-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, UZ8j8+xQcegOmXVFF/spOY2+5PLtaYWL96sAuq7umD1L7en9yzVsR4RPFHjyO87b tw2WvA++UhoYSezB+NZYkw== 0001020242-05-000101.txt : 20050103 0001020242-05-000101.hdr.sgml : 20041231 20050103123938 ACCESSION NUMBER: 0001020242-05-000101 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20041227 ITEM INFORMATION: Other Events FILED AS OF DATE: 20050103 DATE AS OF CHANGE: 20050103 FILER: COMPANY DATA: COMPANY CONFORMED NAME: IndyMac ABS Inc. Home Equity Mortgage Loan Asset-Backed Trust, Series SPMD 2004-A CENTRAL INDEX KEY: 0001293515 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 333-47158-07 FILM NUMBER: 05501259 BUSINESS ADDRESS: STREET 1: 155 N LAKE AVE CITY: PASADENA STATE: CA ZIP: 91101 BUSINESS PHONE: 8006292300 MAIL ADDRESS: STREET 1: 155 NORTH LAKE AVE CITY: PASADENA STATE: CA ZIP: 91101 FORMER COMPANY: FORMER CONFORMED NAME: Home Equity Mortgage Loan Asset-Backed Trust, Series SPMD 2004-A DATE OF NAME CHANGE: 20040610 8-K 1 in04s112.htm 8K


                                       UNITED STATES
                           SECURITIES AND EXCHANGE COMMISSION
                                 Washington, D.C.  20549


                                        FORM 8-K


                     Current Report Pursuant To Section 13 or 15(d) of
                            the Securities Exchange Act of 1934

           Date of Report (Date of earliest event reported):  December 27, 2004
                          (Date of earliest event reported)

            Indymac MBS Inc (as Depositor under the Pooling and Servicing
            Agreement, dated as June 1, 2004, providing for the issuance
            of IndyMac MBS, Inc. Home Equity Mortgage Loan Asset-Backed
            Trust Series SPMD 2004-A Home Equity Mortgage Loan Asset-
                       Backed Certificates SPMD 2004-A
                 (Exact name of registrant as specified in charter)

                                       DELAWARE
                     (State or Other Jurisdiction of Incorporation)

               333-47158-07                         95-4685267
          (Commission File Number)        (I.R.S. Employer Identification No.)


          155 NORTH LAKE AVENUE
          PASADENA, CALIFORNIA                         91101
          (Address of principal executive offices)     (Zip Code)


          Registrant's Telephone Number, Including Area Code:  (800) 669-2300


       (Former name or former address, if changed since last report.)

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any
of the following provisions (see General Instruction A.2. below):

[  ] Written communications pursuant to Rule 425 under the Securities Act
(17 CFR 230.425)

[  ] Soliciting material pursuant to Rule 14a-12(b) under the Exchange Act
(17 CFR 240.14a-12(b))

[  ] Pre-commencement communications pursuant to Rule 14d-2(b) under the
Exchange Act (17 CFR 240.14d-2(b))

[  ] Pre-commencement communications pursuant to Rule 13e-4(c) under the
Exchange Act (17 CFR 240.13e-4(c))


     Item 8.01  Other Events

     Attached hereto is a copy of the Monthly Remittance Statements to the
     Certificateholders which was derived from the monthly information
     submitted by the Master Servicer of the Trust to the Trustee.


     Item 9.01 Financial Statements and Exhibits

     (c) Exhibits:

     Exhibit No. Description

     99.1 Monthly Remittance Statement to the Certificateholders dated as of
     December 27, 2004.

                                    Signatures

               Pursuant to the requirements of the Securities Exchange Act of
          1934, the Registrant has duly caused this report to be signed on its
          behalf by the undersigned, hereunto duly authorized.


                                  Deutsche Bank National Trust Company,
                                  in its capacity as Trustee under the
                                  Pooling and Servicing Agreement on
                                  behalf of Indymac MBS Inc, Registrant


          Date:  Dec 28, 2004               By:  /s/  Katherine M. Wannenmacher
                                            Katherine M. Wannenmacher
                                            Vice President


                                   EXHIBIT INDEX

          DOCUMENT

          99.1 Monthly Remittance Statement to the Certificateholders
          dated as of December 27, 2004.








			
< TD COLSPAN=2 ALIGN="right">6,769,181.65< TD>< TD>< TD ALIGN="center">M-267,827.76< TD COLSPAN=4 ALIGN="left" VALIGN="bottom"> < TD> < TD>< TD>< TD COLSPAN=4 ALIGN="left" VALIGN="bottom"> 0.00 4.22%< TD>< TD>< TD>< TD COLSPAN=4 ALIGN="left" VALIGN="bottom"> 6.500%Date< TR>< TD>< TD COLSPAN=2 ALIGN="right" VALIGN="top">0< /TR>< TD>< TD>< TD>
                       
IndyMac SPMD 2004-A
Collateralized Asset-Backed Bonds
2004-A
December 27, 2004 Distribution
  External Parties Table of Contents
Page
Seller
1. Certificate Payment Report2
IndyMac Bank
2. Collection Account Report4
3. Credit Enhancement Report6
4. Collateral Report7
Certificate Insurer(s)5. Delinquency Report10
6. REO Report13
7. Foreclosure Report14
< FONT FACE="Times New Roman" SIZE=-1 COLOR=#000000>8. Prepayment Report15
9. Prepayment Detail Report18
10. Realized Loss Report20
11. Realized Loss Detail Report23
Servicer(s)
12. Triggers and Adj. Cert. Report24
IndyMac Bank
13. Additional Certificate Report25
14. Other Related Information26
Underwriter(s)
UBS Securities
Total Number of Pages26
Dates Contacts
Cut-Off Date:June 01, 2004Brent Hoyler
Close Date:June 08, 2004Administrator
First Distribution Date:July 26, 2004(714) 247-6322
Brent.Hoyler@db.com
Address:
1761 East St. Andrew Place, Santa Ana, CA 92705
Distribution Date:December 27, 2004
Factor Information:(800) 735-7777
Record Date:November 30, 2004
Main Phone Number: (714) 247-6000
December 24, 2004< /TD>
https://www.tss.db.com/invr
Page 1 of 26
IndyMac SPMD 2004-A
Collateralized Asset-Backed Bonds
2004-A
December 27, 2004 Distribution
Certificate Payment Report
Current Period Distribution - REMIC III
    Prior     Current
 Class OriginalPrincipal  TotalRealizedDeferredPrincipal
ClassTypeCurFace ValueBalanceInterestPrincipalDistributionLossInterestBalance
 
