EX-4.1 3 m300ex4-1.htm PSA Pooling and Servicing Agreement

EXECUTION COPY



GREENWICH CAPITAL ACCEPTANCE, INC.,
Depositor


GREENWICH CAPITAL FINANCIAL PRODUCTS, INC.,
Seller


WELLS FARGO BANK, N.A.

Master Servicer and Securities Administrator


and


DEUTSCHE BANK NATIONAL TRUST COMPANY,
Trustee and a Custodian


POOLING AND SERVICING AGREEMENT

Dated as of June 1, 2005

__________________________________

HarborView Mortgage Loan Trust 2005-7

Mortgage Loan Pass-Through Certificates, Series 2005-7







Table of Contents

Page

ARTICLE I

DEFINITIONS; DECLARATION OF TRUST

SECTION 1.01. Defined Terms.

7

SECTION 1.02. Accounting.

55

ARTICLE II

CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES

SECTION 2.01. Conveyance of Mortgage Loans.

56

SECTION 2.02. Acceptance by Trustee.

59

SECTION 2.03. Repurchase or Substitution of Mortgage Loans by the Originators and
the Seller
.

61

SECTION 2.04. Representations and Warranties of the Seller with Respect to the  
Mortgage Loans
.

64

SECTION 2.05. [Reserved].

65

SECTION 2.06. Representations and Warranties of the Depositor.

65

SECTION 2.07. Issuance of Certificates.

67

SECTION 2.08. Representations and Warranties of the Seller.

67

SECTION 2.09. Covenants of the Seller.

69

ARTICLE III

ADMINISTRATION AND MASTER SERVICING OF THE MORTGAGE LOANS

SECTION 3.01. Master Servicer to Service and Administer the Mortgage Loans.

69

SECTION 3.02. REMIC-Related Covenants.

70

SECTION 3.03. Monitoring of Servicers.

71

SECTION 3.04. Fidelity Bond.

73

SECTION 3.05. Power to Act; Procedures.

73

SECTION 3.06. Due-on-Sale Clauses; Assumption Agreements.

74

SECTION 3.07. Release of Mortgage Files.

74

SECTION 3.08. Documents, Records and Funds in Possession of Master Servicer to be  
Held for Trust
.

75

SECTION 3.09. Standard Hazard Insurance and Flood Insurance Policies

76

SECTION 3.10. Presentment of Claims and Collection of Proceeds.

77

SECTION 3.11. Maintenance of the Primary Insurance Policies.

77

SECTION 3.12. Trustee to Retain Possession of Certain Insurance Policies and  
Documents
.

77

SECTION 3.13. Realization Upon Defaulted Mortgage Loans.

78

SECTION 3.14. Additional Compensation to the Master Servicer.

78

SECTION 3.15. REO Property.

78

SECTION 3.16. Annual Officer’s Certificate as to Compliance.

79

SECTION 3.17. Annual Independent Accountant’s Servicing Report.

79

SECTION 3.18. Reports Filed with Securities and Exchange Commission.

80

SECTION 3.19. [Reserved].

81

SECTION 3.20. [Reserved].

81

SECTION 3.21. [Reserved].

81

SECTION 3.22. [Reserved].

81

SECTION 3.23. Closing Opinion of Counsel.

81

SECTION 3.24. Liabilities of the Master Servicer.

81

SECTION 3.25. Merger or Consolidation of the Master Servicer.

81

SECTION 3.26. Indemnification of the Trustee, the Master Servicer and the Securities  
Administrator
.

82

SECTION 3.27. Limitations on Liability of the Master Servicer and Others.

82

SECTION 3.28. Master Servicer Not to Resign.

84

SECTION 3.29. Successor Master Servicer.

84

SECTION 3.30. Sale and Assignment of Master Servicing.

84

ARTICLE IV

ACCOUNTS

SECTION 4.01. Servicing Accounts

85

SECTION 4.02. Distribution Account.

86

SECTION 4.03. Permitted Withdrawals and Transfers from the Distribution Account.

88

SECTION 4.04. Yield Maintenance Account.

89

ARTICLE V

FLOW OF FUNDS

SECTION 5.01. Distributions.

92

SECTION 5.02. Allocation of Net Deferred Interest.

97

SECTION 5.03. Allocation of Realized Losses.

98

SECTION 5.04. Statements.

99

SECTION 5.05. Remittance Reports; Advances.

102

SECTION 5.06. Compensating Interest Payments.

103

SECTION 5.07. Basis Risk Reserve Fund.

103

SECTION 5.08. Recoveries.

105

ARTICLE VI

THE CERTIFICATES

SECTION 6.01. The Certificates.

106

SECTION 6.02. Registration of Transfer and Exchange of Certificates.

107

SECTION 6.03. Mutilated, Destroyed, Lost or Stolen Certificates.

115

SECTION 6.04. Persons Deemed Owners.

115

SECTION 6.05. Appointment of Paying Agent.

115

ARTICLE

VII DEFAULT

SECTION 7.01. Event of Default.

116

SECTION 7.02. Trustee to Act.

118

SECTION 7.03. Waiver of Event of Default.

119

SECTION 7.04. Notification to Certificateholders.

119

ARTICLE VIII

THE TRUSTEE

SECTION 8.01. Duties of the Trustee and the Securities Administrator.

119

SECTION 8.02. Certain Matters Affecting the Trustee and the Securities Administrator.

121

SECTION 8.03. Trustee and Securities Administrator Not Liable for Certificates or  
Mortgage Loans
.

123

SECTION 8.04. Trustee, Custodian, Master Servicer and Securities Administrator May  
Own Certificates
.

123

SECTION 8.05. Trustee’s and Securities Administrator’s Fees and Expenses.

124

SECTION 8.06. Eligibility Requirements for Trustee and Securities Administrator.

124

SECTION 8.07. Resignation or Removal of Trustee and Securities Administrator.

124

SECTION 8.08. Successor Trustee and Successor Securities Administrator.

126

SECTION 8.09. Merger or Consolidation of Trustee or Securities Administrator.

126

SECTION 8.10. Appointment of Co-Trustee or Separate Trustee.

126

SECTION 8.11. Limitation of Liability.

128

SECTION 8.12. Trustee May Enforce Claims Without Possession of Certificates.

128

SECTION 8.13. Suits for Enforcement.

128

SECTION 8.14. Waiver of Bond Requirement.

128

SECTION 8.15. Waiver of Inventory, Accounting and Appraisal Requirement.

129

SECTION 8.16. Appointment of Custodians.

129

ARTICLE IX

REMIC ADMINISTRATION

SECTION 9.01. REMIC Administration.

