Back to top

POOLING AND SERVICING AGREEMENT

Pooling and Servicing Agreement

POOLING AND SERVICING AGREEMENT | Document Parties: ACE SECURITIES CORP. HOME EQUITY LOAN TRUST, SERIES 2006-ASA | OCWEN LOAN SERVICING, LLC | WELLS FARGO BANK, NATIONAL ASSOCIATION | HSBC BANK USA, NATIONAL ASSOCIATION You are currently viewing:
This Pooling and Servicing Agreement involves

ACE SECURITIES CORP. HOME EQUITY LOAN TRUST, SERIES 2006-ASA | OCWEN LOAN SERVICING, LLC | WELLS FARGO BANK, NATIONAL ASSOCIATION | HSBC BANK USA, NATIONAL ASSOCIATION

. RealDealDocs™ contains millions of easily searchable legal documents and clauses from top law firms. Search for free - click here.
Title: POOLING AND SERVICING AGREEMENT
Governing Law: New York     Date: 10/25/2006

POOLING AND SERVICING AGREEMENT, Parties: ace securities corp. home equity loan trust  series 2006-asa , ocwen loan servicing  llc , wells fargo bank  national association , hsbc bank usa  national association
50 of the Top 250 law firms use our Products every day

 

ACE SECURITIES CORP.

Depositor

 

OCWEN LOAN SERVICING, LLC

Servicer

 

WELLS FARGO BANK, NATIONAL ASSOCIATION

Master Servicer and Securities Administrator

 

HSBC BANK USA, NATIONAL ASSOCIATION

Trustee

 

POOLING AND SERVICING AGREEMENT

Dated as of September 1, 2006

 

ACE Securities Corp. Home Equity Loan Trust, Series 2006-ASAP5

Asset Backed Pass-Through Certificates

 


 

 

TABLE OF CONTENTS

 

ARTICLE I

 

DEFINITIONS

 

12

SECTION 1.01.

 

Defined Terms.

 

12

SECTION 1.02.

 

Allocation of Certain Interest Shortfalls.

 

103

ARTICLE II

 

CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES

 

106

SECTION 2.01.

 

Conveyance of the Mortgage Loans.

 

106

SECTION 2.02.

 

Acceptance of REMIC I by Trustee.

 

107

SECTION 2.03.

 

Repurchase or Substitution of Mortgage Loans.

 

107

SECTION 2.04.

 

Representations and Warranties of the Master Servicer.

 

110

SECTION 2.05.

 

Representations, Warranties and Covenants of the Servicer.

 

112

SECTION 2.06.

 

Issuance of the REMIC I Regular Interests and the Class R-I Interest.

 

114

SECTION 2.07.

 

Conveyance of the REMIC I Regular Interests; Acceptance of REMIC II and REMIC III by the Trustee.

 

115

SECTION 2.08.

 

Issuance of the Residual Certificates.

 

115

SECTION 2.09.

 

Establishment of the Trust.

 

115

SECTION 2.10.

 

Purpose and Powers of the Trust.

 

115

SECTION 2.11.

 

Representations and Warranties of the Trustee.

 

116

ARTICLE III

 

ADMINISTRATION AND SERVICING OF THE MORTGAGE LOANS; ACCOUNTS

 

117

SECTION 3.01.

 

The Servicer to Act as Servicer.

 

117

SECTION 3.02.

 

Sub-Servicing Agreements Between the Servicer and Sub-Servicers.

 

120

SECTION 3.03.

 

Successor Sub-Servicers.

 

121

SECTION 3.04.

 

No Contractual Relationship Between Sub-Servicer, Subcontractor, Trustee or the Certificateholders.

 

122

SECTION 3.05.

 

Assumption or Termination of Sub-Servicing Agreement by Successor Servicer.

 

122

SECTION 3.06.

 

Collection of Certain Mortgage Loan Payments.

 

122

SECTION 3.07.

 

Collection of Taxes, Assessments and Similar Items; Servicing Accounts.

 

123

SECTION 3.08.

 

Collection Account and Distribution Account.

 

124

SECTION 3.09.

 

Withdrawals from the Collection Account and Distribution Account.

 

126

SECTION 3.10.

 

Investment of Funds in the Investment Accounts.

 

129

SECTION 3.11.

 

Maintenance of Hazard Insurance, Errors and Omissions and Fidelity Coverage and Primary Mortgage Insurance.

 

130

SECTION 3.12.

 

Enforcement of Due-on-Sale Clauses; Assumption Agreements

 

132

SECTION 3.13.

 

Realization Upon Defaulted Mortgage Loans.

 

133

SECTION 3.14.

 

Trustee to Cooperate; Release of Mortgage Files.