   (1)(2)(3)(4)=(2)+(3)(5)(6)(7)=(1)-(3)-(5)+(6)
A-1FLT, STEP$267,868,000.00234,415,200.08500,733.859,716,307.7910,217,041.640.000.00224,698,892.29
A-2FLT, STEP$52,102,000.0039,918,146.7280,456.722,510,555.152,591,011.870.000.0037,407,591.57
A-3FLT, STEP$37,780,000.0037,780,000.0086,557.680.0086,557.680.000.0037,780,000.00
M-1MEZ, FLT$28,125,000.0028,125,000.0067,827.760.0067,827.7 60.000.0028,125,000.00
M-2MEZ, FLT$22,050,000.0022,050,000.0067,037.840.0067,037.840.000.0022,050,000.00
M-3MEZ, FLT$5,625,000.005,625,000.0018,070.240.0018,070.240.000.005,625,000.00
M-4MEZ, FLT$11,700,000.0011,700,000.0047,157.350.0047,157.350.000.0011,700,000.00
M-5MEZ, FLT$4,950,000.004,950,000.0024,213.690.0024,213.690.000.004,950,000.00
M-6MEZ, FLT$4,500,000.004,500,000.0022,012.440.0022,012.440.000.004,500,000.00
M-7MEZ, FIX$8,550,000.008,550,000.0042,750.000.0042,750.000.000.008,550,000.00
CSUB,EXE$6,750,287.731,286,471.720.001,286,471.720.000.006,750,287.73
PSUB$100.00100.00163,531.410.00163,531.410.000.00100.00
RR$0.000.000.000.000.000.000.000.00
 
Total 450,019,281.65404,363,734.532,406,820.7012,226,862.9414,633,683.6 40.000.00392,136,871.59
 
Interest Accrual Detail Current Period Factor Information per $1,000 of Original Face-
   Orig. PrincipalPrior   Current
 PeriodPeriod  (with Notional)Prin cipal  TotalPrincipal
ClassStartingEndingMethodCusipBalanceBalanceInterestPrincipalDistributionBalance
     (1)(1)(2)(3)(4)=(2)+(3)(5)
A-111/26/0412/26/04A-Act/360456606EN8267,868,000.00875.1146091.86933136.27274538.142076838.841863
A-211/26/0412/26/04A-Act/360456606EP352,102,000.00766.1538271.54421648.18538949.729605717.968438
A-311/26/0412/26/04A-Act/360456606EX637,780,000.001,000.0000002.2910980.0000002.2910981,000.000000
M-111/26/0412/26/04A-Act/360456606EQ128,125,000.001,000.0000002.4116540.0000002.4116541,000.000000
M-211/26/0412/26/04A-Act/360456606ER922,050,000.001,000.0000003.0402650.0000003.0402651,000.000000
M-311/26/0412/26/04A-Act/360456606ES75,625,000.001,000.0000003.2124870.0000003.2124871,000.000000
M-411/26/0412/26/04A-Act/360456606ET511,700,000.001,000.0000004.0305430.0000004.0305431,000.000000
M-511/26/0412/26/04A-Act/360456606EU24,950,000.001,000.0000004.8916550.0000004.8916551,000.000000
M-611/26/0412/26/04A-Act/360456606EV04,500,000.001,000.0000004.8916530.0000004.8916531,000.000000
M-711/25/0412/24/04F-30/360456606EW88,550,000.001,000.0000005.0000000.0000005.0000001,000.000000
C11/25/0412/24/04F-30/360IN04S101C6,769,181.65997.208832190.0483380.000000190.048338997.208832
P11/25/0412/24/04F-30/360IN04S101P100.001,000.0000001,635,314.1000000.0000001,635,314.1000001,000.000000
R11/25/0412/24/04F-30/360IN04S101R0.000.0000000.0000000.0000000.0000000.000000
Page 2 of 26
IndyMac SPMD 2004-A< /TD>
Collateralized Asset-Backed Bonds
2004-A
December 27, 2004 Distribution
Distribution to Date - REMIC III
         Current
 Original UnscheduledScheduledTotalTotalRealizedDeferredPrincipal
ClassFace ValueInterestPrincipalPrincipalPrincipalDistributionLossInterestBalance
(1)(2)(3)(4)(5)=(3)+(4)(6)=(2)+(5)(7)(8)(9)=(1)-(5)-(7)+(8)
A-1267,868,000.002,755,603.2241,669,617.351,499,490.3643,169,107.7145,924,710.930.000.00224,698,892.29
A-252,102,000.00454,765.9714,172,296.37522,112.0614,694,408.4315,149,174.400.000.0037,407,591.57
A-337,780,000.00451,675.140.000.000.00451,675.140.000.0037,780,000.00
M-128,125,000.00358,339.480.000.000.00358,339.480.000.0028,125,000.00
22,050,000.00371,257.400.000.000.00371,257.400.000.0022,050,000.00
M-35,625,000.00101,021.020.000.000.00101,021.020.000.005,625,000.00
M-411,700,000.00272,491.230.000.000.00272,491.230.000.0011,700,000.00
M-54,950,000.00143,059.750.000.000.00143,059.750.000.004,950,000.00
M-64,500,000.00130,054.320.000.000.00130,054.320.000.004,500,000.00
M- 78,550,000.00256,500.000.000.000.00256,500.000.000.008,550,000.00
C6,769,181.658,961,963.1218,160.52733.4018,893.928,980,857.040.000.006,750,287.73
P100.00659,812.920.000.000.00659,812.920.000.00100.00
R0.000.000.000.000.000.000.000.000.00
 