129

SECTION 9.02. Prohibited Transactions and Activities.

132

ARTICLE X

TERMINATION

SECTION 10.01. Termination.

132

SECTION 10.02. Additional Termination Requirements.

134

ARTICLE XI

[RESERVED]

ARTICLE XII

MISCELLANEOUS PROVISIONS

SECTION 12.01. Amendment.

135

SECTION 12.02. Recordation of Agreement; Counterparts.

136

SECTION 12.03. Limitation on Rights of Certificateholders.

136

SECTION 12.04. Governing Law; Jurisdiction.

137

SECTION 12.05. Notices.

137

SECTION 12.06. Severability of Provisions.

138

SECTION 12.07. Article and Section References.

138

SECTION 12.08. Notice to the Rating Agency.

138

SECTION 12.09. Further Assurances.

139

SECTION 12.10. Benefits of Agreement.

139

SECTION 12.11. Acts of Certificateholders.

140

SECTION 12.12. Successors and Assigns.

140

SECTION 12.13. Provision of Information.

140


EXHIBITS AND SCHEDULES:

Exhibit A-1

Form of Class A Certificate

A-1

Exhibit A-2

Form of Class X Certificate

A-2

Exhibit A-3

Form of Class PO Certificate

A-3

Exhibit B

Form of Class A-R Certificate

B-1

Exhibit C

Form of Subordinate Certificate

C-1

Exhibit D

Form of Class P Certificate

D-1

Exhibit E

Form of Reverse of the Certificates

E-1

Exhibit F

Request for Release

F-1

Exhibit G-1

Form of Receipt of Mortgage Note

G-1-1

Exhibit G-2

Form of Interim Certification of Trustee

G-2-1

Exhibit G-3

Form of Final Certification of Trustee

G-3-1

Exhibit H

Form of Lost Note Affidavit

H-1

Exhibit I-1

Form of ERISA Representation Class A-R

I-1-1

Exhibit I-2

Form of ERISA Representation For ERISA-Restricted Certificates

I-2-1

Exhibit J-1

Form of Investment Letter Non-Rule 144A

J-1-1

Exhibit J-2

Form of Rule 144A Investment Letter

J-2-1

Exhibit K

Form of Transferor Certificate

K-1

Exhibit L

Transfer Affidavit for Residual Certificate Pursuant to

Section 6.02(e)

L-1

Exhibit M

List of Servicing Agreements

M-1

Exhibit N-1

Form of Transfer Certificate (Restricted Global Security to

Regulation S Security)

N-1-1

Exhibit N-2

Form of Transfer Certificate (Regulation S Security to

Restricted Global Security)

N-2-1


Schedule I

Mortgage Loan Schedule

Schedule II

[Reserved]

Schedule III

Yield Maintenance Payments








This Pooling and Servicing Agreement is dated as of June 1, 2005 (the “Agreement”), among GREENWICH CAPITAL ACCEPTANCE, INC., a Delaware corporation, as depositor (the “Depositor”), GREENWICH CAPITAL FINANCIAL PRODUCTS, INC., a Delaware corporation, as seller (the “Seller”), WELLS FARGO BANK, N.A., a national banking association, as master servicer (in such capacity, the “Master Servicer”) and as securities administrator (in such capacity, the “Securities Administrator”) and DEUTSCHE BANK NATIONAL TRUST COMPANY, a national banking association, as trustee (the “Trustee”).

PRELIMINARY STATEMENT:

Through this Agreement, the Depositor intends to cause the issuance and sale of the HarborView Mortgage Loan Trust 2005-7 Mortgage Loan Pass-Through Certificates, Series 2005-7 (the “Certificates”) representing in the aggregate the entire beneficial ownership of the Trust, the primary assets of which are the Mortgage Loans (as defined below).

The Depositor intends to sell the Certificates to be issued hereunder in multiple classes, which in the aggregate will evidence the entire beneficial ownership interest in the Trust Fund created hereunder.  The Certificates will consist of twenty-four classes of certificates, designated as (i) the Class 1-A1 Certificates, (ii) the Class 1-A2 Certificates, (iii) the Class 2-A1 Certificates, (iv) the Class 2-A2A Certificates, (v) the Class 2-A2B Certificates, (vi) the Class 1-X Certificates, (vii) the Class 2-X Certificates, (viii) the Class 1-PO Certificates, (ix) the Class 2-PO Certificates, (x) the Class A-R Certificates, (xi) the Class 1-B1 Certificates, (xii) the Class 1-B2 Certificates, (xiii) the Class 1-B3 Certificates, (xiv) the Class 1-B4 Certificates, (xv) the Class 1-B5 Certificates, (xvi) the Class 1-B6 Certificates, (xvii) the Class 2-B1 Certificates, (xviii) the Class 2-B2 Certificates, (xix) the Class 2-B3 Certificates, (xx) the Class 2-B4 Certificates, (xxi) the Class 2-B5 Certificates, (xxii) the Class 2-B6 Certificates, (xxiii) the Class A-R-II Certificates and (xxiv) the Class P Certificates.

As provided herein, the Trustee shall elect that the Trust Fund (exclusive of the assets held in the Group 1 and Group 2 Basis Risk Reserve Funds and the Yield Maintenance Account and the Yield Maintenance Agreements (collectively, the “Excluded Trust Property”) be treated for federal income tax purposes as comprising two real estate mortgage investment conduits (each, a “REMIC” or, in the alternative, the “Lower-Tier REMIC” and the “Upper-Tier REMIC”).  Each Certificate, other than the Class A-R and Class AR-II Certificates, shall represent ownership of a regular interest in the Upper-Tier REMIC, as described herein.  In addition, (i) the COFI and LIBOR Certificates represent the right to receive payments in respect of Basis Risk Shortfalls from the Group 1 and Group 2 Basis Risk Reserve Funds as provided in Section 5.07 and (ii) the Class 2-A1, Class 2-A2A, and Class 2-A2B Certificates represent the right to receive payments in respect of Basis Risk Shortfalls from the Yield Maintenance Account as provided in Section 4.04.  The owners of the Class 1-X Certificates beneficially own the Group 1 Basis Risk Reserve Fund and the owners of the Class 2-X Certificates beneficially own the Group 2 Basis Risk Reserve Fund and the Yield Maintenance Account.  The Class A-R-II Certificate represents the sole class of residual interest in the Lower-Tier REMIC and the Class A-R Certificate represents the sole class of residual interest in the Upper-Tier REMIC.