 

135

SECTION 3.15.

 

Servicing Compensation.

 

137

SECTION 3.16.

 

Collection Account Statements.

 

137

SECTION 3.17.

 

Annual Statement as to Compliance.

 

138

 

i


 

SECTION 3.18.

 

Assessments of Compliance and Attestation Reports.

 

138

SECTION 3.19.

 

[Reserved].

 

140

SECTION 3.20.

 

Annual Certification; Additional Information.

 

140

SECTION 3.21.

 

Access to Certain Documentation.

 

141

SECTION 3.22.

 

Title, Management and Disposition of REO Property.

 

142

SECTION 3.23.

 

Obligations of the Servicer in Respect of Prepayment Interest Shortfalls; Relief Act Interest Shortfalls.

 

145

SECTION 3.24.

 

Obligations of the Servicer in Respect of Mortgage Rates and Monthly Payments.

 

145

SECTION 3.25.

 

Reserve Fund.

 

146

SECTION 3.26.

 

Advance Facility.

 

148

SECTION 3.27.

 

Indemnification.

 

149

ARTICLE IV

 

ADMINISTRATION AND MASTER SERVICING OF THE MORTGAGE LOANS BY THE MASTER SERVICER

 

150

SECTION 4.01.

 

Master Servicer.

 

150

SECTION 4.02.

 

REMIC-Related Covenants.

 

151

SECTION 4.03.

 

Monitoring of Servicer.

 

151

SECTION 4.04.

 

Fidelity Bond.

 

152

SECTION 4.05.

 

Power to Act; Procedures.

 

152

SECTION 4.06.

 

Due-on-Sale Clauses; Assumption Agreements.

 

153

SECTION 4.07.

 

Documents, Records and Funds in Possession of Master Servicer To Be Held for Trustee.

 

153

SECTION 4.08.

 

Standard Hazard Insurance and Flood Insurance Policies.

 

154

SECTION 4.09.

 

Presentment of Claims and Collection of Proceeds.

 

154

SECTION 4.10.

 

Maintenance of Primary Mortgage Insurance Policies.

 

155

SECTION 4.11.

 

Trustee to Retain Possession of Certain Insurance Policies and Documents.

 

155

SECTION 4.12.

 

Realization Upon Defaulted Mortgage Loans.

 

155

SECTION 4.13.

 

Compensation for the Master Servicer.

 

156

SECTION 4.14.

 

REO Property.

 

156

SECTION 4.15.

 

Master Servicer Annual Statement of Compliance.

 

156

SECTION 4.16.

 

Master Servicer Assessments of Compliance.

 

157

SECTION 4.17.

 

Master Servicer Attestation Reports.

 

159

SECTION 4.18.

 

Annual Certification.

 

160

SECTION 4.19.

 

Obligation of the Master Servicer in Respect of Prepayment Interest Shortfalls.

 

160

SECTION 4.20.

 

Prepayment Penalty Verification.

 

160

ARTICLE V

 

PAYMENTS TO CERTIFICATEHOLDERS

 

162

SECTION 5.01.

 

Distributions.

 

162

SECTION 5.02.

 

Statements to Certificateholders.

 

179

SECTION 5.03.

 

Servicer Reports; P&I Advances.

 

183

SECTION 5.04.

 

Allocation of Realized Losses.

 

184

SECTION 5.05.

 

Compliance with Withholding Requirements.

 

188

SECTION 5.06.

 

Reports Filed with Securities and Exchange Commission.

 

188

 

ii


 

SECTION 5.07.

 

Supplemental Interest Trust.

 

193

SECTION 5.08.

 

Tax Treatment of Swap Payments and Swap Termination Payments.

 

195

ARTICLE VI

 

THE CERTIFICATES

 

197

SECTION 6.01.

 

The Certificates.

 

197

SECTION 6.02.

 

Registration of Transfer and Exchange of Certificates.

 

199

SECTION 6.03.

 

Mutilated, Destroyed, Lost or Stolen Certificates.

 

204

SECTION 6.04.

 

Persons Deemed Owners.

 

204

SECTION 6.05.

 

Certain Available Information.

 

204

ARTICLE VII

 

THE DEPOSITOR, THE SERVICER AND THE MASTER SERVICER

 

205

SECTION 7.01.

 

Liability of the Depositor, the Servicer and the Master Servicer.

 

205

SECTION 7.02.

 

Merger or Consolidation of the Depositor, the Servicer or the Master Servicer.

 

205

SECTION 7.03.

 

Limitation on Liability of the Depositor, the Servicer, the Master Servicer and Others.

 

205

SECTION 7.04.

 

Limitation on Resignation of the Servicer.

