Ginnie Mae REMIC Trust 2002-60
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
Principal
Balance(2)
Interest
Rate
Principal
Type(3)
Interest
Type(3)
Final Distribution
Date(4)
CUSIP
Number
Security Group 1
KA(1) ......................
$ 50,000,000
6.00%
SEQ/AD
FIX
March 2027
38373VHC7
KZ..............................
4,711,430
6.00
SEQ
FIX/Z
August 2032
38373VHD5
Security Group 2
FA..............................
14,000,000
(5)
PT
FLT
August 2032
38373VHE3
SA ..............................
14,000,000
(5)
NTL(PT)
INV/IO
August 2032
38373VHF0
Security Group 3
E ................................
50,000,000
6.00
SEQ
FIX
November 2031
38373VHG8
G(1) ........................
39,600,000
6.00
SEQ
FIX
September 2028
38373VHH6
H(1) ........................
43,230,000
6.00
SEQ
FIX
March 2030
38373VHJ2
J ................................
28,820,000
6.00
SEQ
FIX
August 2032
38373VHK9
L(1) ..........................
94,600,000
6.00
SEQ
FIX
March 2027
38373VHL7
LA ..............................
1,375,000
5.75
SEQ
FIX
February 2031
38373VHM5
LB ..............................
1,375,000
6.25
SEQ
FIX
February 2031
38373VHN3
LC..............................
1,125,000
5.75
SEQ
FIX
November 2031
38373VHP8
LD..............................
1,125,000
6.25
SEQ
FIX
November 2031
38373VHQ6
T(1)..........................
183,700,000
6.00
SEQ
FIX
September 2022
38373VHR4
Security Group 4
FB..............................
73,860,175
(5)
PT
FLT
August 2032
38373VHS2
SB ..............................
73,860,175
(5)
NTL(PT)
INV/IO
August 2032
38373VHT0
Security Group 5
JI................................
22,415,289
6.50
SC/NTL(PT)
FIX/IO
May 2028
38373VHU7
Security Group 6
PA(1) ......................
153,140,000
5.00
PAC I
FIX
March 2024
38373VHV5
PB(1) ......................
95,160,000
5.00
PAC I
FIX
July 2026
38373VHW3
PC(1) ......................
92,560,000
6.00
PAC I
FIX
June 2028
38373VHX1
PD ............................
73,840,000
6.00
PAC I
FIX
October 2029
38373VHY9
PE..............................
107,900,000
6.00
PAC I
FIX
July 2031
38373VHZ6
PG ............................
73,840,000
6.00
PAC I
FIX
August 2032
38373VJA9
PI ..............................
41,383,333
6.00
NTL(PAC I)
FIX/IO
July 2026
38373VJB7
YA(1) ......................
117,702,000
6.00
PAC II/AD
FIX
August 2032
38373VJC5
Z ................................
130,000,000
6.00
SUP
FIX/Z
August 2032
38373VJD3
Residual
RR..............................
0
0.00
NPR
NPR
August 2032
38373VJE1
(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.
(4) See "Yield, Maturity and Prepayment Considerations Final Distribution Date" in this Supplement.
(5) See "Terms Sheet Interest Rates" in this Supplement.
B-168