The Lower-Tier REMIC shall hold as assets all property of the Trust Fund other than the Excluded Trust Property and the interests in the Lower-Tier REMIC formed hereby.  The Upper Tier REMIC shall hold as assets the uncertificated Lower-Tier REMIC Interests, other than the Class LT-R Interest.  Each such Lower-Tier Interest is hereby designated as a REMIC regular interest.  

Lower-Tier REMIC Interests

The following table specifies the Class designation, interest rate, and initial Class Principal Amount for each Class of Lower-Tier REMIC Interest:


Designation

Interest Rate

Initial Principal Balance

Corresponding Class of Certificates

LT1-A1

(1)

 $    104,576,050.00

Class 1-A1 & A-R

LT1-A2

(1)

 $      26,144,500.00

Class 1-A2

LT1B-1

(1)

 $        3,494,500.00

Class 1-B-1

LT1B-2

(1)

 $        2,781,000.00

Class 1-B-2

LT1B-3

(1)

 $        2,068,000.00

Class 1-B-3

LT1B-4

(1)

 $        2,068,000.00

Class 1-B-4

LT1B-5

(1)

 $           855,500.00

Class 1-B-5

LT1B-6

(1)

 $           643,116.06

Class 1-B-6

LT1Q

(1)

 $    136,925,537.41

N/A

LT1Z

(1)

 $        2,852,614.32

N/A

LT1Y

(1)

 $        2,852,614.32

N/A

LT2-A1

(2)

 $    138,132,500.00

Class 2-A1

LT2-A2A

(2)

 $      61,214,500.00

Class 2-A1A

LT2-A2B

(2)

 $      30,874,500.00

Class 2-A1B

LT2B-1

(2)

 $        6,012,500.00

Class 2-B-1

LT2B-2

(2)

 $        4,759,500.00

Class 2-B-2

LT2B-3

(2)

 $        3,507,000.00

Class 2-B-3

LT2B-4

(2)

 $        3,131,000.00

Class 2-B-4

LT2B-5

(2)

 $        1,628,000.00

Class 2-B-5

LT2B-6

(2)

 $        1,253,785.56

Class 2-B-6

LT2Q

(2)

 $    240,492,852.13

N/A

LT2Z

(2)

 $        5,010,266.71

N/A

LT2Y

(2)

 $        5,010,266.71

N/A

LT-R

(2)

(2)

Class A-R-II

__________________________

(1)

The interest rate with respect to any Distribution Date (and the related Accrual Period) for each of these Lower-Tier Interests is a per annum rate equal to the Net WAC of the Group 1 Mortgage Loans.  

(2)

The interest rate with respect to any Distribution Date (and the related Accrual Period) for each of these Lower-Tier Interests is a per annum rate equal to the Net WAC of the Group 2 Mortgage Loans.  

(3)

The LT-R Interest is the sole class of residual interests in the Lower Tier REMIC.  It does not have an interest rate or a principal balance.  The LT-R Interest is represented by the Class AR-II Certificate.

On each Distribution Date, Available Funds with respect to the Group 1 shall be allocated among the Lower-Tier Interests interest, and Realized Losses shall be allocated, among the Lower-Tier Interests, in the following order of priority:

(i)

First, to the LT1Z and L1TY Interests in reduction of their principal balances as follows –


(a)

To the LT1Z Interest the amount, if any, required to reduce its principal balance to the LT1Z Target Balance for such Distribution Date;


(b)

To the LT1Y Interest the amount, if any, required to reduce its principal balance to the LT1Y Target Balance for such Distribution Date;


(c)To the LT1Z and LT1Y Interests in proportion to their principal balances, after taking into account distributions pursuant to priorities (a) and (b) above, until the sum of their principal balances equals 2% of the Pool Balance immediately after such Distribution Date;


(ii)

Second, concurrently to the LT1-A1, LT1-A2, LT1B-1, LT1B-2, LT1B-3. LT1B-4, LT1B-5 and LT1B-6 Interests until the principal balance of each such Lower-Tier Interest equals 50% of the Class Certificate Principal Balance or Balances of the Corresponding Class or Classes of Certificates for such Lower-Tier Interest immediately after such Distribution Date;


(iii)

Third, to the LT1Q Interest until its principal balance equals the excess of (a) the Pool Balance for Group 1 immediately after such Distribution Date over (b) the aggregate of the principal balances of the other Lower-Tier Interests having an “LT1” in their designation after taking into account the distributions made pursuant to priorities (i) and (ii) above on such Distribution Date;


(iv)

Fourth, remaining Available Funds shall be applied to interest distributions on the Lower-Tier Interests having an “LT1” in their designation at the interest rates described above, provided, however, that any Net Deferred Interest on the Mortgage Loans in Group 1 will be allocated among and increase the principal balances of the Lower-Tier Interests in the same order of priority in which principal is distributed among such Lower-Tier Interests pursuant to priorities (i), (ii), and (iii) above.


On any Distribution Date, after all distributions of Available Funds for Group 1 on such date, Realized Losses with respect to Group 1 shall be allocated among the Lower-Tier Interests having an “LT1” in their designation in the same order of priority in which principal is distributed among such Lower-Tier Interests pursuant to priorities (i) through (iv) above.

On each Distribution Date, Available Funds with respect to the Group 2 shall be allocated among the Lower-Tier Interests interest, and Realized Losses shall be allocated, among the Lower-Tier Interests, in the following order of priority:

(i)

First, to the LT2Z and LT2Y Interests in reduction of their principal balances as follows –

(a)

To the LT2Z Interest the amount, if any, required to reduce its principal balance to the LT2Z Target Balance for such Distribution Date;


(b)

To the LT2Y Interest the amount, if any, required to reduce its principal balance to the LT2Y Target Balance for such Distribution Date;


(c)

To the LT2Z and LT2Y Interests in proportion to their principal balances, after taking into account distributions pursuant to priorities (a) and (b) above, until the sum of their principal balances equals 2% of the Pool Balance immediately after such Distribution Date;


(ii)

Second, concurrently to the LT2-A1, LT2-A1A, LT1B-1, LT1B-2, LT1B-3. LT1B-4, LT1B-5 and LT1B-6 Interests until the principal balance of each such Lower-Tier Interest equals 50% of the Class Certificate Principal Balance or Balances of the Corresponding Class or Classes of Certificates for such Lower-Tier Interest immediately after such Distribution Date;

(iii)

Third, to the LT1Q Interest until its principal balance equals the excess of (a) the Pool Balance for Group 2 immediately after such Distribution Date over (b) the aggregate of the principal balances of the other Lower-Tier Interests having an “LT2” in their designation after taking into account the distributions made pursuant to priorities (i) and (ii) above on such Distribution Date;


(iv)    Fourth, remaining Available Funds shall be applied to interest distributions on the Lower-Tier Interests having an “LT2” in their designation at the interest rates described above, provided, however, that any Net Deferred Interest on the Mortgage Loans in Group 2 will be allocated among and increase the principal balances of such Lower-Tier Interests in the same order of priority in which principal is distributed among such Lower-Tier Interests   pursuant to priorities (i) through  (iii) above.