 

206

SECTION 7.05.

 

Limitation on Resignation of the Master Servicer.

 

208

SECTION 7.06.

 

Assignment of Master Servicing.

 

208

SECTION 7.07.

 

Rights of the Depositor in Respect of the Servicer and the Master Servicer.

 

209

SECTION 7.08.

 

Duties of the Credit Risk Manager.

 

210

SECTION 7.09.

 

Limitation Upon Liability of the Credit Risk Manager.

 

210

SECTION 7.10.

 

Removal of the Credit Risk Manager.

 

210

ARTICLE VIII

 

DEFAULT

 

211

SECTION 8.01.

 

Servicer Events of Default.

 

211

SECTION 8.02.

 

Master Servicer to Act; Appointment of Successor.

 

216

SECTION 8.03.

 

Notification to Certificateholders.

 

218

SECTION 8.04.

 

Waiver of Events of Default.

 

218

ARTICLE IX

 

CONCERNING THE TRUSTEE AND THE SECURITIES ADMINISTRATOR

 

219

SECTION 9.01.

 

Duties of Trustee and Securities Administrator.

 

219

SECTION 9.02.

 

Certain Matters Affecting Trustee and Securities Administrator.

 

220

SECTION 9.03.

 

Trustee and Securities Administrator not Liable for Certificates or Mortgage Loans.

 

223

SECTION 9.04.

 

Trustee and Securities Administrator May Own Certificates.

 

223

SECTION 9.05.

 

Fees and Expenses of Trustee, Custodians and Securities Administrator.

 

223

SECTION 9.06.

 

Eligibility Requirements for Trustee and Securities Administrator.

 

224

SECTION 9.07.

 

Resignation and Removal of Trustee and Securities Administrator.

 

225

SECTION 9.08.

 

Successor Trustee or Securities Administrator.

 

226

SECTION 9.09.

 

Merger or Consolidation of Trustee or Securities Administrator.

 

226

SECTION 9.10.

 

Appointment of Co-Trustee or Separate Trustee.

 

227

 

iii


 

SECTION 9.11.

 

Appointment of Office or Agency.

 

228

SECTION 9.12.

 

Representations and Warranties.

 

228

ARTICLE X

 

TERMINATION

 

229

SECTION 10.01.

 

Termination Upon Repurchase or Liquidation of All Mortgage Loans.

 

229

SECTION 10.02.

 

Additional Termination Requirements.

 

231

ARTICLE XI

 

REMIC PROVISIONS

 

233

SECTION 11.01.

 

REMIC Administration.

 

233

SECTION 11.02.

 

Prohibited Transactions and Activities.

 

235

SECTION 11.03.

 

Indemnification.

 

236

ARTICLE XII

 

MISCELLANEOUS PROVISIONS

 

237

SECTION 12.01.

 

Amendment.

 

237

SECTION 12.02.

 

Recordation of Agreement; Counterparts.

 

238

SECTION 12.03.

 

Limitation on Rights of Certificateholders.

 

238

SECTION 12.04.

 

Governing Law.

 

239

SECTION 12.05.

 

Notices.

 

239

SECTION 12.06.

 

Severability of Provisions.

 

240

SECTION 12.07.

 

Notice to Rating Agencies.

 

240

SECTION 12.08.

 

Article and Section References.

 

241

SECTION 12.09.

 

Grant of Security Interest.

 

241

SECTION 12.10.

 

Survival of Indemnification.

 

242

SECTION 12.11.

 

Intention of the Parties and Interpretation.

 

242

SECTION 12.12.

 

Indemnification.

 

242

SECTION 12.13.

 

Swap Provider as a Third Party Beneficiary.

 

243

 

iv


 

Exhibits

 

Exhibit A-1

 

Form of Class A Certificate

Exhibit A-2

 

Form of Class M Certificate

Exhibit A-3

 

Form of Class CE Certificate

Exhibit A-4

 

Form of Class P Certificate

Exhibit A-5

 

Form of Class R Certificate

Exhibit B-1

 

Form of Transferor Representation Letter and Form of Transferee Representation Letter in Connection with Transfer of the Class P Certificates, Class CE Certificates and Residual Certificates Pursuant to Rule 144A Under the Securities Act

Exhibit B-2

 

Form of Transferor Representation Letter and Form of Transferee Representation Letter in Connection with Transfer of the Class P Certificates, Class CE Certificates and Residual Certificates Pursuant to Rule 501(a) Under the Securities Act

Exhibit B-3

 

Form of Transfer Affidavit and Agreement and Form of Transferor Affidavit in Connection with Transfer of Residual Certificates

Exhibit C

 

Form of Back-Up Certification

Exhibit D

 

