.86 26,190,359.40 29,885,861.10 - - 76,545,640.61 A-2 98,584,000.00 3,530,494.50 24,298,473.41 1,375,844.45 25,674,317.86 29,204,812.36 - - 72,909,682.15 A-3 97,966,000.00 3,431,870.38 24,744,983.91 1,175,575.08 25,920,558.99 29,352,429.37 - - 72,045,441.01 S - 222,647.79 - - - 222,647.79 - - - R - - - - - - - - - - ------------------------------------------------------------------------------------------------------------------------------------ Total 299,286,000.00 10,880,514.37 73,869,147.85 3,916,088.39 77,785,236.24 88,665,750.61 - - 221,500,763.7 - ------------------------------------------------------------------------------------------------------------------------------------
Interest Detail - ------------------------------------------------------------------------------------------------------------------------------------ Pass- Prior Principal Non- Prior Unscheduled Paid or Current Through (with Notional) Accrued Supported Unpaid Interest Optimal Deferred Unpaid Class Rate Balance Interest Interest SF Interest Adjustments Interest Interest Interest - ------------------------------------------------------------------------------------------------------------------------------------ (1) (2) (3) (4) (5)=(1)- (6) (7)=(5)-(6) (2)+(3)+(4) - ------------------------------------------------------------------------------------------------------------------------------------ A-1 3.85000% 81,700,669.41 288,335.28 - - - 288,335.28 288,335.28 - A-2 3.85000% 77,437,224.88 273,288.87 - - - 273,288.87 273,288.87 - A-3 3.86000% 75,651,564.65 267,680.45 - - - 267,680.45 267,680.45 - S - - - - - - 222,647.79 - R - - - - - - - - - ------------------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------------------ Total 234,789,458.94 829,304.60 - - - 829,304.60 1,051,952.39 - - ------------------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------------------ Collection Account Report - ------------------------------------------------------------------------------------------------------------------------------------ SUMMARY POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- Net Principal Collections 3,261,101.67 4,270,180.29 4,876,036.00 12,407,317.96 TOTAL PRINCIPAL 3,261,101.67 4,270,180.29 4,876,036.00 12,407,317.96 Interest Collections 623,538.46 627,865.62 698,427.38 1,949,831.46 Interest Fees (10,836.04) (10,978.60) (11,530.95) (33,345.59) TOTAL INTEREST 612,702.42 616,887.02 686,896.43 1,916,485.87 TOTAL AVAILABLE FUNDS 3,873,804.09 4,887,067.31 5,562,932.43 14,323,803.83 - ---------------------------------------------------------------------------------------------------------------------------------
PRINCIPAL - COLLECTIONS POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------- Principal Collections 4,808,904.44 4,919,042.46 5,711,161.57 15,439,108.47 Repurchases/Substitutions 0.00 0.00 0.00 0.00 Liquidations 0.00 321,966.97 225,219.39 547,186.36 Insurance Principal 0.00 0.00 0.00 0.00 Liquidation Loss Amounts 0.00 16,843.74 0.00 16,843.74 Additional Balances (1,547,802.77) (937,141.66) (1,060,344.96) (3,545,289.39) Draw Amount on Demand Note 0.00 16,843.74 0.00 16,843.74 TOTAL PRINCIPAL COLLECTED 3,261,101.67 4,270,180.29 4,876,036.00 12,407,317.96 - --------------------------------------------------------------------------------------------------------------------------------
PRINCIPAL - WITHDRAWALS POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ SPACE INTENTIONALLY LEFT BLANK - ------------------------------------------------------------------------------------------------------------------------------------
PRINCIPAL - OTHER ACCOUNTS POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ SPACE INTENTIONALLY LEFT BLANK - ------------------------------------------------------------------------------------------------------------------------------------