On any Distribution Date, after all distributions of Available Funds for Group 2 on such date, Realized Losses with respect to Group 2 shall be allocated among the Lower-Tier Interests having an “LT2” in their designation in the same order of priority in which principal is distributed among the Lower-Tier Interests pursuant to priorities (i) through (iv) above.

The Certificates

The following table sets forth (or describes) the Class designation, Pass-Through Rate, and Original Class Certificate Principal Balance (or initial Certificate Notional Balance) for each Class of Certificates comprising interests in the Trust Fund created hereunder.  Each Class of Certificates, other than the Class P, Class A-R and Class A-R-II Certificates, is hereby designated as representing ownership of regular interests in the Upper-Tier REMIC.

 

Original Class Certificate Principal
Balance or Class Certificate
Notional Balance

Pass-Through
Rate

Class 1-A1

$209,152,000.00

(1)

Class 1-A2

$52,289,000.00

(1)

Class 2-A1

$276,265,000.00

(1)

Class 2-A2A

$122,429,000.00

(1)

Class 2-A2B

$61,749,000.00

(1)

Class 1-X

Notional Amount (2)

(1)(2)

Class 2-X

Notional Amount (3)

(1)(3)

Class 1-PO

$100.00

(4)

Class 2-PO

$100.00

(4)

Class A-R

$100.00

(1)

Class 1-B1

$6,989,000.00

(5)

Class 1-B2

$5,562,000.00

(5)

Class 1-B3

$4,136,000.00

(5)

Class 1-B4

$4,136,000.00

(5)

Class 1-B5

$1,711,000.00

(5)

Class 1-B6

$1,286,232.11

(5)

Class 2-B1

$12,025,000.00

(5)

Class 2-B2

$9,519,000.00

(5)

Class 2-B3

$7,014,000.00

(5)

Class 2-B4

$6,262,000.00

(5)

Class 2-B5

$3,256,000.00

(5)

Class 2-B6

$2,507,571.11

(5)

Class P

(6)

(6)

Class A-R-II

(7)

(7)

____________

(1)

Calculated pursuant to the definition of “Pass-Through Rate.”

(2)

For purposes of the REMIC provisions, the Class 1-X Certificates shall accrue interest on a notional balance equal to the sum of the principle balances of the Lower-Tier Interests with “LT1” in their designation.  For purposes of the REMIC Provisions, the interest shall accrue on the Class 1-X Certificate at a rate equal to the excess, if any, of (i) the product of (a) the weighted average of the interest rates on the LTZ and LTY Interests immediately after such Distribution Date, computed for this purpose by subjecting the interest rate on the LTY Interest to a cap of 0.00%, multiplied by (b) two, over (ii) the Group 1 Adjusted Lower-Tier WAC.  The Class 1-X Certificates are interest-only certificates and will not be entitled to distributions of principal.

(3)

For purposes of the REMIC provisions, the Class 2-X Certificates shall accrue interest on a notional balance equal to the sum of the principle balances of the Lower-Tier Interests with “LT2” in their designation.  For purposes of the REMIC Provisions, the interest shall accrue on the Class 2-X Certificate at a rate equal to the excess, if any, of (i) the product of (a) the weighted average of the interest rates on the LTZ and LTY Interests immediately after such Distribution Date, computed for this purpose by subjecting the interest rate on the LTY Interest to a cap of 0.00%, multiplied by (b) two, over (ii) the Group 2 Adjusted Lower-Tier WAC.  The Class 2-X Certificates are interest-only certificates and will not be entitled to distributions of principal.

(4)

The Class 1-PO and Class 2-PO Certificates are principal-only certificates and will not be entitled to distributions of interest.  For purposes of the REMIC Provisions, the Class 1-PO Certificates shall accrue interest on a notional balance equal to the sum of the principal balances of the Lower-Tier Interests having an “LT1” in their designation.  For purposes of the REMIC Provisions, interest shall accrue on the Class 1-PO Certificates at a rate equal to the excess of (i) the Net WAC for Group 1 over (ii) the Group 1 Adjusted Lower-Tier Pay Rate.  Any interest accrued on the Class 1-PO Certificates will not be paid currently but shall increase the Component Principal Balance of the Class 1-PO Certificate.  For purposes of the REMIC Provisions, the Class 2-PO Certificates shall accrue interest on a notional balance equal to the sum of the principal balances of the Lower-Tier Interests having an “LT2” in their designation.  For purposes of the REMIC Provisions, interest shall accrue on the Class 2-PO Certificates at a rate equal to the excess of (i) the Net WAC for Group 2 over (ii) the Group 2 Adjusted Lower-Tier Pay Rate.  Any interest accrued on the Class 2-PO Certificates will not be paid currently but shall increase the Component Principal Balance of the Class 2-PO Certificate.

(5)

Calculated pursuant to the definition of “Pass-Through Rate,” but adjusted, for purposes of the REMIC Provisions, to reflect the allocation, if any, of Subordinate Class Expense Share.

(6)

The Class P Certificate does not have a principal balance or a pass-through rate and is entitled to receive the “Class P Distributable Amount.”

(7)

For purposes of the REMIC provisions, the Class A-R-II Certificate represents ownership of the Class LT-R Interest, which is the sole class of residual interest in the Lower-Tier REMIC and which does not have a principal balance or a pass-through rate.


ARTICLE I

DEFINITIONS; DECLARATION OF TRUST

SECTION 1.01.  Defined Terms.

Whenever used in this Agreement or in the Preliminary Statement, the following words and phrases, unless the context otherwise requires, shall have the meanings specified in this Article.  All calculations of interest described herein shall be made on the basis of an assumed 360-day year consisting of twelve 30-day months.

1-X Required Reserve Fund Deposit”:  With respect to the Class 1-X Certificates and any Distribution Date, an amount equal to the lesser of (i) the Interest Distributable Amount for the Class 1-X Certificates for such Distribution Date (after giving effect to such Certificate’s share of any Net Deferred Interest applicable to the Group 1 Mortgage Loans and after any reduction in the Interest Distributable Amount due to Net Interest Shortfalls on such Distribution Date) and (ii) the amount required to bring the balance on deposit in the Group 1 Basis Risk Reserve Fund up to an amount equal to the Basis Risk Shortfalls for such Distribution Date with respect to the Class 1-A1 and Class 1-A2 Certificates.