Total450,019,281.6514,916,543.5755,860,074.242,022,335.8257,882,410.0672,798,953.630.000.00392,136,871.59
Interest Detail - REMIC III
 PassPrior Principal Non-PriorUnscheduled Paid orCurrent
 Through(with Notional)AccruedSupportedUnpaidInterestOptimalDeferredUnpaid
ClassRateBalanceInterestInterest SFInterestAdjustmentInterestInterestInterest
   (1)(2)(3)(4)(5)=(1)-(2)+(3)+(4)(6)(7)=(5)-(6)
A-12.48063%234,415,200.08500,733.850.000.000.00500,733.85500,733.850.00
A-22.34063%39,918,146.7280,456.720.000.000.0080,456.7280,456.720.00
A-32.66063%37,780,000.0086,557.680.000.000.0 086,557.6886,557.680.00
M-12.80063%28,125,000.0067,827.760.000.000.0067,827.760.00
M-23.53063%22,050,000.0067,037.840.000.000.0067,037.8467,037.840.00
M-33.73063%5,625,000.0018,070.240.000.000.0018,070.2418,070.240.00
M-44.68063%11,700,000.0047,157.350.000.000.0047,157.3547,157.350.00
M-55.68063%4,950,000.0024,213.690.000.000.0024,213.6924,213.690.00
M-65.68063%4,500,000.0022,012.440.000.000.002 2,012.4422,012.440.00
M-76.00000%8,550,000.0042,750.000.000.000.0042,750.00< /TD>42,750.000.00
C228.69633%6,750,287.73107,205.980.000.000.00107,205.981,286,471.720.00
P0.00000%100.000.000.000.000.000.00163,531.410.00
R0.00000%0.000.000.000.000.000.000.000.00
 
Total 404,363,734.531,064,023.550.000.000.001,064,023.552,406,820.700.00
Page 3 of 26
IndyMac SPMD 2004-A
Collateralized Asset-Backed Bonds
2004-A
December 27, 2004 Distribution
Collection Account Report
SUMMARY
 
Group 2Group 1Total 
Principal Collections2,510,555.159,716,307.7912,226,862.94 
Principal Withrawals0.000.000.00 
Principal Other Accounts0.000.000.00 
TOTAL NET PRINCIPAL2,510,555.159,716,307.7912, 226,862.94 
Interest Collections555,942.061,706,674.192,262,616.25 
Interest Withdrawals- 0.00-0.00-0.00 
Interest Other Accounts0.000.00163,531.41 
Interest Fees-5,016.86 -14,310.10 -19,326.96  
TOTAL NET INTEREST550,925.201,692,364.092,406,820.70 
TOTAL AVAILABLE FUNDS FOR DISTRIBUTION3,061,480.3511,408,671.8814,633,683.64 
 
 
 
PRINCIPAL - COLLECTIONS 
 
< /TD>Group 2Group 1Total 
Scheduled Principal Received73,376.15250,212.13323,588.28 
Prepayments In Full2,435,445.629,034,897.1711,470,342.79 
Curtailments1,733.388,265.169,998.54 
Liquidations0.000.000.00 
Insurance P rincipal0.000.000.00 
Repurchased Principal Amounts0.00422,933.33422,933.33 
Other Principal0.000.000.00 
Total Realized Loss Of Principal-0.00 -0.00 -0.00  
Delinquent Principal-67,216.23 -232,160.17 -299,376.40  
Advanced Principal< /TD>67,216.23232,160.17299,376.40 
TOTAL PRINCIPAL COLLECTED2,510,555.159,716,307.7912,226,862.94 
 
 
PRINCIPAL - WITHDRAWALS 
 
SPACE INTENTIONALLY LEFT BLANK 
 
 
< /TD> 
PRINCIPAL - OTHER ACCOUNTS 
 
Group 2Group 1Total
TOTAL OTHER ACCOUNTS PRINCIPAL0.000.000.00 
 
 
 
 
 
Page 4 of 26 
IndyMac SPMD 2004-A 
 
Collateralize d Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
INTEREST - COLLECTIONS 
 
Group 2Group 1< /FONT>Total 
Scheduled Interest593,299.691,818,279.602,411,579.29 
Liquidation Interest0.000.000.00 
Repurchased Interest0.002,553.642,553.64 
Insurance Interest0.000.000.00 
Other Interest0.000.000.00 
Relief Act Interest Shortfalls-0.00 -0.00 -0.00  
Prepayment Interest Shortfalls-2,295.75 -7,843.64 -10,139.40  
Compensating Interest2,295.757,843.6410,139.40 
Delinquent Interest-530,141.99 -1,643,812.39 -2,173,954.38  
Interest Advanced492,784.371,529,653.342,022,437.71 
TOTAL INTEREST COLLECTED555,942.061,706,674.192,262,616.25 
< /TD> 
 
INTEREST - WITHDRAWALS 
 
Group 2Group 1Total 
Nonrecoverable Advances0.000.000.00 
< FONT FACE="Times New Roman" SIZE=-1 COLOR=#000000>TOTAL INTEREST WITHDRAWALS0.000.000.00 
 
 
 
INTEREST - OTHER ACCOUNTS 
 
Group 2Group 1Total 
Prepayment Charges163,531.41 
TOTAL INTEREST OTHER ACCOUNTS0.000.00163,531.41 
 
 
 
INTEREST - FEES 
 
Group 2Group 1Total 
Current Servicing Fees4,431.8112,536.3616,968.17 
Current Trustee Fees585.051,773.7 42,358.79 
TOTAL INTEREST OTHER FEES5,016.8614,310.1019,326.96 
 
 
 
 
Page 5 of 26< /TD> 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Credit Enhancement Report 
 
ACCOUNTS 
 
 
Excess Reserve Fund Account 
 
Initial Deposit5,000.00 
Begining Balance5,000.00 
Amount Withdrawn0.00 
Ending Balance5,000.00  
 
 
 
 
INSURANCE 
 
SPACE INTENTIONALLY LEFT BLANK 
 
 
 
STRUCTURAL FEATURES 
 
Group 2Group 1Total 
Overcollateralized Amount6,750,287.73 
Overcollateralization Target Amount6,750,287.73 
Overcollateralization Release Amount0.00 
Overcollateralization Deficiency Amount0.00 
 
 
 
Page 6 of 26 
IndyMac SPMD 2004-A 
&n bsp;
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Collateral Report 
 
 
COLLATERAL 
 
 
 
Group 2Group 1Total 
 
 
 < /FONT>
Loan Count: 
 
 
Original4152,2702,685 
Prior3792,0922,471 
Prefunding000 
Scheduled Paid Offs-0 -0 -0  
Full Voluntary Prepayments-7 -51 -58  
Repurchases -0 -2 -2  
Liquidations-0 -0 -0  
Current3722,0392,411 
Principal Balance: 
 
