Skip Ribbon Commands Skip to main content
gmlogo searchimage
bannerimage
Disclosure
 
Search
Share
* To
* From
Message
URL
https://www.ginniemae.gov/investors/disclosures_and_reports/Pages/BulletinsDispPage.aspx?ParamID=405&Ident=2019-042
Print Friendly

Bulletins

2019-042: REMIC Termination for August 2019
Published Date: 8/20/2019 8:30 AM

​Ginnie Mae is providing the following clean-up call information on REMIC 2002-041 and 2002-066.  

REMIC Clean up Call Notice: GNMA 2002-041
 
The Bank of New York Mellon Trust Company N.A. (the Trustee) will distribute the final payments to the holders of record on September 16, 2019 to the following CUSIPs: 38373XPY6, 38373XPZ3, 38373XQA7, 38373XQB5, 38373XQC3, 38373XQD1, 38373XQE9, 38373XRF5, 38373XRP3, 38373XRQ1, 38373XMT0, 38373XNN2, 38373XNP7, 38373XNQ5, 38373XNR3, 38373XNS1, 38373XNT9, 38373XNU6, 38373XNV4, 38373XPU4, 38373XPV2, 38373XPW0, 38373XPX8, 38373XST4, 38373XSU1, 38373XSV9, 38373XSW7, 38373XSX5, 38373XTP1, 38373XTQ9, 38373XTR7, 38373XTS5, 38373XTT3, 38373XUX2, and 38373XUY0.  The Trustee will distribute the final payments to the holders of record on September 20, 2019 to the following CUSIPs: 38373XLG9, 38373XLY0, 38373XQR0, 38373XQS8, 38373XQT6, 38373XMB9, 38373XMC7, 38373XMD5, 38373XME3, 38373XMF0, 38373XNM4, 38373XPK6, 38373XPM2, 38373XPN0, 38373XRX6, 38373XSE7, 38373XTK2, 38373XTL0, 38373XUF1, and 38373XUG9.  No further payments will be made on these CUSIPs, as they will be terminated on the Fed System.
 
REMIC Clean up Call Notice: GNMA 2002-066
 
The Bank of New York Mellon Trust Company N.A. (the Trustee) will distribute the final payments to the holders of record on September 16, 2019 to the following CUSIPs: 38373VSK7, 38373VSL5, 38373VSM3, 38373VSN1, 38373VSP6, 38373VSR2, 38373VSS0, 38373VST8, 38373VSV3, 38373VSW1, 38373VSX9, 38373VSZ4, 38373VTA8, 38373VTB6, 38373VTD2, 38373VTE0, 38373VTF7, 38373VTG5, and 38373VTH3.    No further payments will be made on these CUSIPs, as they will be terminated on the Fed System.
 
The Trustee, at its option, may purchase or cause the sales of the Trust Assets and thereby terminate the Trust on any distribution Date on which the aggregate of the Class Principal Balances of the Securities is less than 1% of the aggregate Original Class Principal Balances of the Securities.
 
For questions related to this bulletin, please send an email to investorinquiries@hud.gov. Inquiries to this email will be addressed within 2 business days.
Search