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
B-97