Form of Power of Attorney

Exhibit E

 

Servicing Criteria

Exhibit F

 

Mortgage Loan Purchase Agreement

Exhibit G

 

Form 10-D, Form 8-K and Form 10-K Reporting Responsibility

Exhibit H

 

Additional Disclosure Notification

Exhibit I

 

Swap Agreement

Exhibit J

 

Cap Contracts

 

 

 

Schedule 1

 

Mortgage Loan Schedule

Schedule 2

 

Prepayment Charge Schedule

Schedule 3

 

Reserved

Schedule 4

 

Standard File Layout - Delinquency Reporting

Schedule 5

 

Standard File Layout - Master Servicing

Schedule 6

 

Data Requirements of Servicing Advances Incurred Prior to Cut-off Date

 

v


 

 

This Pooling and Servicing Agreement, is dated and effective as of September 1, 2006, among ACE SECURITIES CORP., as Depositor, OCWEN LOAN SERVICING, LLC, as Servicer, WELLS FARGO BANK, NATIONAL ASSOCIATION, as Master Servicer and Securities Administrator and HSBC BANK USA, NATIONAL ASSOCIATION, as Trustee.

 

PRELIMINARY STATEMENT:

 

The Depositor intends to sell pass-through certificates to be issued hereunder in multiple classes, which in the aggregate will evidence the entire beneficial ownership interest of the Trust Fund created hereunder. The Trust Fund will consist of a segregated pool of assets comprised of the Mortgage Loans and certain other related assets subject to this Agreement.

 

REMIC I

 

As provided herein, the Securities Administrator will elect to treat the segregated pool of assets consisting of the Mortgage Loans and certain other related assets subject to this Agreement (other than the Reserve Fund and, for the avoidance of doubt, the Supplemental Interest Trust, the Cap Contracts and the Swap Agreement) as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC I”. The Class R-I Interest will be the sole class of “residual interests” in REMIC I for purposes of the REMIC Provisions (as defined herein). The following table irrevocably sets forth the designation, the REMIC I Remittance Rate, the initial Uncertificated Balance and, for purposes of satisfying Treasury regulation Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each of the REMIC I Regular Interests (as defined herein). None of the REMIC I Regular Interests will be certificated.

 

 

Designation

 

REMIC I Remittance Rate

 

Initial Uncertificated Balance

 

Latest Possible

Maturity Date (1)

 

IA

 

Variable (2)

 

$

28,109,508.25

 

October 25, 2036

 

IA-1-A

 

Variable (2)

 

$

3,454,472.18

 

October 25, 2036

 

IA-1-B

 

Variable (2)

 

$

3,454,472.18

 

October 25, 2036

 

IA-2-A

 

Variable (2)

 

$

3,736,953.33

 

October 25, 2036

 

IA-2-B

 

Variable (2)

 

$

3,736,953.33

 

October 25, 2036

 

IA-3-A

 

Variable (2)

 

$

3,999,630.79

 

October 25, 2036

 

IA-3-B

 

Variable (2)

 

$

3,999,630.79

 

October 25, 2036

 

IA-4-A

 

Variable (2)

 

$

4,232,899.64

 

October 25, 2036

 

IA-4-B

 

Variable (2)

 

$

4,232,899.64

 

October 25, 2036

 

IA-5-A

 

Variable (2)

 

$

4,102,310.24

 

October 25, 2036

 

IA-5-B

 

Variable (2)

 

$

4,102,310.24

 

October 25, 2036

 

IA-6-A

 

Variable (2)

 

$

3,932,849.72

 

October 25, 2036

 

IA-6-B

 

Variable (2)

 

$

3,932,849.72

 

October 25, 2036

 

IA-7-A

 

Variable (2)

 

$

3,769,226.72

 

October 25, 2036

 

IA-7-B

 

Variable (2)

 

$

3,769,226.72

 

October 25, 2036

 

IA-8-A

 

Variable (2)

 

$

3,612,428.82

 

October 25, 2036

 

IA-8-B

 

Variable (2)

 

$

3,612,428.82

 

October 25, 2036

 

IA-9-A

 

Variable (2)

 

$

3,462,170.38

 

October 25, 2036

 

IA-9-B

 

Variable (2)

 

$

3,462,170.38

 

October 25, 2036

 

IA-10-A

 

Variable (2)

 

$

3,318,178.32

 

October 25, 2036

 

 


 

  Designation

 

REMIC I Remittance Rate

 

  Initial Unecertificated Balance

 

Latest Possible

Maturity Date (1)

 

IA-10-B

 

Variable (2)

 

$

3,318,178.32

 

October 25, 2036

 

IA-11-A

 