 
Original112,487,722.90337,531,458.75450,019,181.65 
Prior100,294,633.68304,069,000.85404,363,634.53 
Prefunding0.000.00< /FONT>0.00 
Scheduled Principal-73,376.15 -250,212.13 -323,588.28  
Partial Prepayments####### -8,265.16 -9,998.54  
Full Voluntary Prepayments-2,435,445.62 -9,034,897.17 -11,470,342.79  
Repurchases-0.00 -422,933.33 -422,933.33  
Liquidations-0.00 -0.00 -0.00  
Current97,784,078.53294,352,693.06392,136,771.59 
 
 
 
 
 
PREFUNDING 
 
SPACE INTENTIONALLY LEFT BLANK 
 
 
 
 
 
 
Page 7 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
C HARACTERISTICS 
 
Group 2Group 1Total 
Weighted Average Coupon Original7.09577%7.21305%7.18374% 
Weighted Average Coupon Prior7.10350%7.18914%7.16813% 
Weighted Average Coupon Current7.09868%7.18587%7.16424% 
Weighted Average Months to Maturity Original354351352 
Weighted Average Months to Maturity Prior351346348 
Weighted Average Months to Ma turity Current350345346 
Weighted Avg Remaining Amortization Term Original354351352  
Weighted Avg Remaining Amortization Term Prior351346348 
Weighted Avg Remaining Amortization Term Current350 345346 
Weighted Average Seasoning Original3.123.563.45 
Weighted Average Seasoning Prior7.087.507.40 
Weighted Average Seasoning Current8.088.498.39 
 
 
 
 
 
 
 
 
 
Page 8 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A&nb sp;
 
December 27, 2004 Distribution 
 
ARM CHARACTERISTICS 
 
Group 2Group 1Total 
Weighted Average Margin Original4.97647%5.13259%5.09297% 
Weighted Average Margin Prior5.02872%5.12471%5.10091% 
Weighted Average Margin Current5.02807%5.13705%5.10983% 
Weighted Average Max Rate Original13.01803%13.16793%13.12989% 
Weighted Average Max Rate Prior13.03375%13.14799%13.11967% 
Weighted Average Max Rate Current13.02712%13.14825%13.11799% 
Weighted Average Min Rate Original5.01474%5.16428%5.12633% 
Weighted Average Min Rate Prior5.08177%5.15377%5.13592% 
Weighted Average Min Rate Current5.08184%5.16488%5.14414% 
Weighted Average Cap Up Original1.04950%1.03527%1.03889% 
Weighted Average Cap Up Prior 1.04735%1.03766%1.04006% 
Weighted Average Cap Up Current1.04799%1.03653%1.03939%
Weighted Average Cap Down Original1.04950%1.03527%1.03889% 
Weighted Average Cap Down Prior1.04735%1.03766%1.04006% 
Weighted Average Cap Down Current1.04799%1.03653%1.03939% 
 
 
 
 
SERVICING FEES & ADVANCES  
 
Group 2Group 1Total 
 
 
 
 
Current Servicing Fees4,431.8112,536.3616,968.17 
Delinquent Servicing Fees37,357.62114,159.05151,516.68 
TOTAL SERVICING FEES41,789.43126,695.42168,484.85 
 
 
Compensating Interest-2,295.75 -7,843.64 -10,139.40  
Delinquent Servicing Fees-37,357.62 -114,159.05 -151,516.68  
COLLECTED SERVICING FEES7,785.49-5,388.526,828.78 
 
 
Aggregate Advances with respect to this Distribution560,000.601,761,813.512,321,814.11 
 
 
 
 
 
ADDITIONAL COLLATERAL INFORMATION 
Group 2Group 1Total 
Net Prepayment Interest Shortfall0.000.000.00 
Libor For Current Period2.1806% 
 
Total Net Monthly Exce ss Cashflow1,286,471.72 
 
 
 
 
Page 9 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Delinquency Report 
 
TOTAL  
< 1 PAYMENT1 PAYMENT2 PAYMENTS3+ PAYMENTSTOTAL 
DELINQUENTBalance14,911,899.70 4,485,434.40 5,388,420.93 24,785,755.03 
% Balance3. 80% 1.14% 1.37% 6.32% 
# Loans953429158 
% # Loans3.94%1.41%1.20%6.55% 
FORE CLOSUREBalance0.00 0.00 0.00 1,845,606.19 1,845,606.19 
% Balance0.00% 0.00% 0.00% 0.47% 0.47% 
# Loans0001818 
% # Loans0.00%0.00%0.00%0.75%0.75% 
BANKRUPTCYBalance1,071,767.83 0.00 0.00 0.00 1,071,767.83
% Balance0.27% 0.00% 0.00% 0.00% 0.27% 
# Loans1000010 
% # Loans0.41%0.00%0.00%0.00%0.41% 
REOBalance0.00 0.00 0.00 0.00 0.00 
% Balance0.00% 0.00% 0.00% 0.00% 0.00% 
# Loans00000 
% # Loans0.00%0.00%0.00%0.00%0.00% 
TOTALBalance1,071,767.8314,911,899.704,485,434.407,234,027.1227,703,129.05 
% Balance0.27%3.80%1.14%1.84%7.06% 
# Loans10953447186 
% # Loans0.41%3.94%1.41%1.95%7.71% 
 
 
 
 
 
 
 
 
 
Page 10 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
 
GROUP 1 
< 1 PAYMENT1 PAYMENT2 PAYMENTS3+ PAYMENTSTOTAL 
DELINQUENTBalance10,784,310.29 3,651,278.29 2,899,186.30 17,334,774.88 
% Balance3.66% 1.24% 0.98% 5.89% 
# Loans783121130 
% # Loans3.83%1.52%1.03%6.38% 
FORECLOSUREBalance0.00 0.00 0.00 1,799,599.79 1,799,599.79 
% Balance0.00% 0.00% 0.00% 0.61% 0.61% 
# Loans0001717 
% # Loans0.00%0.00%0.00%0.83 %0.83% 
BANKRUPTCYBalance1,071,767.83 0.00 0.00 0.00 1,071,767.83 
% Balance0.36% 0.00% 0.00% 0.00% 0.36% 
# Loans1000010 
% # Loans0.49%0.00%0.00%0.00%0.49% 
REOBalance0.00 0.00 0.00 0.00 
% Balance0.00% 0.00% 0.00% 0.00% 0.00% 
# Loans00000 
% # Loans0.00%0.00%0.00%0.00%0.00% 
TOTALBalance1,071,767.8310,784,310.293,651,278.294,698,786.0920,206,142.50 
% Balance0.36%3.66%1.24%1.60%6.86% 
# Loans10783138157 
% # Loans0.49%3.83%1.52%1.86%7.70% 
 
