Ginnie Mae REMIC Trust 2001-61
The Trust will issue the classes of securities listed in the table below. If you own exchangeable
securities identified in the table, you can exchange them for the corresponding MX Securities, and
vice versa.
Class of
REMIC Securities
Original
Balance(2)
Principal
Type(3)
Interest
Rate
Interest
Type(3)
Final
Distribution
Date(4)
CUSIP
Number
Security Group 1
A(1) ........................ $ 27,601,000
SUP
6.75%
FIX
October 2030
38373TPV1
AO(1)......................
3,450,125
SUP
0.00
PO
October 2030
38373TPW9
B(1) ........................
27,601,000
SUP
6.75
FIX
April 2031
38373TPX7
BO(1) ....................
3,450,125
SUP
0.00
PO
April 2031
38373TPY5
C(1) ........................
13,801,556
SUP
6.75
FIX
July 2031
38373TPZ2
CO(1) ....................
1,725,194
SUP
0.00
PO
July 2031
38373TQA6
DE(1)......................
20,000,000
PAC I
6.00
FIX
September 2030 38373TQB4
EA ............................
400,000,000
PAC I
6.00
FIX
September 2028 38373TQC2
EC ............................
94,190,000
PAC I
6.00
FIX
May 2030
38373TQD0
EZ ............................
55,000,000
SUP
6.00
FIX/Z
April 2030
38373TQE8
FG(1)......................
97,411,059
PAC II
(5)
FLT
July 2031
38373TQF5
GP(1)......................
30,000,000
PAC I
6.00
FIX/Z
December 2031 38373TQG3
GU(1) ....................
20,182,000
PAC I/AD
6.00
FIX
August 2010
38373TQH1
GV(1)......................
30,000,000
PAC I
6.00
FIX
June 2018
38373TQJ7
OF(1)......................
10,615,308
PAC II
0.00
PO
July 2031
38373TQK4
SI(1)........................
97,411,059 NTL(PAC II)
(5)
INV/IO
July 2031
38373TQL2
SK(1) ......................
16,984,492
PAC II
(5)
INV
July 2031
38373TQM0
ST(1) ......................
12,988,141
PAC II
(5)
INV
July 2031
38373TQN8
ZE ............................
5,000,000
SUP
6.00
FIX/Z
December 2031 39373TQP3
Security Group 2
YV ............................
16,035,000 SC/SEQ/AD
6.50
FIX
March 2013
38373TQQ1
YW............................
10,000,000 SC/SEQ/AD
6.50
FIX
July 2017
38373TQR9
YZ ............................
15,000,000
SC/SEQ
6.50
FIX/Z
May 2031
38373TQS7
Security Group 3
FA(1) ......................
150,392,157
SEQ
(5)
FLT
September 2030 38373TQT5
S(1) ........................
46,274,510
SEQ
(5)
INV
September 2030 38373TQU2
SA(1) ......................
150,392,157
NTL(SEQ)
(5)
INV/IO September 2030 38373TQV0
SB(1) ......................
150,392,157
NTL(SEQ)
(5)
INV/IO September 2030 38373TQW8
SC(1) ......................
150,392,157
NTL(SEQ)
(5)
INV/IO September 2030 38373TQX6
Z................................
3,333,333
SEQ
6.50
FIX/Z
December 2031 38373TQY4
Residual
RR ............................
0
NPR
0.00
NPR
December 2031 38373TQZ1
(1) These securities may be exchanged for MX Securities described in Schedule I.
(2) Subject to increase as described under "Increase in Size" in this Supplement. The amount shown
for each Notional Class (indicated by "NTL" under Principal Type) is its original Class Notional
Balance and does not represent principal that will be paid.
(3) As defined under "Class Types" in Appendix I to the Base Offering Circular. The type of Class
with which the Class Notional Balance of each Notional Class will be reduced is indicated in
parentheses as described in this Supplement.
(4) See "Yield, Maturity and Prepayment Considerations Final Distribution Date" in this
Supplement.
(5) See "Terms Sheet Interest Rates" in this Supplement.
B-3