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 82
BI
$
6,889,352
CI
$ 18,467,285
NTL (SC/SEQ)
6.00% FIX/IO
383742EB5
August 2037
PI
11,577,933
Combination 83
BI
$
5,741,126
DI
$ 17,319,059
NTL (SC/SEQ)
6.00% FIX/IO
383742EC3
August 2037
PI
11,577,933
Combination 84
BI
$
4,592,901
EI
$ 16,170,834
NTL (SC/SEQ)
6.00% FIX/IO
383742ED1
August 2037
PI
11,577,933
Combination 85
BI
$
3,444,676
GI
$ 15,022,609
NTL (SC/SEQ)
6.00% FIX/IO
383742EE9
August 2037
PI
11,577,933
Combination 86
BI
$
2,296,450
HI
$ 13,874,383
NTL (SC/SEQ)
6.00% FIX/IO
383742EF6
August 2037
PI
11,577,933
Combination 87
BI
$
1,148,225
JI
$ 12,726,158
NTL (SC/SEQ)
6.00% FIX/IO
383742EG4
August 2037
PI
11,577,933
Combination 88
BI
$
9,185,803
UI
$ 19,316,494
NTL (SC/SEQ)
6.00% FIX/IO
383742EH2
August 2037
PI
10,130,691
Combination 89
BI
$
6,889,352
LI
$ 17,020,043
NTL (SC/SEQ)
6.00% FIX/IO
383742EJ8
August 2037
PI
10,130,691
Combination 90
BI
$
5,741,127
YI
$ 15,871,818
NTL (SC/SEQ)
6.00% FIX/IO
383742EK5
August 2037
PI
10,130,691
Combination 91
BI
$
4,592,901
NI
$ 14,723,592
NTL (SC/SEQ)
6.00% FIX/IO
383742EL3
August 2037
PI
10,130,691
S-I-13