 “2-X Required Reserve Fund Deposit”:  With respect to the Class 2-X Certificates and any Distribution Date, an amount equal to the lesser of (i) the Interest Distributable Amount for the Class 2-X Certificates for such Distribution Date (after giving effect to such Certificate’s share of any Net Deferred Interest applicable to the Group 2 Mortgage Loans and after any reduction in the Interest Distributable Amount due to Net Interest Shortfalls on such Distribution Date) and (ii) the amount required to bring the balance on deposit in the Group 2 Basis Risk Reserve Fund up to an amount equal to the Basis Risk Shortfalls for such Distribution Date with respect to the Class 2-A1, Class 2-A2A, Class 2-A2B, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B Certificates (and with respect to the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates, after giving effect to distributions of payments made pursuant to the Yield Maintenance Agreement).

1933 Act”:  The Securities Act of 1933, as amended.

Acceptable Successor Servicer”:  A FHLMC- or FNMA-approved servicer that is  (i) reasonably acceptable to the Master Servicer and (ii) acceptable to each Rating Agency, as evidenced by a letter from each such Rating Agency delivered to the Master Servicer and the Trustee that such entity’s acting as a successor servicer will not result in a qualification, withdrawal or downgrade of the then-current rating of any of the Certificates.

Accepted Master Servicing Practices”:  With respect to any Mortgage Loan, as applicable, either (x) those customary mortgage servicing practices of prudent mortgage servicing institutions that master service mortgage loans of the same type and quality as such Mortgage Loan in the jurisdiction where the related Mortgaged Property is located, to the extent applicable to the Trustee or the Master Servicer (except in its capacity as successor to a Servicer), or (y) as provided in the applicable Servicing Agreement, to the extent applicable to any Servicer, but in no event below the standard set forth in clause (x).

Account”:  The Distribution Account or each Servicing Account, as the context requires.

Accrual Period”: With respect to each Distribution Date and the Certificates (other than the LIBOR Certificates) and any Class of Lower-Tier Interests, the calendar month prior to the month of that Distribution Date.  With respect to each Distribution Date and the LIBOR Certificates, the period beginning on the immediately preceding Distribution Date (or Closing Date in the case of the first Distribution Date) and ending on the date immediately preceding such Distribution Date.  Interest on the LIBOR Certificates will be calculated on the basis of a 360-day year and the actual number of days elapsed in the related Accrual Period; in the case of the other Classes of Certificates (and the Lower-Tier Interests), interest shall be calculated based on an assumption that each month has 30 days and each year has 360 days.  

Adjusted Cap Rate”:  Any of the Group 1 COFI Adjusted Cap Rate, the Group 2 LIBOR Adjusted Cap Rate, the Class 1-X Adjusted Cap Rate or the Class 2-X Adjusted Cap Rate, as applicable.

Adjustment Date”:  With respect to each Mortgage Loan, each adjustment date on which the related Loan Rate changes pursuant to the related Mortgage Note.  The first Adjustment Date following the Cut-Off Date as to each Mortgage Loan is set forth in the Mortgage Loan Schedule.

Advance”:  With respect to any Distribution Date and any Mortgage Loan or REO Property, any advance made by the Master Servicer pursuant to Section 7.02.

Adverse REMIC Event”:  Either (i) loss of status as a REMIC, within the meaning of Section 860D of the Code, for any group of assets identified as a REMIC in the Preliminary Statement to this Agreement, or (ii) imposition of any tax, including the tax imposed under Section 860F(a)(1) on prohibited transactions, and the tax imposed under Section 860G(d) on certain contributions to a REMIC, on any REMIC created hereunder to the extent such tax would be payable from assets held as part of the Trust Fund.

Affiliate”:  With respect to any Person, any other Person controlling, controlled by or under common control with such Person.  For purposes of this definition, “control” means the power to direct the management and policies of a Person, directly or indirectly, whether through ownership of voting securities, by contract or otherwise and “controlling” and “controlled” shall have meanings correlative to the foregoing.

Agreement”:  This Pooling and Servicing Agreement, dated as of June 1, 2005, as amended, supplemented and otherwise modified from time to time.

Applicable Credit Support Percentage”:  As defined in Section 5.01(d).

Assignment”:  As to any Mortgage, an assignment of mortgage, notice of transfer or equivalent instrument, in recordable form, which is sufficient, under the laws of the jurisdiction in which the related Mortgaged Property is located, to reflect or record the sale of such Mortgage.

Available Funds”:  As to any Distribution Date and any Loan Group, an amount equal to (i) the sum of (a) the aggregate of the Monthly Payments received on or prior to the related Determination Date (excluding Monthly Payments due in future Due Periods but received by the related Determination Date) in respect of the Mortgage Loans in that Loan Group, (b) Net Liquidation Proceeds, Insurance Proceeds, Principal Prepayments (excluding Prepayment Penalty Amounts), Recoveries and other unscheduled recoveries of principal and interest in respect of the Mortgage Loans in that Loan Group received during the related Prepayment Period, (c) the aggregate of any amounts received in respect of REO Properties for such Distribution Date in respect of the Mortgage Loans in that Loan Group, (d) the aggregate of any amounts of Interest Shortfalls (excluding for such purpose all shortfalls as a result of Relief Act Reductions) paid by the Servicers pursuant to the related Servicing Agreements and Compensating Interest Payments deposited in the Distribution Account for that Distribution Date in respect of the Mortgage Loans in that Loan Group, (e) the aggregate of the Purchase Prices and Substitution Adjustments deposited in the Distribution Account during the related Prepayment Period in respect of the Mortgage Loans in that Loan Group, (f) the aggregate of any advances in respect of delinquent Monthly Payments made by the Servicer and Advances made by the Master Servicer for that Distribution Date in respect of the Mortgage Loans in that Loan Group, (g) the aggregate of any Advances made by the Trustee for that Distribution Date pursuant to Section 7.02 hereof in respect of the Mortgage Loans in that Loan Group and (h) the Termination Price allocated to such Loan Group on the Distribution Date on which the Trust is terminated; minus (ii) the sum of (w) the Expense Fees for that Distribution Date in respect of the Mortgage Loans in that Loan Group, (x) amounts in reimbursement for Advances previously made in respect of the Mortgage Loans in that Loan Group and other amounts as to which the Servicers, the Securities Administrator, the Master Servicer, the Trustee and the Custodian are entitled to be reimbursed pursuant to Section 4.03, (y) the amount payable to the Trustee, the Master Servicer, the Securities Administrator and the Custodians pursuant to Sections 3.26(b), 3.27(c) and 8.05 hereof and Section 19 of the Custodial Agreements in respect of the Mortgage Loans in that Loan Group or if not related to a Mortgage Loan, allocated to each Loan Group on a pro rata basis and (z) amounts deposited in the Distribution Account in error in respect of the Mortgage Loans in that Loan Group.