 
 
 
 
 
 
 
 
 
Page 11 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
GROUP 2 
< 1 PAYMENT1 PAYMENT2 PAYMENTS3+ PAYMENTSTOTAL 
DELINQUENTBalance4,127,589.41 834,156.11 2,489,234.63 7,450,980.15 
% Balance< /TD>4.22% 0.85% 2.55% 7.62% 
# Loans173828 
% # Loans4.57%0.81%2.15%7.53% 
FORECLOSUREBalance0.00 0.00 0.00 46,006.40 46,006.40 
% Balance0.00% 0.00% 0.00% 0.05% 0.05% 
# Loans00011 
% # Loans0.00%0.00%0.00%0.27%0.27% 
BANKRUPTCYBalance0.00 0.00 0.00 0.00 0.00 
% Balance0.00% 0.00% 0.00% 0.00% 0.00% 
# Loans00000 
% # Loans0.00%0.00%0.00%0.00%0.00% 
REOBalance0.00 0 .00 0.00 0.00 0.00 
% Balance0.00% 0.00% 0.00% < FONT FACE="Times New Roman" SIZE=-1 COLOR=#000000>0.00% 0.00% 
# Loans00000 
% # Loans0.00%0.00%0.00%0.00%0.00% 
TOTALBalance0.004,127,589.41834,156.112,535,241.037,496,986.55 
% Balance0.00%0.85%2.59%7.67% 
# Loans0173929 
% # Loans0.00%4.57%0.81%2.42%7.80% 
 
 
 
 
 
 
 
 
 
Page 12 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
REO Report 
Loan NumberOriginalStated CurrentState &   
 
First 
&PrincipalPrincipalPaid toNoteLTV atOriginalPayment 
 
Loan GroupBalanceBalanceDate RateOriginationTermDate 
SPACE INTENTIONALLY LEFT BLANK 
 
  
 
 
TOTAL 
 
 
 
Page 13 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Foreclosure Report 
Loan NumberOriginalStated CurrentState &   
 
First 
&PrincipalPrincipalPaid toNoteLTV atOriginalPayment 
 
Loan GroupBalanceBalanceDateRateOriginationTermDate 
2151877 1 
84,600.0086,903.5301-May-20048.250%OH - 90.00%36001-Dec-2002 
 
2153415 160,350.0059,187.4701-Jun-20047.000%OH - 85.00%18002-Feb-2003 
2546253 186,250.0084,974.6101-Jun-20047.250%IA - 75.00%36001-Jul-2003 
3159436 1200,000.00198,316.9601-May-20047.000%MA - 70.18%36001-Feb-2004 
3263916 130,800.0030,687.7401-May-200412.375%MI - 70.00%36001-Dec-2003 
3335536 1150,000.00149,013.3601-Jun-20048.250%MO - 84.99%36001-Mar-2004 
3338859 160,000.0059,798.0401-May-200410.375%OH - 44.44%36001-May-2004 
3427420 170,200.0069,923.2901-Jun-20049.750%TN - 90.00%36001-May-2004 
3485540 188,000.0087,478.9701-Jun-20047.625%CA - 58.67%36001-May-2004 
3526624 150,000.0048,961.3601-Jun-20049.500%IA - 83.33%18001-May-2004 
3591999 1211,200.00209,980.2101-May-20047.750%TX - 84.48%36001-May-2004 
3600186 1105,000.00104,639.3001-May-20049.625%FL - 72.41%36001 - -Jun-2004 
3707833 1248,000.00246,442.7701-May-20046.625%FL - 80.00%36001-Jun-20 04 
3708421 1164,300.00163,830.7701-May-200410.500%FL - 66.79%36001-Jun-2004 
3754465 1116,250.00115,774.1401-Jun-20048.000%GA - 75.00%36001-Jul-2004 
3765773 130,000.0029,882.6601-May-20049.000%MI - 75.00%36001-Jun-2004 
3772351 154,000.0053,804.6101-Jun-20049.375%KS - 74.48%36001-Jun-2004 
3886051 1233,750.000.0001-Dec-20046.625%MA - 85.00%36001-Apr-2004 
3714101 246,125.0046,006.4001-Jun-200410.250%OK - 75.00%36001-Jul-2004 
 
 
TOTAL2,088,825.001,845,606.19 
 
 
 
Page 14 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Prepayment Report 
 
VOLUNTARY PREPAYMENTS 
 
< FONT SIZE="-1" FACE="ARIAL" COLOR=#000000> 
Group 2Group 1Total 
 
 
 
 
Current < /FONT>
 
 
Number of Paid in Full Loans7515 8 
Number of Repurchased Loans022 
Total Number of Loans Prepaid in Full75360 
Curtailments Amount1,733.388,265.169,998.54 
Paid in Full Balance2,435,445.629,034,897.1711,470,342.79 
Repurchased Loans Balance0.00422,933.33422,933.33 
Total Prepayment Amount2,437,179.009,466,095.6611,903,274.66 
 
Cumulative 
 
 
Number of Paid in Full Loans43224267 
Number of Repurchased Loans077 
Total Number of Loans Prepaid in Full43231274 
Paid in Full Balance14,229,941.1540,439,909.8554,669,851.00 
Repurchased Loans Balance0.001,094,644.051,094,644.05 
Curtailments Amount22,246.3273,332.8795,579.19 
Total Prepayment Amount14,252,187.4741,607,886.7755,860,074.24 
 
 
 
 
 
 
 
 
 
 
Page 15 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
VOLUNTARY PREPAYMENTS RATES 
 
 
Group 2Group 1Total 
 
 
 
SMM2.43%3.12%2.95% 
3 Months Avg SMM2.09%2.65%2.51% 
12 Months Avg SMM2.24%2.18%2.19% 
Avg SMM Since Cut-off2.24%2.18%2.19% 
 
