Schedule I Available Combinations(1) 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) Security Group 1 Combination 1 KO $  12,907,000 PO $  20,000,000 PT 0.00% PO 383742AR4 December 2037 MO 7,093,000 Combination 2 KI $167,791,000 SY $260,000,000 NTL (PT) (5) INV/IO   383742AS2 December 2037 MI 92,209,000 Combination 3 FI $ 92,308 YS $  60,000,000 NTL (PT) (5) INV/IO   383742AT0 December 2037 SY(6) 60,000,000 Combination 4 KI $  45,174,500 SK $  12,907,000 PAC (5) INV 383742AU7 December 2037 KO 12,907,000 Combination 5 KI $  48,401,250 KH $  12,907,000 PAC (5) INV 383742AV5 December 2037 KO 12,907,000 Combination 6 KI $  51,628,000 KA $  12,907,000 PAC (5) INV 383742AW3    December 2037 KO 12,907,000 Combination 7 KI $  54,854,750 KL $  12,907,000 PAC (5) INV 383742AX1 December 2037 KO 12,907,000 Combination 8 KI $  58,081,500 KM $  12,907,000 PAC (5) INV 383742AY9 December 2037 KO 12,907,000 S-I-1