Bankruptcy Code”:  The Bankruptcy Reform Act of 1978 (Title 11 of the United States Code), as amended.

Basis Risk Shortfall”:  With respect to any Distribution Date and the Class 1-A1, Class 1-A2, Class 2-A1, Class 2-A2A, Class 2-A2B and Group 2 Subordinate Certificates, the “Basis Risk Shortfall” for such class, if any, will equal the sum of:

(i)

the excess, if any, of the Interest Distributable Amount that such Class would have been entitled to receive if the Pass-Through Rate for such Class were calculated without regard to clause (ii) in the definition thereof, over the actual Interest Distributable Amount such Class is entitled to receive for such Distribution Date;

(ii)

any excess described in clause (i) above remaining unpaid from prior Distribution Dates; and

(iii)

interest for the applicable Accrual Period on the amount described in clause (ii) above based on the applicable Pass-Through Rate, determined without regard to clause (ii) in the definition thereof.

BONY Custodial Agreement”:  The Custodial Agreement, dated as of June 1, 2005, between the Trustee, the Securities Administrator and the Bank of New York, as custodian.

Book-Entry Certificates”:  Any of the Certificates that shall be registered in the name of the Depository or its nominee, the ownership of which is reflected on the books of the Depository or on the books of a Person maintaining an account with the Depository (directly, as a “Depository Participant”, or indirectly, as an indirect participant in accordance with the rules of the Depository and as described in Section 6.02 hereof).  On the Closing Date, all Classes of the Certificates other than the Physical Certificates shall be Book-Entry Certificates.

Business Day”:  Any day other than a Saturday, a Sunday or a day on which banking or savings institutions in the State of California, the State of Maryland, the State of Minnesota, the State of Texas, the State of New York or in the city in which the Corporate Trust Office of the Trustee is located are authorized or obligated by law or executive order to be closed.

Call Option”:  The right to terminate this Agreement and the Trust pursuant to the second paragraph of Section 10.01(a) hereof.

Call Option Date”:  As defined in Section 10.01(a) hereof.

Certificate”:  Any Regular Certificate, Residual Certificate or Class P Certificate.

Certificate Notional Balance”:  With respect to each Certificate of Class 1-X and Class 2-X and any date of determination, the product of (i) the Class Certificate Notional Balance of such Class and (ii) the applicable Percentage Interest of such Certificate.

Certificate Owner”:  With respect to each Book-Entry Certificate, any beneficial owner thereof and with respect to each Physical Certificate, the Certificateholder thereof.

Certificate Principal Balance”:  With respect to each Certificate of a given Class (other than Class P, Class A-R-II, Class 1-X and Class 2-X) and any date of determination, the product of (i) the Class Certificate Principal Balance of such Class and (ii) the applicable Percentage Interest of such Certificate.

Certificate Register” and “Certificate Registrar”:  The register maintained and registrar appointed pursuant to Section 6.02 hereof.  Wells Fargo Bank, N.A. will act as Certificate Registrar, on behalf of the Trustee, for so long as it is the Securities Administrator under this Agreement.

Certificateholder” or “Holder”:  The Person in whose name a Certificate is registered in the Certificate Register, except that a Disqualified Organization or non-U.S. Person shall not be a Holder of a Residual Certificate for any purpose hereof.

Class”:  Collectively, Certificates that have the same priority of payment and bear the same class designation and the form of which is identical except for variation in the Percentage Interest evidenced thereby.

Class 1-A1 Certificate”:  Any of the Class 1-A1 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-1, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-A2 Certificate”:  Any of the Class 1-A2 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-1, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-B1 Certificate”:  Any of the Class 1-B1 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-B2 Certificate”:  Any of the Class 1-B2 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-B3 Certificate”:  Any of the Class 1-B3 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-B4 Certificate”:  Any of the Class 1-B4 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-B5 Certificate”:  Any of the Class 1-B5 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-B6 Certificate”:  Any of the Class 1-B6 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-PO Certificate”:  Any of the Class 1-PO Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-3, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 1-X Adjusted Cap Rate”:  With respect to the Class 1-X Certificate for any Distribution Date shall equal the Pass-Through Rate for the Class 1-X Certificate, computed for this purpose by (i) reducing the Net WAC of the Group 1 Mortgage Loans by a per annum rate equal to the quotient of (a) the Net Deferred Interest for the Group 1 Mortgage Loans for such Distribution Date multiplied by 12, and (b) the aggregate Stated Principal Balance of the Group 1 Mortgage Loans as of the first day of the month prior to such Distribution Date, and (ii) computing the weighted average of the Pass-Through Rates of the Class 1-A1 and Class 1-A2 Certificates by substituting “Group 1 COFI Adjusted Cap Rate” for “Net WAC Cap” in the definition of Pass-Through Rate for each such Class.

Class 1-X Certificate”:  Any of the Class 1-X Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-2, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

“Class 1-X Certificate Notional Balance”:  As of any Distribution Date, the aggregate Certificate Principal Balance of the Class 1-A1, Class 1-A2 and Class 1-PO Certificates on such Distribution Date.

Class 2-A1 Certificate”:  Any of the Class 2-A1 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-1, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-A2A Certificate”:  Any of the Class 2-A2A Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-1, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-A2B Certificate”:  Any of the Class 2-A2B Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-1, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-B1 Certificate”:  Any of the Class 2-B1 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-B2 Certificate”:  Any of the Class 2-B2 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-B3 Certificate”:  Any of the Class 2-B3 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-B4 Certificate”:  Any of the Class 2-B4 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-B5 Certificate”:  Any of the Class 2-B5 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-B6 Certificate”:  Any of the Class 2-B6 Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-PO Certificate”:  Any of the Class 2-PO Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-3, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class 2-X Adjusted Cap Rate”:  With respect to the Class 2-X Certificate for any Distribution Date, the Pass-Through Rate for the Class 2-X Certificate, computed for this purpose by (i) reducing the Net WAC for the Group 2 Mortgage Loans by a per annum rate equal to the quotient of (a) the Net Deferred Interest for the Group 2 Mortgage Loans for such Distribution Date multiplied by 12, and (b) the Aggregate Principal Balance of the Group 2 Mortgage Loans as of the first day of the month prior to such Distribution Date, and (ii) computing the weighted average of the Pass-Through Rates of the LIBOR Certificates by substituting “Group 2 LIBOR Adjusted Cap Rate” for “Net WAC Cap” in the definition of Pass-Through Rate for each of the LIBOR Certificates.