 
CPR25.58%31.60%30.15% 
3 Months Avg CPR22.36%27.58%26.32% 
12 Months Avg CPR23.78%23.20%23.35% 
Avg CPR Since Cut-off23.78%23.20%23.35% 
 
 
PSA1,582.10%1,860.65%1,796.77% 
3 Months Avg PSA Approximation1,579.32%1,838.14%1,779.05% 
12 Months Avg PSA Approximation2,126.77%1,926.98%1,973.67% 
Avg PSA Since Cut-off Approximation2,126.77%1,926.98% 1,973.67% 
 
 
 
 
 
 
 
 
 
 
Page 16 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
 
 
 
 
 
PREPAYMENT CALCULATION METHODOLOGY 
 
Single Monthly Mortality (SMM): (Voluntary partial and full prepayments + Repurchases + Liquidations )/(Beg Principal Balance - Sched Principal) 
 
Conditional Prepayment Rate (CPR): 1-((1-SMM)^12) 
PSA Standard Prepayment Model: CPR/(0.002*min(30,WAS)) 
 
Average SMM over period between nth month and mth month (AvgSMMn,m): [(1-SMMn)*(1-SMMn+1)*...*(1-SMMm)]^(1/months in period n,m) 
Average CPR over period between the nth month and mth month (AvgCPRn,m): 1-((1-AvgSMMn,m)^12) 
 
Average PSA Approximation over period between the nth month and mth month: AvgCPRn,m/(0.002*Avg WASn,m)) 
Average WASn,m: (min(30,WASn)+min(30,WASn+1)+...+min(30,WASm)/(number of months in the period n,m) 
 
Weighted Average Seasoning (WAS) 
 
Note: Prepayment rates are calculated since deal issue date and include partial and full voluntary prepayments, liquidations, and repurchases. 
Dates correspond to distribution dates. 
 
 
 
Page 17 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Prepayment Detail Report 
Prepayment Detail Report - Mortgage Loans Prepaid in Full During Current Distribution 
Loan NumberOriginal  CurrentState &Type PrepaymentFirst
&Loan PrincipalPrepaymentPrepaymentNoteLTV at&Payment
 
Loan GroupStatus BalanceAmountDateRateOriginationOriginal TermDate
  
3139735 1 293,850.00290,145.7303-Dec-20045.375%CA - 90.00%Paid Off - 36001/01/2004
3149844 1 270,000.00267,038.5412-Dec-20046.125%IL - 94.74%Paid Off - 36001/01/2004
3155554 1 216,000.00214,233.3503-Dec-20047.650%MO - 90.00%Paid Off - 36001/01/2004
3156488 1 97,200.0096,405.4429-Nov-20047.150%NC - 90.00%Paid Off - 36002/01/2004
3159477 1 184,000.00182,708.5202-Dec-20047.375%RI - 89.76%Paid Off - 360 03/01/2004
3176551 1 231,500.00228,975.0301-Dec-20046.375%MD - 77.68%Paid Off - 36001/01/2004
3251178 1 78,800.0078,354.7816-Nov-20049.000%NJ - 44.02%Paid Off - 36002/01/2004
3303577 1 174,000.00173,630.0023-Nov-200412.000%NJ - 64.44%Paid Off - 36005/01/2004
3309472 1 115,000.00114,432.1408-Dec-20049.125%NJ - 67.65%Paid Off - 36003/01/2004
3371192 1 244,000.00242,430.1617-Nov-20047.500%MD - 80.00%Paid Off - 36004/01/2004
3383169 1 120,000.00119,177.0922-Nov-20046 .875%NJ - 74.07%Paid Off - 36004/01/2004
3383933 1 246,500.00244,809.6718-Nov-20046.875%CA - 85.00%Paid Off - 36004/01/2004
3404823 1 110,700.00110,028.2023-Nov-20047.500%KY - 90.00%Paid Off - 36004/01/2004
3414199 1 92,000.0091,427.7901-Dec-20047.375%FL - 44.55%Paid Off - 36004/01/2004
3414798 1 88,000.0087,745.2216-Nov-200410.750%NY - 39.11%Paid Off - 36005/01/2004
3422272 1 248,400.00247,000.6102-Dec-20047.875%CA - 90.00%Paid Off - 36004/01/2004
3441971 1 192,000.00190,876.6906-Dec-20046.990%CA - 72.73%Paid Off - 36005/01/2004
3442824 1 171,000.00169,769.4701-Dec-20046.625%NM - 90.00%Paid Off - 36004/01/2004
3452549 1 311,000.00309,158.7019-Nov-20047.625%CA - 84.97%Paid Off - 36004/01/2004
3459508 1 292,000.00292,000.0001-Dec-20045.750%CA - 80.00%Paid Off - 36004/01/2004
3460482 2 376,000.00373,581.5918-Nov-20046.500%NJ - 80.00%Paid Off - 36005/01/2004
3461996 1 257,400.00255,884.2917-Nov-20047.750%DC - 90.00%Paid Off - 36004/01/2004
3467393 1 83,600.0083,062.2717-Nov-2004CA - 80.00%Paid Off - 36005/01/2004
3483101 1 220,000.00218,272.6924-Nov-20047.000%AZ - 68.75%Paid Off - 36004/01/2004
3484933 1 193,000.00192,075.1417-Nov-20 048.000%NJ - 89.77%Paid Off - 36005/01/2004
3490202 2 78,000.0077,670.5817- Nov-20048.625%NJ - 31.84%Paid Off - 36005/01/2004
3491508 2 437,500.00434,405.1619-Nov-20046.000%CA - 70.00%Paid Off - 36005/01/2004
3498404 1 60,000.0059,382.3001-Dec-20046.625%MI - 42.86%Paid Off - 36005/01/2004
3503927 1 190,000.00188,727.6002-Dec-20047.000%IL - 95.00%Paid Off - 36004/01/2004
3504663 2 399,000.00396,349.4206-Dec-20045.500%CA - 60.00%Paid Off - 36006/01/2004
3508907 2 306,000.00304,438.8703-Dec-20048.375%NJ - 90.00%Paid Off - 36004/01/2004
3511447 2 341,000.00341,000.0002-Dec-20046.375%CA - 94.99%Paid Off - 36005/01/2004
3511635 1 155,000.00153,772.99 03-Dec-20046.375%CA - 62.00%Paid Off - 36005/01/2004
3518432 1 240,000.00239,693.5723-Nov-20045.125%FL - 80.00%Paid Off - 36005/01/2004
3521017 1 131,250.00130,209.7407-Dec-20046.750%CA - 75.00%Paid Off - 36003/01/2004
3529439 1 280,000.00277,874.9302-Dec-20045.625%CA - 80.00%Paid Off - 36005/01/2004
3532053 1 256,000.00254,430.8 508-Dec-20046.750%GA - 80.00%Paid Off - 36005/01/2004
 