INTEREST - COLLECTIONS POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ Interest Collections 655,018.67 657,128.85 731,176.17 2,043,323.69 Repurchases/Substitutions 0.00 0.00 0.00 0.00 Liquidations 0.00 3,223.37 1,600.00 4,823.37 Insurance Interest 0.00 0.00 0.00 0.00 Other Additional Interest 0.00 0.00 0.00 0.00 Current Servicing Fee (31,480.21) (32,486.60) (34,348.79) (98,315.60) TOTAL INTEREST 623,538.46 627,865.62 698,427.38 1,949,831.46 - ------------------------------------------------------------------------------------------------------------------------------------
INTEREST - WITHDRAWALS POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - ---------------------------------------------------------------------------------------------------------------------------------
INTEREST - OTHER ACCOUNTS POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - ---------------------------------------------------------------------------------------------------------------------------------
INTEREST - FEES POOL III POOL II POOL I TOTAL - ---------------------------------------------------------------------------------------------------------------------------------- Trustee Fee 629.60 649.73 686.98 1,966.31 Certificate Insurer Premium 10,206.44 10,328.87 10,843.97 31,379.28 Management Fee 0.00 0.00 0.00 0.00 TOTAL INTEREST FEES 10,836.04 10,978.60 11,530.95 33,345.59 - ----------------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------------------ Credit Enhancement Report - ------------------------------------------------------------------------------------------------------------------------------------ ACCOUNTS POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- Beginning Reserve Fund Balance 0.00 0.00 0.00 0.00 Curr Period Amounts Dep to Res Fund 0.00 0.00 0.00 0.00 Curr Withdrawal from Reserve Fund 0.00 0.00 0.00 0.00 Reserve Fund Balance 0.00 0.00 0.00 0.00 - ---------------------------------------------------------------------------------------------------------------------------------
INSURANCE POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- Insured Amount 0.00 0.00 0.00 0.00 Reimbursements to the Insurer 0.00 0.00 0.00 0.00 Cumulative Insurance Payment 0.00 0.00 0.00 0.00 Draws on the Policy 0.00 0.00 0.00 0.00 Draws on the Demand Note 0.00 16,843.74 0.00 16,843.74 Interest portion of Guarantee Payment 0.00 0.00 0.00 0.00 Principal portion of Guarantee Payment 0.00 0.00 0.00 0.00 Guarantee Payment for this date 0.00 0.00 0.00 0.00 Cumulative Guaranty Payments 0.00 0.00 0.00 0.00 - ---------------------------------------------------------------------------------------------------------------------------------
STRUCTURAL FEATURES POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- Pool Delinquency Rate 2.2313% 2.2873% 1.2560% Rolling Six-month Pool Delinquency Rate 1.8859% 1.1464% 0.9443% Prior Overcollateralization Amount 0.00 0.00 0.00 0.00 Specified Overcollateralization Amount 2,161,032.93 2,174,666.96 2,769,695.10 7,105,394.99 Overcollateralization Amount 0.00 513,771.90 736,429.77 1,250,201.67 Overcollateralization Deficiency Amount 2,161,032.93 1,660,895.06 2,033,265.33 5,855,193.32 Overcollateralization Deficit 0.00 0.00 0.00 0.00 Overcollateralization Reduction Amount 0.00 0.00 0.00 0.00 Step-Up Overcollateralization Amount 0.00 0.00 0.00 0.00 Current Accelerated Principal Payment 245,949.63 257,362.45 278,992.81 782,304.88 Cumulative Accelerated Principal Payment 609,470.95 787,978.09 1,015,422.58 2,412,871.61 - ---------------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------------------ Collateral Report: - ------------------------------------------------------------------------------------------------------------------------------------ COLLATERAL POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ Loan Count: Original ###-###-#### 2664 5435 Prior 438 1,703 2,081 4,222 Prefunding - - - - Scheduled Paid Offs - - - - Full Voluntary Prepayments (20) (80) (108) (208) Repurchases - - - - Liquidations - (6) (4) (10) -------------------------------------------------------------------------------------------------------------------------------- Current 418 1,617 1,969 4,004 Principal Balance: Original 96,045,908.07 96,651,865.01 100,721,912.99 293,419,686.07 Prior 75,552,492.31 77,967,840.52 82,437,099.18 235,957,432.01 Prefunding - - - - Scheduled Principal (91,380.26) (117,319.50) (118,881.20) (327,580.96) Partial and Full Voluntary Prepayments (4,717,524.18) (4,784,879.22) (5,592,280.37) (15,094,683.77) Repurchases - - - - Liquidations - (321,966.97) (225,219.39) (547,186.36) -------------------------------------------------------------------------------------------------------------------------------- Current 72,291,390.64 73,680,816.49 77,561,063.18 223,533,270.31 - ------------------------------------------------------------------------------------------------------------------------------------
PREFUNDING POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ SPACE INTENTIONALLY LEFT BLANK - ------------------------------------------------------------------------------------------------------------------------------------
CHARACTERISTICS POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ Weighted Average Coupon Original 7.491710% 7.985425% 8.355685% 7.950915% Weighted Average Coupon Prior 10.166330% 10.019127% 10.103499% 10.096011% Weighted Average Coupon Current 9.954251% 9.786363% 9.925296% 9.888659% -------------------------------------------------------------------------------------------------------------------------------- Weighted Average Months to Maturity Original 194 199 197 197 Weighted Average Months to Maturity Prior 187 193 190 190 Weighted Average Months to Maturity Current 186 192 189 189 -------------------------------------------------------------------------------------------------------------------------------- Weighted Avg Remaining Amortization Term Original 200 214 208 207 Weighted Avg Remaining Amortization Term Prior 194 206 201 200 Weighted Avg Remaining Amortization Term Current 195 206 200 200 -------------------------------------------------------------------------------------------------------------------------------- Weighted Average Seasoning Original 2.84 2.88 3.04 2.93 Weighted Average Seasoning Prior 8.84 8.86 9.02 8.91 Weighted Average Seasoning Current 8.87 9.00 9.16 9.01 - ------------------------------------------------------------------------------------------------------------------------------------
Note: Original information refers to deal issue.
ARM CHARACTERISTICS POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- Weighted Average Margin Original 2.966% 2.411% 2.558% Weighted Average Margin Prior 3.034% 2.397% 2.512% Weighted Average Margin Current 3.020% 2.383% 2.518% ----------------------------------------------------------------------------------------------------------------------------- Weighted Average Max Rate Original 17.703% 17.039% 17.227% Weighted Average Max Rate Prior 17.697% 17.203% 17.281% Weighted Average Max Rate Current 17.680% 17.204% 17.274% ----------------------------------------------------------------------------------------------------------------------------- Weighted Average Min Rate Original 6.606% 7.182% 7.837% Weighted Average Min Rate Prior 6.604% 7.070% 7.781% Weighted Average Min Rate Current 6.577% 7.072% 7.766% ----------------------------------------------------------------------------------------------------------------------------- Weighted Average Cap Up Original Weighted Average Cap Up Prior Weighted Average Cap Up Current ----------------------------------------------------------------------------------------------------------------------------- Weighted Average Cap Down Original Weighted Average Cap Down Prior Weighted Average Cap Down Current - ---------------------------------------------------------------------------------------------------------------------------------
Note: Original information refers to deal issue.
