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