Class 2-X Certificate”:  Any of the Class 2-X Certificates as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit A-2, evidencing the ownership of a “regular interest” in the Upper Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

“Class 2-X Certificate Notional Balance”:  As of any Distribution Date, the aggregate Principal Balance of the Group 2 Mortgage Loans at the end of the related Due Period.

Class A-R Certificate”:  The Class A-R Certificate as designated on the face thereof executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit B, evidencing the ownership of the sole class of “residual interest” in the Upper-Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class A-R-II Certificate”:  The Class A-R-II Certificate as designated on the face thereof executed by the Trustee, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit B, evidencing the ownership of the sole class of “residual interest” in the Lower-Tier REMIC created hereunder and representing the right to distributions as set forth herein and therein.

Class Certificate Notional Amount”:  With respect to the Class 1-X Certificates and any Distribution Date, the sum of the Class Certificate Principal Balances of the Class 1-A1, Class 1-A2 and Class 1-PO Certificates on such Distribution Date.  With respect to the Class 2-X Certificates and any Distribution Date, the aggregate Principal Balance of the Group 2 Mortgage Loans as of the first day of the month prior to such Distribution Date.

Class Certificate Principal Balance”:  As to any Distribution Date, with respect to any Class of Certificates (other than the Class P, Class A-R-II, Class 1-X and Class 2-X Certificates), the Original Class Certificate Principal Balance as reduced by the sum of (x) all amounts actually distributed in respect of principal of that Class on all prior Distribution Dates, (y) all Realized Losses, if any, actually allocated to that Class on all prior Distribution Dates and (z) in the case of the Subordinate Certificates, any applicable Writedown Amount; provided, however, that (i) pursuant to Section 5.02, the Class Certificate Principal Balance of a Class of Certificates shall be increased up to the amount of Net Deferred Interest allocated to such Class of Certificates on such Distribution Date and (ii) pursuant to Section 5.08, the Class Certificate Principal Balance of a Class of Certificates may be increased up to the amount of Realized Losses previously allocated to such Class, in the event that there is a Recovery on a related Mortgage Loan, and the Certificate Principal Balance of any individual Certificate of such Class will be increased by its pro rata share of the increase to such Class.

Class LT-R Interest”:  As described in the Preliminary Statement.

Class P Certificate”:  The Class P Certificate as designated on the face thereof, executed by the Trustee and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit D, evidencing the ownership of the Class P Distributable Amount.  The Class P Certificate represents an interest in the Trust Fund, but does not represent an interest in any REMIC created hereunder.

Class P Distributable Amount”:  With respect to each Distribution Date, all Prepayment Penalty Amounts in respect of Class P Mortgage Loans received by the Master Servicer for the related Prepayment Period.

“Class P Mortgage Loan”:  Any GMAC Mortgage Loan with respect to which prepayment penalties are required to be paid in accordance with the terms of the related Mortgage Note.

Class Subordination Percentage”:  With respect to each Class of Group 1 Subordinate Certificates and any Distribution Date, the percentage equivalent of a fraction the numerator of which is the Class Certificate Principal Balance of such Class immediately before such Distribution Date and the denominator of which is the aggregate of the Class Certificate Principal Balances of all Classes of Group 1 Certificates immediately before such Distribution Date.  With respect to each Class of Group 2 Subordinate Certificates and any Distribution Date, the percentage equivalent of a fraction the numerator of which is the Class Certificate Principal Balance of such Class immediately before such Distribution Date and the denominator of which is the aggregate of the Class Certificate Principal Balances of all Classes of Group 2 Certificates immediately before such Distribution Date.

Close of Business”:  As used herein, with respect to any Business Day and location, 5:00 p.m. at such location.

Closing Date”: June 30, 2005.

Code”:  The Internal Revenue Code of 1986, as amended.

COFI”:  With respect to each Accrual Period, a per annum rate determined on the COFI Determination Date by the Securities Administrator based on the monthly weighted average cost of funds for depository institutions that have home offices located in Arizona, California or Nevada and that are members of the Eleventh District of the Federal Home Loan Bank System as computed from statistics tabulated and published by the Federal Home Loan Bank of San Francisco as most recently available from the monthly Information Bulletin published monthly by the Federal Home Loan Bank of San Francisco on the COFI Determination Date.

COFI Business Day”:  Any day which banks in Arizona, California or Nevada and that are members of the Eleventh District of the Federal Home Loan Bank System are open for conducting transactions in foreign currency and exchange.

COFI Certificates”:  The Class 1-A1 and Class 1-A2 Certificates.

COFI Determination Date”:  The fifteenth COFI Business Day immediately preceding the commencement of each Accrual Period for the COFI Certificates.

COFI Net WAC Cap”:  For any Distribution Date and any Class of COFI Certificates, the Net WAC of the Group 1 Mortgage Loans.

Commission”:  U.S. Securities and Exchange Commission.

ComUnity Lending”: ComUnity Lending, Inc., and its successors and assigns, in its capacity as Originator of the ComUnity Lending Mortgage Loans.

ComUnity Lending Mortgage Loans”:  The Mortgage Loans for which ComUnity Lending is listed as “Originator” on the Mortgage Loan Schedule.

ComUnity Lending Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of April 1, 2005, between GCFP, as purchaser, and ComUnity Lending, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the ComUnity Lending Mortgage Loans.

Compensating Interest Payment”:  With respect to any Distribution Date, an amount equal to the amount, if any, by which (x) the aggregate amount of any Interest Shortfalls (excluding for such purpose all shortfalls as a result of Relief Act Reductions) required to be paid by the Servicers pursuant to the related Servicing Agreement with respect to such Distribution Date, exceeds (y) the aggregate amount actually paid by the Servicers in respect of such shortfalls; provided, that such amount, to the extent payable by the Master Servicer, shall not exceed the aggregate Master Servicing Fee that would be payable to the Master Servicer in respect of such Distribution Date without giving effect to any Compensating Interest Payment.

Cooperative Corporation”:  The entity that holds title (fee or an acceptable leasehold estate) to the real property and improvements constituting the Cooperative Property and which governs the Cooperative Property, which Cooperative Corporation must qualify as a Cooperative Housing Corporation under Section 216 of the Code.

Cooperative Loan”:  Any Mortgage Loan secured by Cooperative Shares and a Proprietary Lease.