SERVICING FEES / ADVANCES POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- TOTAL SERVICING FEE 31,480.21 32,486.60 34,348.79 98,315.60 - ---------------------------------------------------------------------------------------------------------------------------------
ADDITIONAL COLLATERAL INFORMATION POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - ---------------------------------------------------------------------------------------------------------------------------------
- ---------------------------------------------------------------------------------------------------------------------------------- Delinquency Report - Total - ---------------------------------------------------------------------------------------------------------------------------------- CURRENT 1 PAYMENT 2 PAYMTS 3+ PAYMTS TOTAL - ---------------------------------------------------------------------------------------------------------------------------------- DELINQUENT Balance 2,718,844.29 915,063.45 - 3,633,907.74 % Balance 1.22% 0.41% 0.00% 1.63% # Loans 57 9 - 66 % # Loans 1.42% 0.22% 0.00% 1.65% - ---------------------------------------------------------------------------------------------------------------------------------- FORECLOSURE Balance - - 684,517.55 2,370,515.14 3,055,032.69 % Balance 0.00% 0.00% 0.31% 1.06% 1.37% # Loans - - 12 31 43 % # Loans 0.00% 0.00% 0.30% 0.77% 1.07% - ---------------------------------------------------------------------------------------------------------------------------------- BANKRUPTCY Balance - - 95,022.40 300,119.73 395,142.13 % Balance 0.00% 0.00% 0.04% 0.13% 0.18% # Loans - - 2 4 6 % # Loans 0.00% 0.00% 0.05% 0.10% 0.15% - ---------------------------------------------------------------------------------------------------------------------------------- REO Balance - - - - - % Balance 0.00% 0.00% 0.00% 0.00% 0.00% # Loans - - - - - % # Loans 0.00% 0.00% 0.00% 0.00% 0.00% - ---------------------------------------------------------------------------------------------------------------------------------- - ---------------------------------------------------------------------------------------------------------------------------------- TOTAL Balance - 2,718,844.29 1,694,603.40 2,670,634.87 7,084,082.56 % Balance 0.00% 1.22% 0.76% 1.19% 3.17% # Loans - 57 23 35 115 % # Loans 0.00% 1.42% 0.57% 0.87% 2.87% - ----------------------------------------------------------------------------------------------------------------------------------
Note: Current = 0-29days, 1 Payment =30-59days, 2 Payments = 60-89days, 3+ Payments = 90+
- ---------------------------------------------------------------------------------------------------------------------------------- Delinquency Report - Pool I Group - ---------------------------------------------------------------------------------------------------------------------------------- CURRENT 1 PAYMENT 2 PAYMTS 3+ PAYMTS TOTAL - ---------------------------------------------------------------------------------------------------------------------------------- DELINQUENT Balance 1,219,363.99 70,971.07 - 1,290,335.06 % Balance 1.57% 0.09% 0.00% 1.66% # Loans 29 2 - 31 % # Loans 1.47% 0.10% 0.00% 1.57% - ---------------------------------------------------------------------------------------------------------------------------------- FORECLOSURE Balance - - 104,680.90 825,639.45 930,320.35 % Balance 0.00% 0.00% 0.13% 1.06% 1.20% # Loans - - 4 14 18 % # Loans 0.00% 0.00% 0.20% 0.71% 0.91% - ---------------------------------------------------------------------------------------------------------------------------------- BANKRUPTCY Balance - - - 65,672.64 65,672.64 % Balance 0.00% 0.00% 0.00% 0.08% 0.08% # Loans - - - 2 2 % # Loans 0.00% 0.00% 0.00% 0.10% 0.10% - ---------------------------------------------------------------------------------------------------------------------------------- REO Balance - - - - - % Balance 0.00% 0.00% 0.00% 0.00% 0.00% # Loans - - - - - % # Loans 0.00% 0.00% 0.00% 0.00% 0.00% - ---------------------------------------------------------------------------------------------------------------------------------- - ---------------------------------------------------------------------------------------------------------------------------------- TOTAL Balance - 1,219,363.99 175,651.97 891,312.09 2,286,328.05 % Balance 0.00% 1.57% 0.23% 1.15% 2.95% # Loans - 29 6 16 51 % # Loans 0.00% 1.47% 0.30% 0.81% 2.59% - ----------------------------------------------------------------------------------------------------------------------------------
Note: Current = 0-29days, 1 Payment =30-59days, 2 Payments = 60-89days, 3+ Payments = 90+