Variable (2)

 

$

3,180,190.33

 

October 25, 2036

 

IA-11-B

 

Variable (2)

 

$

3,180,190.33

 

October 25, 2036

 

IA-12-A

 

Variable (2)

 

$

3,047,955.71

 

October 25, 2036

 

IA-12-B

 

Variable (2)

 

$

3,047,955.71

 

October 25, 2036

 

IA-13-A

 

Variable (2)

 

$

2,921,234.08

 

October 25, 2036

 

IA-13-B

 

Variable (2)

 

$

2,921,234.08

 

October 25, 2036

 

IA-14-A

 

Variable (2)

 

$

2,805,628.75

 

October 25, 2036

 

IA-14-B

 

Variable (2)

 

$

2,805,628.75

 

October 25, 2036

 

IA-15-A

 

Variable (2)

 

$

2,754,240.92

 

October 25, 2036

 

IA-15-B

 

Variable (2)

 

$

2,754,240.92

 

October 25, 2036

 

IA-16-A

 

Variable (2)

 

$

8,803,561.74

 

October 25, 2036

 

IA-16-B

 

Variable (2)

 

$

8,803,561.74

 

October 25, 2036

 

IA-17-A

 

Variable (2)

 

$

7,922,572.48

 

October 25, 2036

 

IA-17-B

 

Variable (2)

 

$

7,922,572.48

 

October 25, 2036

 

IA-18-A

 

Variable (2)

 

$

6,598,375.92

 

October 25, 2036

 

IA-18-B

 

Variable (2)

 

$

6,598,375.92

 

October 25, 2036

 

IA-19-A

 

Variable (2)

 

$

5,462,349.77

 

October 25, 2036

 

IA-19-B

 

Variable (2)

 

$

5,462,349.77

 

October 25, 2036

 

IA-20-A

 

Variable (2)

 

$

1,824,657.79

 

October 25, 2036

 

IA-20-B

 

Variable (2)

 

$

1,824,657.79

 

October 25, 2036

 

IA-21-A

 

Variable (2)

 

$

1,425,264.92

 

October 25, 2036

 

IA-21-B

 

Variable (2)

 

$

1,425,264.92

 

October 25, 2036

 

IA-22-A

 

Variable (2)

 

$

1,352,007.42

 

October 25, 2036

 

IA-22-B

 

Variable (2)

 

$

1,352,007.42

 

October 25, 2036

 

IA-23-A

 

Variable (2)

 

$

1,289,976.10

 

October 25, 2036

 

IA-23-B

 

Variable (2)

 

$

1,289,976.10

 

October 25, 2036

 

IA-24-A

 

Variable (2)

 

$

1,230,830.37

 

October 25, 2036

 

IA-24-B

 

Variable (2)

 

$

1,230,830.37

 

October 25, 2036

 

IA-25-A

 

Variable (2)

 

$

1,174,434.29

 

October 25, 2036

 

IA-25-B

 

Variable (2)

 

$

1,174,434.29

 

October 25, 2036

 

IA-26-A

 

Variable (2)

 

$

1,120,658.32

 

October 25, 2036

 

IA-26-B

 

Variable (2)

 

$

1,120,658.32

 

October 25, 2036

 

IA-27-A

 

Variable (2)

 

$

1,069,379.57

 

October 25, 2036

 

IA-27-B

 

Variable (2)

 

$

1,069,379.57

 

October 25, 2036

 

IA-28-A

 

Variable (2)

 

$

1,020,469.25

 

October 25, 2036

 

IA-28-B

 

Variable (2)

 

$

1,020,469.25

 

October 25, 2036

 

IA-29-A

 

Variable (2)

 

$

973,560.46

 

October 25, 2036

 

IA-29-B

 

Variable (2)

 

$

973,560.46

 

October 25, 2036

 

IA-30-A

 

Variable (2)

 

$

929,058.38

 

October 25, 2036

 

IA-30-B

 

Variable (2)

 

$

929,058.38

 

October 25, 2036

 

IA-31-A

 

Variable (2)

 

$

886,679.43

 

October 25, 2036

 

IA-31-B

 

Variable (2)

 

$

886,679.43

 

October 25, 2036

 

IA-32-A

 

Variable (2)

 

$

846,263.11

 

October 25, 2036

 

IA-32-B

 

Variable (2)

 

$

846,263.11

 

October 25, 2036

 

IA-33-A

 

Variable (2)

 

$

807,716.36

 

October 25, 2036

 

 

2


 

Designation

 

REMIC I Remittance Rate

 

  Initial Unecertificated Balance

 

Latest Possible

Maturity Date (1)

 

IA-33-B

 

Variable (2)

 

