REMIC Securities MX Securities Class Original Class Principal Balance or Class Notional Balance Related MX Class Maximum Original Class Principal Balance or Class Notional Balance(2) Principal Type(3) Interest Rate Interest Type(3) CUSIP Number Final Distribution Date(4) Security Group 8 Combination 10(7) WA $  30,000,000 WC $  30,000,000 PAC/AD 2.500% FIX 38373Q6A4 April 2033 WD 30,000,000 PAC/AD 2.750 FIX 38373Q6B2 April 2033 WE 30,000,000 PAC/AD 3.000 FIX 38373Q6C0 April 2033 WG 30,000,000 PAC/AD 3.250 FIX 38373Q6D8 April 2033 WH 30,000,000 PAC/AD 3.500 FIX 38373Q6E6 April 2033 WI 30,000,000 NTL(PAC/AD) 5.500 FIX/IO 38373Q6F3 April 2033 WJ 30,000,000 PAC/AD 3.625 FIX 38373Q6G1 April 2033 WK 30,000,000 PAC/AD 3.750 FIX 38373Q6H9 April 2033 WL 30,000,000 PAC/AD 4.000 FIX 38373Q6J5 April 2033 WM 30,000,000 PAC/AD 4.250 FIX 38373Q6K2 April 2033 WN 30,000,000 PAC/AD 4.500 FIX 38373Q6L0 April 2033 WO 30,000,000 PAC/AD 0.000 PO 38373Q6M8 April 2033 WP 30,000,000 PAC/AD 5.000 FIX 38373Q6N6 April 2033 WT 27,500,000 PAC/AD 6.000 FIX 38373Q6P1 April 2033 WU 25,384,615 PAC/AD 6.500 FIX 38373Q6Q9 April 2033 WV 23,571,428 PAC/AD 7.000 FIX 38373Q6R7 April 2033 WX 22,000,000 PAC/AD 7.500 FIX 38373Q6S5 April 2033 Security Group 9 Combination 11 EN $121,600,000 NF $121,600,000 PAC/AD (6) FLT 38373Q6T3 December 2032 FN 121,600,000 Combination 12 EN $182,400,000 NA $182,400,000 PAC/AD 5.000% FIX 38373Q6U0 December 2032 FN 121,600,000 SN 121,600,000 Combination 13 EN $182,400,000 NE $182,400,000 PAC/AD 3.000% FIX 38373Q6V8 December 2032 FN 72,960,000 SN 72,960,000 Combination 14 EN $182,400,000 NG $182,400,000 PAC/AD 3.250% FIX 38373Q6W6 December 2032 FN 79,040,000 SN 79,040,000 S-I-3