- ------------------------------------------------------------------------------------------------------------------------------------ Delinquency Report - Pool II Group - ------------------------------------------------------------------------------------------------------------------------------------ CURRENT 1 PAYMENT 2 PAYMTS 3+ PAYMTS TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ DELINQUENT Balance 1,066,124.67 382,193.96 - 1,448,318.63 % Balance 1.45% 0.52% 0.00% 1.97% # Loans 25 5 - 30 % # Loans 1.55% 0.31% 0.00% 1.86% - ------------------------------------------------------------------------------------------------------------------------------------ FORECLOSURE Balance - - 382,926.46 790,677.70 1,173,604.16 % Balance 0.00% 0.00% 0.52% 1.07% 1.59% # Loans - - 7 13 20 % # Loans 0.00% 0.00% 0.43% 0.80% 1.24% - ------------------------------------------------------------------------------------------------------------------------------------ BANKRUPTCY Balance - - 95,022.40 34,447.09 129,469.49 % Balance 0.00% 0.00% 0.13% 0.05% 0.18% # Loans - - 2 1 3 % # Loans 0.00% 0.00% 0.12% 0.06% 0.19% - ------------------------------------------------------------------------------------------------------------------------------------ REO Balance - - - - - % Balance 0.00% 0.00% 0.00% 0.00% 0.00% # Loans - - - - - % # Loans 0.00% 0.00% 0.00% 0.00% 0.00% - ------------------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------------------ TOTAL Balance - 1,066,124.67 860,142.82 825,124.79 2,751,392.28 % Balance 0.00% 1.45% 1.17% 1.12% 3.73% # Loans - 25 14 14 53 % # Loans 0.00% 1.55% 0.87% 0.87% 3.28% - ------------------------------------------------------------------------------------------------------------------------------------
Note: Current = 0-29days, 1 Payment =30-59days, 2 Payments = 60-89days, 3+ Payments = 90+
- ------------------------------------------------------------------------------------------------------------------------------------ Delinquency Report - Pool III Group - ------------------------------------------------------------------------------------------------------------------------------------ CURRENT 1 PAYMENT 2 PAYMTS 3+ PAYMTS TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ DELINQUENT Balance 433,355.63 461,898.42 - 895,254.05 % Balance 0.60% 0.64% 0.00% 1.24% # Loans 3 2 - 5 % # Loans 0.72% 0.48% 0.00% 1.20% - ------------------------------------------------------------------------------------------------------------------------------------ FORECLOSURE Balance - - 196,910.19 754,197.99 951,108.18 % Balance 0.00% 0.00% 0.27% 1.04% 1.32% # Loans - - 1 4 5 % # Loans 0.00% 0.00% 0.24% 0.96% 1.20% - ------------------------------------------------------------------------------------------------------------------------------------ BANKRUPTCY Balance - - - 200,000.00 200,000.00 % Balance 0.00% 0.00% 0.00% 0.28% 0.28% # Loans - - - 1 1 % # Loans 0.00% 0.00% 0.00% 0.24% 0.24% - ------------------------------------------------------------------------------------------------------------------------------------ REO Balance - - - - - % Balance 0.00% 0.00% 0.00% 0.00% 0.00% # Loans - - - - - % # Loans 0.00% 0.00% 0.00% 0.00% 0.00% - ------------------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------------------ TOTAL Balance - 433,355.63 658,808.61 954,197.99 2,046,362.23 % Balance 0.00% 0.60% 0.91% 1.32% 2.83% # Loans - 3 3 5 11 % # Loans 0.00% 0.72% 0.72% 1.20% 2.63% - ------------------------------------------------------------------------------------------------------------------------------------
Note: Current = 0-29days, 1 Payment =30-59days, 2 Payments = 60-89days, 3+ Payments = 90+
- ------------------------------------------------------------------------------------------------------------------------------------ REO Report - Mortgage Loans that Become REO During Current Distribution - ------------------------------------------------------------------------------------------------------------------------------------ SUMMARY LOAN GROUP - ------------------------------------------------------------------------------------------------------------------------------------ Total Loan Count = 0 Loan Group 1 = Pool I Group; REO Book Value = 000.00 Total Original Principal Balance = 000.00 Loan Group 2 = Pool II Group; REO Book Value = 000.00 Total Current Balance = 000.00 Loan Group 3 = Pool III Group; REO Book Value = 000.00 REO Book Value = 000.00 - ------------------------------------------------------------------------------------------------------------------------------------
REO Book Value reported corresponds to total REO loans, including loans that become REO during current distribution.