$

807,716.36

 

October 25, 2036

 

IA-34-A

 

Variable (2)

 

$

770,951.70

 

October 25, 2036

 

IA-34-B

 

Variable (2)

 

$

770,951.70

 

October 25, 2036

 

IA-35-A

 

Variable (2)

 

$

735,884.50

 

October 25, 2036

 

IA-35-B

 

Variable (2)

 

$

735,884.50

 

October 25, 2036

 

IA-36-A

 

Variable (2)

 

$

702,434.90

 

October 25, 2036

 

IA-36-B

 

Variable (2)

 

$

702,434.90

 

October 25, 2036

 

IA-37-A

 

Variable (2)

 

$

670,531.93

 

October 25, 2036

 

IA-37-B

 

Variable (2)

 

$

670,531.93

 

October 25, 2036

 

IA-38-A

 

Variable (2)

 

$

640,100.32

 

October 25, 2036

 

IA-38-B

 

Variable (2)

 

$

640,100.32

 

October 25, 2036

 

IA-39-A

 

Variable (2)

 

$

611,071.34

 

October 25, 2036

 

IA-39-B

 

Variable (2)

 

$

611,071.34

 

October 25, 2036

 

IA-40-A

 

Variable (2)

 

$

583,379.40

 

October 25, 2036

 

IA-40-B

 

Variable (2)

 

$

583,379.40

 

October 25, 2036

 

IA-41-A

 

Variable (2)

 

$

556,962.26

 

October 25, 2036

 

IA-41-B

 

Variable (2)

 

$

556,962.26

 

October 25, 2036

 

IA-42-A

 

Variable (2)

 

$

531,760.54

 

October 25, 2036

 

IA-42-B

 

Variable (2)

 

$

531,760.54

 

October 25, 2036

 

IA-43-A

 

Variable (2)

 

$

507,717.09

 

October 25, 2036

 

IA-43-B

 

Variable (2)

 

$

507,717.09

 

October 25, 2036

 

IA-44-A

 

Variable (2)

 

$

484,778.71

 

October 25, 2036

 

IA-44-B

 

Variable (2)

 

$

484,778.71

 

October 25, 2036

 

IA-45-A

 

Variable (2)

 

$

462,893.33

 

October 25, 2036

 

IA-45-B

 

Variable (2)

 

$

462,893.33

 

October 25, 2036

 

IA-46-A

 

Variable (2)

 

$

442,012.20

 

October 25, 2036

 

IA-46-B

 

Variable (2)

 

$

442,012.20

 

October 25, 2036

 

IA-47-A

 

Variable (2)

 

$

422,088.48

 

October 25, 2036

 

IA-47-B

 

Variable (2)

 

$

422,088.48

 

October 25, 2036

 

IA-48-A

 

Variable (2)

 

$

403,077.72

 

October 25, 2036

 

IA-48-B

 

Variable (2)

 

$

403,077.72

 

October 25, 2036

 

IA-49-A

 

Variable (2)

 

$

384,937.84

 

October 25, 2036

 

IA-49-B

 

Variable (2)

 

$

384,937.84

 

October 25, 2036

 

IA-50-A

 

Variable (2)

 

$

367,627.72

 

October 25, 2036

 

IA-50-B

 

Variable (2)

 

$

367,627.72

 

October 25, 2036

 

IA-51-A

 

Variable (2)

 

$

351,109.24

 

October 25, 2036

 

IA-51-B

 

Variable (2)

 

$

351,109.24

 

October 25, 2036

 

IA-52-A

 

Variable (2)

 

$

335,360.67

 

October 25, 2036

 

IA-52-B

 

Variable (2)

 

$

335,360.67

 

October 25, 2036

 

IA-53-A

 

Variable (2)

 

$

321,712.38

 

October 25, 2036

 

IA-53-B

 

Variable (2)

 

$

321,712.38

 

October 25, 2036

 

IA-54-A

 

Variable (2)

 

$

307,338.16

 

October 25, 2036

 

IA-54-B

 

Variable (2)

 

$

307,338.16

 

October 25, 2036

 

IA-55-A

 

Variable (2)

 

$

293,512.67

 

October 25, 2036

 

IA-55-B

 

Variable (2)

 

$

293,512.67

 

October 25, 2036

 

IA-56-A

 

Variable (2)

 

$

280,316.89

 

October 25, 2036

 

 

3


 

  Designation

 

  REMIC I Remittance Rate

 

   Initial Unecertificated Balance

 

  Latest Possible

Maturity Date (1)

 

IA-56-B

 

Variable (2)

 

$

280,316.89

 

October 25, 2036

 

IA-57-A

 

Variable (2)

 

$

6,079,939.30

 

