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