- ------------------------------------------------------------------------------------------------------------------------------------ Loan Number Original Stated Current State & & Principal Principal Paid to Note LTV at Original Origination Loan Group Balance Balance Date Rate Origination Term Date - ------------------------------------------------------------------------------------------------------------------------------------ SPACE INTENTIONALLY LEFT BLANK - ------------------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------------------ Prepayment Report - Voluntary Prepayments - ------------------------------------------------------------------------------------------------------------------------------------ VOLUNTARY PREPAYMENTS POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ Current Number of Paid in Full Loans 20 80 108 208 Number of Repurchased Loans - - - - -------------------------------------------------------------------------------------------------------------------------------- Total Number of Loans Prepaid in Full 20 80 108 208 Paid in Full Balance 3,713,594.12 4,190,118.67 4,778,736.41 12,682,449.20 Repurchased Loans Balance - - - - Curtailments Amount 1,003,930.06 594,760.55 813,543.96 2,412,234.57 -------------------------------------------------------------------------------------------------------------------------------- Total Prepayment Amount 4,717,524.18 4,784,879.22 5,592,280.37 15,094,683.77 Cumulative Number of Paid in Full Loans 165 563 687 1,415 Number of Repurchased Loans - - - - -------------------------------------------------------------------------------------------------------------------------------- Total Number of Loans Prepaid in Full 165 563 687 1,415 Paid in Full Balance 31,700,523.41 28,544,099.05 29,412,217.02 89,656,839.48 Repurchased Loans Balance - - - - Curtailments Amount 12,133,449.46 7,968,982.62 10,005,604.14 30,108,036.22 -------------------------------------------------------------------------------------------------------------------------------- Total Prepayment Amount 43,833,972.87 36,513,081.67 39,417,821.16 119,764,875.70 SPACE INTENTIONALLY LEFT BLANK - ------------------------------------------------------------------------------------------------------------------------------------
VOLUNTARY PREPAYMENT RATES POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ SMM 6.25% 6.15% 6.79% 6.41% 3 Months Avg SMM 5.78% 6.03% 5.92% 5.91% 12 Months Avg SMM Avg SMM Since Cut-off 5.61% 4.60% 4.73% 4.97% CPR 53.91% 53.29% 57.01% 54.82% 3 Months Avg CPR 51.06% 52.58% 51.91% 51.87% 12 Months Avg CPR Avg CPR Since Cut-off 50.00% 43.19% 44.08% 45.77% PSA 3037.88% 2960.92% 3111.47% 3040.43% 3 Months Avg PSA Approximation 2997.68% 3067.65% 2972.02% 3012.39% 12 Months Avg PSA Approximation Avg PSA Since Cut-off Approximation 4267.11% 3673.78% 3646.57% 3859.42% - ------------------------------------------------------------------------------------------------------------------------------------
PREPAYMENT CALCULATION METHODOLOGY - -------------------------------------------------------------------------------- Single Monthly Mortality (SMM): (Voluntary partial and full prepayments + Repurchases)/(Beg Principal Balance - Sched Principal) Conditional Prepayment Rate (CPR): 1-((1-SMM)** 12) PSA Standard Prepayment Model: CPR/(0.02*min(30,WAS)) Average SMM over period between nth month and mth month (AvgSMMn,m): [(1-SMMn) * (1-SMMn+1) *.......*(1-SMMm)]**(1/months in period n,m) Average CPR over period between the nth month and mth month (AvgCPRn,m): 1-((1-AvgSMMn,m)** 12) Average PSA Approximation over period between the nth month and mth month: AvgCPRn,m/(0.02*Avg WASn,m)) Average WASn,m: (min(30,WASn)+min(30,WASn+1)+.......+min(30,WASm)/(number of months in the period n,m) Weighted Average Seasoning (WAS) Note: Prepayment rates are calculated since deal issue date and include partial and full voluntary prepayments and repurchases. Dates correspond to distribution dates. - -------------------------------------------------------------------------------- * denotes roof tops found in text.