October 25, 2036

 

IA-57-B

 

Variable (2)

 

$

6,079,939.30

 

October 25, 2036

 

IB

 

Variable (2)

 

$

17,198,720.85

 

October 25, 2036

 

IB-1-A

 

Variable (2)

 

$

2,113,601.24

 

October 25, 2036

 

IB-1-B

 

Variable (2)

 

$

2,113,601.24

 

October 25, 2036

 

IB-2-A

 

Variable (2)

 

$

2,286,435.89

 

October 25, 2036

 

IB-2-B

 

Variable (2)

 

$

2,286,435.89

 

October 25, 2036

 

IB-3-A

 

Variable (2)

 

$

2,447,153.76

 

October 25, 2036

 

IB-3-B

 

Variable (2)

 

$

2,447,153.76

 

October 25, 2036

 

IB-4-A

 

Variable (2)

 

$

2,589,878.12

 

October 25, 2036

 

IB-4-B

 

Variable (2)

 

$

2,589,878.12

 

October 25, 2036

 

IB-5-A

 

Variable (2)

 

$

2,509,977.66

 

October 25, 2036

 

IB-5-B

 

Variable (2)

 

$

2,509,977.66

 

October 25, 2036

 

IB-6-A

 

Variable (2)

 

$

2,406,294.10

 

October 25, 2036

 

IB-6-B

 

Variable (2)

 

$

2,406,294.10

 

October 25, 2036

 

IB-7-A

 

Variable (2)

 

$

2,306,182.20

 

October 25, 2036

 

IB-7-B

 

Variable (2)

 

$

2,306,182.20

 

October 25, 2036

 

IB-8-A

 

Variable (2)

 

$

2,210,246.20

 

October 25, 2036

 

IB-8-B

 

Variable (2)

 

$  

2,210,246.20

 

October 25, 2036

 

IB-9-A

 

Variable (2)

 

$

2,118,311.34

 

October 25, 2036

 

IB-9-B

 

Variable (2)

 

$

2,118,311.34

 

October 25, 2036

 

IB-10-A

 

Variable (2)

 

$

2,030,210.53

 

October 25, 2036

 

IB-10-B

 

Variable (2)

 

$

2,030,210.53

 

October 25, 2036

 

IB-11-A

 

Variable (2)

 

$

1,945,783.28

 

October 25, 2036

 

IB-11-B

 

Variable (2)

 

$

1,945,783.28

 

October 25, 2036

 

IB-12-A

 

Variable (2)

 

$

1,864,876.20

 

October 25, 2036

 

IB-12-B

 

Variable (2)

 

$

1,864,876.20

 

October 25, 2036

 

IB-13-A

 

Variable (2)

 

$

1,787,342.21

 

October 25, 2036

 

IB-13-B

 

Variable (2)

 

$

1,787,342.21

 

October 25, 2036

 

IB-14-A

 

Variable (2)

 

$

1,716,609.69

 

October 25, 2036

 

IB-14-B

 

Variable (2)

 

$

1,716,609.69

 

October 25, 2036

 

IB-15-A

 

Variable (2)

 

$

1,685,168.30

 

October 25, 2036

 

IB-15-B

 

Variable (2)

 

$

1,685,168.30

 

October 25, 2036

 

IB-16-A

 

Variable (2)

 

$

5,386,414.48

 

October 25, 2036

 

IB-16-B

 

Variable (2)

 

$

5,386,414.48

 

October 25, 2036

 

IB-17-A

 

Variable (2)

 

$

4,847,385.68

 

October 25, 2036

 

IB-17-B

 

Variable (2)

 

$

4,847,385.68

 

October 25, 2036

 

IB-18-A

 

Variable (2)

 

$

4,037,182.75

 

October 25, 2036

 

IB-18-B

 

Variable (2)

 

$

4,037,182.75

 

October 25, 2036

 

IB-19-A

 

Variable (2)

 

$

3,342,110.93

 

October 25, 2036

 

IB-19-B

 

Variable (2)

 

$

3,342,110.93

 

October 25, 2036

 

IB-20-A

 

Variable (2)

 

$

1,116,407.59

 

October 25, 2036

 

IB-20-B

 

Variable (2)

 

$

1,116,407.59

 

October 25, 2036

 

IB-21-A

 

Variable (2)

 

$

872,041.09

 

October 25, 2036

 

IB-21-B

 

Variable (2)

 

$

872,041.09

 

October 25, 2036

 

 

4


 

Designation

 

REMIC I Remittance Rate

 

   Initial Unecertificated Balance

 

Latest Possible

Maturity Date (1)

 

IB-22-A

 

Variable (2)

 

$

827,218.86

 

