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 12 SV $  22,634,093 VS $ 3,772,349 SUP (5) INV 38375KNA6 June 2037 VO 3,772,349 Combination 13 UO $  12,894,318 YO $  16,666,667 PT 0.0% PO 38375KNB4 June 2037 VO 3,772,349 Combination 14 SU $  77,365,906 TS $  99,999,999 NTL (PT) (5) INV/IO      38375KNC2 June 2037 SV 22,634,093 Combination 15 SU $  47,322,404 SX $  12,894,318 PAC (5) INV 38375KND0 June 2037 UO 12,894,318 Combination 16 SV $  13,844,596 US $ 3,772,349 SUP (5) INV 38375KNE8 June 2037 VO 3,772,349 Combination 17 SU $  47,322,404 QS $  16,666,667 PT (5) INV 38375KNF5 June 2037 SV 13,844,596 UO 12,894,318 VO 3,772,349 Security Group 7 Combination 18 AI $177,857,383 SP $  29,642,898 PAC (5) INV 38375KNG3 June 2037 AO 29,642,898 B-19