- ------------------------------------------------------------------------------------------------------------------------------------ Realized Loss Report - Collateral - ------------------------------------------------------------------------------------------------------------------------------------ COLLATERAL REALIZED LOSSES POOL III POOL II POOL I TOTAL - ---------------------------------------------------------------------------------------------------------------------------------- Current Number of Loans Liquidated - 6 4 10 Collateral Realized Loss/(Gain) Amount - 16,843.74 - 16,843.74 Net Liquidation Proceeds - 305,123.23 225,219.39 530,342.62 Cumulative Number of Loans Liquidated - 9 7 16 Collateral Realized Loss/(Gain) Amount 462,593.66 37,269.96 - 499,863.62 Net Liquidation Proceeds (462,593.66) 444,123.19 318,466.70 299,996.23 Note: Collateral realized losses may include adjustments to loans liquidated in prior periods. Cumulative Losses as % of Original Balance 0.4816% 0.0386% 0.0000% 0.1704% Cumulative Losses as % of Current Balance 0.6399% 0.0506% 0.0000% 0.2236% - ------------------------------------------------------------------------------------------------------------------------------------
DEFAULT SPEEDS POOL III POOL II POOL I TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ MDR 0.00% 0.41% 0.27% 0.23% 3 Months Avg MDR 0.00% 0.18% 0.11% 0.10% 12 Months Avg MDR Avg MDR Since Cut-off 0.00% 0.07% 0.04% 0.04% CDR 0.00% 4.84% 3.23% 2.75% 3 Months Avg CDR 0.00% 2.15% 1.33% 1.18% 12 Months Avg CDR Avg CDR Since Cut-off 0.00% 0.80% 0.50% 0.44% SDA 0.00% 26.92% 17.63% 15.24% 3 Months Avg SDA Approximation 0.00% 12.54% 7.59% 6.83% 12 Months Avg SDA Approximation Avg SDA Since Cut-off Approximation 0.00% 6.80% 4.14% 3.71% Loss Severity Approximation for Current Period 5.23% 0.00% 3.08% 3 Months Avg Loss Severity Approximation 2.62% 0.00% 148.61% 12 Months Avg Loss Severity Approximation Avg Loss Severity Approximation Since Cut-off 14.35% 0.00% 106.21% - ------------------------------------------------------------------------------------------------------------------------------------
COLLATERAL REALIZED LOSS CALCULATION METHODOLOGY - -------------------------------------------------------------------------------- Monthly Default Rate (MDR): (Beg Principal Balance of Liquidated Loans)/ (Total Beg Principal Balance) Conditional Default Rate (CDR): 1-((1-MDR)**12) SDA Standard Default Assumption: CDR/IF(WAS***61,MIN(30,WAS)*0.02,MAX (0.03,MIN(30,WAS)*0.02-0.0095*(WAS-60))) Average MDR over period between nth month and mth month (AvgMDRn,m): [(1-MDRn) * (1-MDRn+1) *.......*(1-MDRm)]**(1/months in period n,m) Average CDR over period between the nth month and mth month (AvgCDRn,m): 1-((1-AvgMDRn,m)**12) Average SDA Approximation over period between the nth month and mth month: AvgCDRn,m/IF(Avg WASn,m***61,MIN(30,Avg WASn,m)*0.02,MAX(0.03,MIN(30,Avg WASn,m)*0.02-0.0095*(Avg WASn,m-60))) Average WASn,m: (WASn + WASn+1 +.......+ WASm )/(number of months in the period n,m) Loss Severity Approximation for current period: sum(Realized Loss Amount)/ sum(Beg Principal Balance of Liquidated Loans) Average Loss Severity Approximation over period between nth month and mth month: Avg(Loss Severityn,m) Note: Default rates are calculated since deal issue date and include realized gains and additional realized losses and gains from prior periods. Dates correspond to distribution dates. - -------------------------------------------------------------------------------- ** denotes roof top *** denotes less than
