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