 
 
 
Page 18 of 26 
IndyMac SPMD 2 004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
Prepayment Detail Report - Mortgage Loans Prepaid in Full During Current Distribution 
Loan NumberOriginal  CurrentState &Type PrepaymentFirst
&Loan PrincipalPrepaymentPrepaymentNoteLTV at&Payment
 
Loan GroupStatus BalanceAmountRateOriginationOriginal TermDate
  
3537609 1 168,000.00167,088.5116-Nov-20047.375%NJ - 80.00%Paid Off - 36005/01/2004
3550072 1 188,000.00186,941.2406-Dec-20046.375%CA - 80.00%Paid Off - 36006/01/2004
35599 88 1 155,000.00154,481.3101-Dec-20049.750%MA - 63.79%Paid Off - 36005/01/2004
3568132 2 508,000.00508,000.0024-Nov-20045.000%CA - 80.00%Paid Off - 36005/01/2004
3593136 1 256,000.00254,101.9222-Nov-20045.750%CA - 89.82%Paid Off - 36005/01/2004
3606704 1 283,000.00281,552.8601-Dec-20046.875%VA - 79.94%Paid Off - 36006/01/2004
3617434 1 124,800.00124,147.7517-Nov-20048.250%MI - 80.00%Paid Off - 36004/01/2004
3622512 1 116,000.00115,406.8223-Nov-20046.875%FL - 80.00%Paid Off - 36006/01/2004
3626168 1 100,000.0099,463.2823-Nov-20046.625%IL - 55.56%Paid Off - 36006/01/2004
< FONT FACE="Times New Roman" SIZE=-1 COLOR=#000000>3627655 1 296,100.00293,810.9603-Dec-20046.250%CA - 90.00%Paid Off - 36004/01/2004
3631659 1 150,000.00149,108.0902-Dec-20048.250%FL - 46.58%Paid Off - 36005/01/2004
3636709 1 105,000.00104,463.0622-Nov-20046.875%NJ - 47.51%Paid Off - 36006/01/2004
3649205 1 229,500.00226,749.3307-Dec-20043.875%IL - 85.00%Paid Off - 36004/01/2004
3655454 1 78,600.0078,387.6401-Dec-20049.125%NJ - 47.93%Paid Off - 36007/01/2004
3671429 1 182,000.00181,440.8803-Dec-20048.500%DC - 65.00%Paid Off - 36007/01/2004
3672823 1 130,000.00129,285.2523-Nov-20046.500%FL - 79.75%Paid Off - 36006/01/2004
3674591 1 207,200.00206,004.9102-Dec-20046.250%CA - 79.72%Paid Off - 36006/01/2004
3684761 1 99,000.0098,190.5907-Dec-20046.250%MD - 90.00%Paid Off - 36005/01/ 2004
3726216 1 183,000.00182,472.6829-Nov-200410.750%NY - 58.10%Paid Off - 36006/01/2004
3772020 1 142,400.00142,395.1418-Nov-20046.750%CA - 80.00%Paid Off - 36006/01/2004
3804354 1 56,000.0055,671.4519-Nov-20048.375%WA - 54.90%Paid Off - 36007/01/2004
3779891 1 191,920.00190,865.4524-Nov-20048.000%CA - 80.00%Repur/Subs - 36004/01/2004
3886051 1FCL233,750.00232,067.8810-Dec-20046.625%MA - 85.00%Repur/Subs - 36004/01/2004
 
 
TOTAL11,962,970.0011,893,276.12  
 
 
 
Page 19 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Realized Loss Report 
 
COLLATERAL REALIZED LOSSES 
 
 
 
Group 2Group 1Total 
 
 
Current 
 
  
 
 
Number of Loans Liquidated00 
Collateral Principal Realized Loss/(Gain) Amount0.000.000.00 
Collateral Interest Realized Loss/(Gain) Amount0.000.000.00 
Net Liquidation Proceeds0.000.000.00 
 
Cumulative 
 
  
 
 
Number of Loans Liquidated000 
Collateral Realized Loss/(Gain) Amount0.000.000.00 
Net Liquidation Proceeds0.000.000.00 
 
 
  
 
 
 
Class M-7 Writedown Amount0.00
Class M-6 Writedown Amount0.00
Class M-5 Writedown Amount0.00
Class M-4 Writedown Amount0.00
Class M-3 Writedown Amount0.00
Class M-2 Writedown Amount0.00
Class M-1 Writedown Amount0.00
 
 
 
 
 
 
 
 
 
Page 20 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
 
DEFAULT SPEEDS 
 
 
 
Group 2Group 1Total 
 
 
 
MDR0.00%0.00%0.00% 
3 Months Avg MDR0.00%0.00%0.00% 
12 Months Avg MDR0.00%0.00%0.00% 
Avg MDR Since Cut-off0.00%0.00%0.00% 
 
 
CDR0.00%0.00%0.00% 
3 Months Avg CDR0.00%0.00%0.00% 
12 Months Avg CDR0.00%0.00%0.00% 
Avg CDR Since Cut-off0.00%0.00%0.00% 
 
 
SDA0.00%0.00%0.00% 
3 Months Avg SDA Approximation0.00%0.00%0.00% 
12 Months Avg SDA Approximation0.00%0.00%0.00% 
Avg SDA Since Cut-off Approximation0.00%0.00%0.00% 
 
 
Loss Severity Approximation for Current Period0.00%0.00%0.00% 
3 Months Avg Loss Severity Approximation0.00%0.00%0.00% 
12 Months Avg Loss Severity Approximation0.00%0.00%0.00% 
Avg Loss Severity Approximation Since Cut-off0.00%0.00%0.00% 
 
 
 
 
 
 
 
 
 
 
 
 
Page 21 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
 
 
 
 
 