- ------------------------------------------------------------------------------------------------------------------------------------ Realized Loss Detail Report - Loans Liquidated During Current Distribution - ------------------------------------------------------------------------------------------------------------------------------------ SUMMARY LOAN GROUP - --------------------------------------------------------- ----------------------------------------------------------- Total Loan Count = 10 Loan Group 1 = Pool I Group Total Original Principal Balance = 588,500.00 Loan Group 2 = Pool II Group Total Prior Principal Balance = 547,186.36 Loan Group 3 = Pool III Group Total Realized Loss Amount = 16,843.74 Total Net Liquidation Proceeds = 530,342.62 - --------------------------------------------------------- -----------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------------------ Loan Number Original Prior Current State & & Loan Principal Principal Realized Note LTV at Original Origination Loan Group Status Balance Balance Loss/(Gain) Rate Origination Term Date - ------------------------------------------------------------------------------------------------------------------------------------ 101373397 1 25,000.00 24,552.10 - 7.750% WA - 79.02% 300 Sep-07-00 101460533 1 100,000.00 98,323.68 - 8.750% CA - 78.47% 180 Oct-24-00 101571230 1 93,000.00 86,976.65 - 7.500% CA - 79.99% 180 Oct-19-00 101824712 1 17,000.00 15,366.96 - 14.125% CA - 90.00% 180 Oct-31-00 101386258 2 87,700.00 86,311.51 - 12.250% CA - 89.88% 180 Aug-28-00 101491926 2 55,500.00 54,910.56 - 10.000% CA - 95.00% 180 Sep-07-00 101515989 2 23,100.00 23,024.10 - 12.125% CA - 89.96% 180 Sep-28-00 101612513 2 41,200.00 41,095.38 - 12.250% CA - 94.98% 180 Sep-22-00 101801108 2 46,000.00 16,843.74 16,843.74 14.500% PA - 100.00% 180 Oct-31-00 101840809 2 100,000.00 99,781.68 - 12.375% CA - 86.98% 180 Oct-31-00 - ------------------------------------------------------------------------------------------------------------------------------------
- --------------------------------------------------------------------------------------------------------------------------------- Triggers, Adj. Rate Cert. and Miscellaneous Report - --------------------------------------------------------------------------------------------------------------------------------- TRIGGER EVENTS POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- Servicer Event of Default No No No No Insurer Default No No No No - ---------------------------------------------------------------------------------------------------------------------------------
ADJUSTABLE RATE CERTIFICATE INFORMATION POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - ---------------------------------------------------------------------------------------------------------------------------------
ADDITIONAL INFORMATION POOL III POOL II POOL I TOTAL - --------------------------------------------------------------------------------------------------------------------------------- Detail Delinq. Breakdown to Supplement pages 11-13 Number of Mort. Loans Delinq. 90 -119 days - - - - Balance of Mort. Loans Delinq. 90 -119 days 0.00 0.00 0.00 0.00 Number of Mort. Loans Delinq. 120 -149 days - - - - Balance of Mort. Loans Delinq. 120 -149 days 0.00 0.00 0.00 0.00 Number of Mort. Loans Delinq. 150 -179 days - - - - Balance of Mort. Loans Delinq. 150 -179 days 0.00 0.00 0.00 0.00 Number of Mort. Loans Delinq. 180 days or more 1 - - 1 Balance of Mort. Loans Delinq. 180 days or more 505,911.37 0.00 10.00 505,921.37 Number of Mort. Loans Delinq. 180 days or more (including status) 2 6 10 18 Balance of Mort. Loans Delinq. 180 days or more (including status) 327,578.04 280,036.00 559,391.17 1,167,005.21 Management Fee Accrued and Unpaid 1,473.03 1,482.30 1,544.67 4,500.00 - ---------------------------------------------------------------------------------------------------------------------------------