October 25, 2036

 

IB-22-B

 

Variable (2)

 

$

827,218.86

 

October 25, 2036

 

IB-23-A

 

Variable (2)

 

$

789,265.32

 

October 25, 2036

 

IB-23-B

 

Variable (2)

 

$

789,265.32

 

October 25, 2036

 

IB-24-A

 

Variable (2)

 

$

753,077.30

 

October 25, 2036

 

IB-24-B

 

Variable (2)

 

$

753,077.30

 

October 25, 2036

 

IB-25-A

 

Variable (2)

 

$

718,571.65

 

October 25, 2036

 

IB-25-B

 

Variable (2)

 

$

718,571.65

 

October 25, 2036

 

IB-26-A

 

Variable (2)

 

$

685,669.10

 

October 25, 2036

 

IB-26-B

 

Variable (2)

 

$

685,669.10

 

October 25, 2036

 

IB-27-A

 

Variable (2)

 

$

654,294.45

 

October 25, 2036

 

IB-27-B

 

Variable (2)

 

$

654,294.45

 

October 25, 2036

 

IB-28-A

 

Variable (2)

 

$

624,368.92

 

October 25, 2036

 

IB-28-B

 

Variable (2)

 

$

624,368.92

 

October 25, 2036

 

IB-29-A

 

Variable (2)

 

$

595,668.02

 

October 25, 2036

 

IB-29-B

 

Variable (2)

 

$

595,668.02

 

October 25, 2036

 

IB-30-A

 

Variable (2)

 

$

568,439.64

 

October 25, 2036

 

IB-30-B

 

Variable (2)

 

$

568,439.64

 

October 25, 2036

 

IB-31-A

 

Variable (2)

 

$

542,510.30

 

October 25, 2036

 

IB-31-B

 

Variable (2)

 

$

542,510.30

 

October 25, 2036

 

IB-32-A

 

Variable (2)

 

$

517,781.78

 

October 25, 2036

 

IB-32-B

 

Variable (2)

 

$

517,781.78

 

October 25, 2036

 

IB-33-A

 

Variable (2)

 

$

494,197.15

 

October 25, 2036

 

IB-33-B

 

Variable (2)

 

$

494,197.15

 

October 25, 2036

 

IB-34-A

 

Variable (2)

 

$

471,702.87

 

October 25, 2036

 

IB-34-B

 

Variable (2)

 

$

471,702.87

 

October 25, 2036

 

IB-35-A

 

Variable (2)

 

$

450,247.19

 

October 25, 2036

 

IB-35-B

 

Variable (2)

 

$

450,247.19

 

October 25, 2036

 

IB-36-A

 

Variable (2)

 

$

429,781.22

 

October 25, 2036

 

IB-36-B

 

Variable (2)

 

$

429,781.22

 

October 25, 2036

 

IB-37-A

 

Variable (2)

 

$

410,261.55

 

October 25, 2036

 

IB-37-B

 

Variable (2)

 

$

410,261.55

 

October 25, 2036

 

IB-38-A

 

Variable (2)

 

$

391,642.13

 

October 25, 2036

 

IB-38-B

 

Variable (2)

 

$

391,642.13

 

October 25, 2036

 

IB-39-A

 

Variable (2)

 

$

373,880.89

 

October 25, 2036

 

IB-39-B

 

Variable (2)

 

$

373,880.89

 

October 25, 2036

 

IB-40-A

 

Variable (2)

 

$

356,937.72

 

October 25, 2036

 

IB-40-B

 

Variable (2)

 

$

356,937.72

 

October 25, 2036

 

IB-41-A

 

Variable (2)

 

$

340,774.53

 

October 25, 2036

 

IB-41-B

 

Variable (2)

 

$

340,774.53

 

October 25, 2036

 

IB-42-A

 

Variable (2)

 

$

325,354.98

 

October 25, 2036

 

IB-42-B

 

Variable (2)

 

$

325,354.98

 

October 25, 2036

 

IB-43-A

 

Variable (2)

 

$  

310,644.12

 

October 25, 2036

 

IB-43-B

 

Variable (2)

 

$

310,644.12

 

October 25, 2036

 

IB-44-A

 

Variable (2)

 

$  

296,609.39

 

October 25, 2036

 

IB-44-B

 

Variable (2)

 

$

296,609.39

 

October 25, 2036

 

 

5


 

  Designation

 

  REMIC I Remittance Rate

 

  Initial Unecertificated Balance

 

  Latest Possible

Maturity Date (1)

 

IB-45-A

 

Variable (2)

 

$

283,218.93

 

October 25, 2036

 

IB-45-B

 

Variable (2)

 

$

283,218.93