Ginnie Mae REMIC Trust 2003-113 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 A(1).............................. $472,640,000 4.50%   SEQ/AD FIX August 2026 38374EG68 VA(1)  .......................... 64,680,000 4.50 AD/SEQ FIX January 2015 38374EG76 VB(1) .......................... 61,880,000 4.50 SEQ/AD FIX February 2022 38374EG84 ZA.................................. 100,800,000 4.50 SEQ FIX/Z December 2033 38374EG92 Security Group 2 NA(1) .......................... 81,978,841 4.50 SC/SEQ FIX October 2032 38374EH26 NC(1) .......................... 12,222,223 4.50 SC/SEQ FIX October 2032 38374EH34 Residual R .................................... 0 0.00 NPR NPR December 2033 38374EH42 (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. (3)  As defined under "Class Types" in Appendix I to the Base Offering Circular. (4)  See  "Yield,  Maturity  and  Prepayment  Considerations – Final  Distribution  Date"  in  this Supplement. B-23