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