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