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) Combination 30 EA $ 3,333,333 SD $ 3,333,333 PAC/AD (7) INV 38374FJ70 March 2034 QA 9,999,999 Combination 31 EA $ 3,333,333 SE $ 3,333,333 PAC/AD (7) INV 38374FJ88 March 2034 QA 13,333,332 Combination 32 EA $ 3,333,333 SC $ 3,333,333 PAC/AD (7) INV 38374FJ96 March 2034 QA 20,000,000 Security Groups 3 and 4 Combination 33 ZB $ 5,509,344 ZN $ 8,185,369 SUP 6.00%    FIX/Z 38374FK29 March 2034 ZC 2,676,025 Combination 34 QA $  20,000,000 QN $  60,000,000 NTL (SCH/AD) (7)      INV/IO     38374FK37 March 2034 QB 40,000,000 Combination 35 QC(6) $ 6,666,667 QS $  10,000,000 SCH/AD (7) INV 38374FK45 March 2034 SA(6) 3,333,333 Combination 36 QD(6) $ 6,666,667 QT $  10,000,000 SCH/AD (7) INV 38374FK52 March 2034 SC(6) 3,333,333 Security Group 4 Combination 37 EB $ 6,666,667 QE $ 6,666,667 PAC/AD (7) INV 38374FK60 March 2034 QB 6,666,667 Combination 38 EB $ 6,666,667 QG $ 6,666,667 PAC/AD (7) INV 38374FK78 March 2034 QB 10,000,000 Combination 39 EB $ 6,666,667 QH $ 6,666,667 PAC/AD (7) INV 38374FK86 March 2034 QB 11,666,668 Combination 40 EB $ 6,666,667 QC $ 6,666,667 PAC/AD (7) INV 38374FK94 March 2034 QB 13,333,334 Combination 41 EB $ 6,666,667 QK $ 6,666,667 PAC/AD (7) INV 38374FL28 March 2034 QB 16,666,668 B-164