COLLATERAL REALIZED LOSS CALCULATION METHODOLOGY 
Monthly Default Rate (MDR): (Beg Principal Balance of Liquidated Loans)/(Total Beg Principal Balance) 
 
 
 
Conditional Default Rate (CDR): 1-((1-MDR)^12) 
 
SDA Standard Default Assumption: CDR/IF(WAS<61,MIN(30,WAS)*0.02,MAX(0.03,MIN(30,WAS)*0.02-0.0095*(WAS-60))) 
 
Average MDR over period between nth month and mth month (AvgMDRn,m): [(1-MDRn)*(1-MDRn+1)*...*(1-MDRm)]^(1/months in period n,m) 
Average CDR over period between the nth month and mth month (AvgCDRn,m): 1-((1-AvgMDRn,m)^12) 
 
Average SDA Approximation over period between the nth month and mth month: 
AvgCDRn,m/IF(Avg WASn,m<61,MIN(30,Avg WASn,m)*0.02,MAX(0.03,MIN(30,Avg WASn,m)*0.02-0.0095*(Avg WASn,m-60))) 
 
Average WASn,m: (WASn + WASn+1 +...+ WASm )/(number of months in the period n,m) 
Loss Severity Approximation for current period: sum(Realized Loss Amount)/sum(Beg Principal Balance of Liquidated Loans) 
 
Average Loss Severity Approximation over period between nth month and mth month: Avg(Loss Severityn,m) 
 
Note: Default rates are calculated since deal issue date and include realized gains and additional realized losses and gains from prior periods. 
Dates correspond to distribution dates. 
 
< /TD> 
 
 
Page 22 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Realized Loss Detail Report 
Loan NumberCurrentState & PriorRealized Cumulative 
 
&Loan NoteLTV atOriginalPrincipalLoss/(Gain)RealizedRealized 
 
Loan GroupStatusRateOriginationTermBalanceRevisionLoss/(Gain)Loss/(Gain) 
 
  
 
 
 
TOTAL 
 
 
 
Page 23 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Triggers and Adj. Cert. Report 
TRIGGER EVENTS 
 
Group 2Group 1Total 
Stepdown Date has occurred (0 = No, 1=Yes)0 
Does a Trigger Event Exist-Either a) or b) Yes? 0 
a) Does a Delinquency Trigger Event Exists (0=No,1=Yes)0 
b) Does a Loss Trigger Event Exists (0=No,1=Yes)0 
60+ days Delinqueny Bal.-3M Rolling Avg.9,611,013.52 
Ending Collateral Balance392,136,771.59 
Delinquen cy Percentage2.4500% 
Beginning Balance of Mezzanine and C Class92,250,287.73 
Beginning Collateral Balance404,363,634.53 
Credit Enhancement Percentage22.8100% 
Cumulative Loss Percentage0.0000% 
 
 
 
ADJUSTABLE RATE CERTIFICATE INFORMATION 
 
SPACE INTENTIONALLY LEFT BLANK 
 
 
 
ADDITIONAL INFORMATION 
 
Group 2Group 1Total 
Cap Contract Payments - Due0.00 
 
Cap Contract Payments - Paid0.00 
 
 
 
 
Page 24 of 26 
IndyMac SPMD 2004-A  
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Additional Certificate Report 
 
ADDITIONAL CERTIFICATE REPORT 
 
NET WAC Shortfall CarryOverNET WAC Shortfall Paid 
CLASS 
 
A-1$0.00$0.00 
 
A-2$0.00$0.00 
 
A-3$0.00$0.00 
 
M-1$0.00$0.00 
 
M-2$0.00$0.00 
 
M-3$0.00$0.00 
 
M-4$0.00$0.00 
 
M-5$0.00$0.00 
 
M-6$0.00$0.00 
 
M-7$0.00$0.00 
 
 
 
 
 
Page 25 of 26 
IndyMac SPMD 2004-A 
 
Collateralized Asset-Backed Bonds 
 
2004-A 
 
December 27, 2004 Distribution 
Other Related Information 
ADDITIONAL INFORMATION 
 
Group 2Group 1Total 
Sched. Payments for 60+Day Delinquent Loans23,955.3770,954.2994,909.66 
Sched. Pmts - 60+Day Delinquent Loans, 1 Month Prior21,655.2451,725.4573,380.69 
Sched. Pmts - 60+Day Delinquent Loans, 2 Month Prior6,569.7139,653.3846,223.09 
Sched. Pmts - 60+Day Delinquent Loans, 3 Month Prior1,266.7418,388.9719,655.71 
Sched. Pmts - 60+Day Delinquent Loans, 4 Month Prior0.001,471.891,471.89 
Sched. Pmts - 60+Day Delinquent Loans, 5 Month Prio r0.000.000.00 
Sched. Pmts - 60+Day Delinquent Loans, 6 Month Prior0.000.000.00 
Sched. Pmts - 60+Day Delinquent Loans, 7 Month Prior0.000.000.00 
Sched. Pmts - 60+Day Delinquent Loans, 8 Month Prior0.000.000.00 
Sched. Pmts - 60+Day Delinquent Loans, 9 Month Prior0.000.000.00 
Sched. Pmts - 60+Day Delinquent Loans, 10 Month Prior0.000.000.00 
Sched. Pmts - 60+Day Delinquent Loans, 11 Month Prior0.000.000.00 
 
 
 
Current Scheduled Payments666,675.842,068,491.732,735,167.57 
Current Scheduled Payments 1 Month Prior675,125.372,1 25,669.062,800,794.42 
Current Scheduled Payments 2 Month Prior691,863.742,175,941.562,867,805.30 
Current Scheduled Payments 3 Month Prior702,393.352,228,835.042,931,228.39 
Current Scheduled Payments 4 Month Prior714,943.152,267,171.642,982,114.78 
Current Scheduled Payments 5 Month Prior742,195.752,297,432.533,039,628.28 
Current Scheduled Payments 6 Month Prior0.000.000.00 
Current Scheduled Payments 7 Month Prior0.000.000.00 
Current Scheduled Payments 8 Month Prior0.000.000.00 
Current Scheduled Payments 9 Month Prior0.000.000.00 
Current Scheduled Payments 10 Month Prior0.000.000.00 
Current Scheduled Payments 11 Month Prior0.000.000.00 
 
 
 
 
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