Cooperative Loan Documents”:  As to any Cooperative Loan, (i) the Cooperative Shares, together with a stock power in blank; (ii) the original or a copy of the executed Security Agreement; (iii) the original or a copy of the executed Proprietary Lease and the original assignment of the Proprietary Lease endorsed in blank; (iv) the original executed Recognition Agreement and, if available, the original assignment of the Recognition Agreement (or a blanket assignment of all Recognition Agreements) endorsed in blank; (v) the executed UCC-1 financing statement with evidence of recording thereon, which has been filed in all places required to perfect the security interest in the Cooperative Shares and the Proprietary Lease; and (vi) executed UCC amendments (or copies thereof) or other appropriate UCC financing statements required by state law, evidencing a complete and unbroken line from the mortgagee to the Trustee with evidence of recording thereon (or in a form suitable for recordation).

Cooperative Property”:  The real property and improvements owned by the Cooperative Corporation, that includes the allocation of individual dwelling units to the holders of the Cooperative Shares of the Cooperative Corporation.

Cooperative Shares”:  Shares issued by a Cooperative Corporation.

Cooperative Unit”:  A single family dwelling located in a Cooperative Property.

Corporate Trust Office”:  With respect to the Trustee, the principal corporate trust office at which at any particular time its corporate trust business in connection with this Agreement shall be administered, which office at the date of the execution of this instrument is located at 1761 East St. Andrew Place, Santa Ana, California 92705, Attention: HarborView 2005-7 (GC05H7), or at such other address as the Trustee may designate from time to time by notice to the Certificateholders, the Depositor, the Master Servicer, the Securities Administrator and the Seller.  With respect to the Certificate Registrar and presentment of Certificates for registration of transfer, exchange or final payment, Wells Fargo Bank, N.A., 6th Street and Marquette Avenue, Minneapolis, Minnesota 55479, Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7.

Corresponding Class”:  With respect to each class of Lower-Tier Interests, the Class or Classes of Certificates so designated in the Preliminary Statement.  

Countrywide”: Countrywide Home Loans, Inc., and its successors and assigns, in its capacity as Originator of the Countrywide Mortgage Loans.

Countrywide Mortgage Loans”:  The Mortgage Loans for which Countrywide is listed as “Originator” on the Mortgage Loan Schedule.

Countrywide Purchase Agreement”:  The Master Mortgage Loan Purchase and Servicing Agreement, dated as of April 1, 2003, as amended by that certain amendment dated November 1, 2004, between GCFP, as purchaser, and Countrywide, as seller, as reconstituted by the Countrywide Reconstituted Servicing Agreement, as the same may be amended from time to time, and any assignments and conveyances related to the Countrywide Mortgage Loans.

Countrywide Reconstituted Servicing Agreement”:  The reconstituted servicing agreement dated as of June 1, 2005 among the Seller, Countrywide and Countrywide Servicing, and acknowledged by the Trustee and the Master Servicer.

Countrywide Servicing”:  Countrywide Home Loans Servicing LP, as a servicer of the Countrywide Mortgage Loans as set forth and as individually defined in the Mortgage Loan Schedule hereto and any successors thereto.

Countrywide Servicing Agreement”:  The Master Mortgage Loan Purchase and Servicing Agreement, dated as of April 1, 2003, as amended by that certain amendment dated November 1, 2004, between GCFP, as purchaser, and Countrywide, as seller, as reconstituted by the Countrywide Reconstituted Servicing Agreement, as the same may be amended from time to time, and any assignments and conveyances related to the Countrywide Mortgage Loans.

Custodian”:  Deutsche Bank National Trust Company and the Bank of New York, and in each case, its successors acting as custodian of the related Mortgage Files, as indicated on the Mortgage Loan Schedule.

Cut-Off Date”:  With respect to any Mortgage Loan other than a Qualified Substitute Mortgage Loan, the Close of Business in New York City on June 1, 2005.  With respect to any Qualified Substitute Mortgage Loan, the date designated as such on the Mortgage Loan Schedule (as amended).

Cut-Off Date Aggregate Principal Balance”: The aggregate of the Cut-Off Date Principal Balances of the Mortgage Loans in each Loan Group.

Cut-Off Date Principal Balance”:  With respect to any Mortgage Loan, the principal balance thereof remaining to be paid, after application of all scheduled principal payments due on or before the Cut-Off Date whether or not received as of the Cut-Off Date (or as of the applicable date of substitution with respect to a Qualified Substitute Mortgage Loan).

Deferred Interest”:  With respect to each Mortgage Loan and each related Due Date, will be the excess, if any, of the amount of interest accrued on such Mortgage Loan from the preceding Due Date to such due date over the portion of the Monthly Payment allocated to interest for such Due Date.

Definitive Certificates”:  Any Certificate evidenced by a Physical Certificate and any Certificate issued in lieu of a Book-Entry Certificate pursuant to Section 6.02(c) or (d) hereof.

Deleted Mortgage Loan”:  A Mortgage Loan replaced or to be replaced by one or more Qualified Substitute Mortgage Loans.

Delinquent”:  Any Mortgage Loan with respect to which the Monthly Payment due on a Due Date is not made.

Depositor”:  Greenwich Capital Acceptance, Inc., a Delaware corporation, or any successor in interest.

Depository”:  The initial Depository shall be The Depository Trust Company, whose nominee is Cede & Co., or any other organization registered as a “clearing agency” pursuant to Section 17A of the Securities Exchange Act of 1934, as amended.  The Depository shall initially be the registered Holder of the Book-Entry Certificates.  The Depository shall at all times be a “clearing corporation” as defined in Section 8-102(3) of the Uniform Commercial Code of the State of New York.

Depository Participant”:  A broker, dealer, bank or other financial institution or other person for whom from time to time a Depository effects book-entry transfers and pledges of securities deposited with the Depository.

Determination Date”:  For any Distribution Date and each Mortgage Loan, the date each month, as set forth in the related Servicing Agreement, on which the Servicer determines the amount of all funds required to be remitted to the Master Servicer on the Servicer Remittance Date with respect to the Mortgage Loans it is servicing.  

“Directly Operate”:  With respect to any REO Property, the furnishing or rendering of services to the tenants thereof, the management or operation of such REO Property, the holding of such REO Property primarily for sale to customers, the performance of any construction work thereon or any use of such REO Property in a trade or business conducted by any REMIC formed hereby other than through an Independent Contractor; provided, however, that the Trustee (or a Servicer on behalf of the Trustee) shall not be considered to Directly Operate an REO Property solely because the Trustee (or a Servicer on behalf of the Trustee) establishes rental terms, chooses tenants, enters into or renews leases, deals with taxes and insurance, or makes decisions as to repairs or capital expenditures with respect to such REO Property.

Disqualified Organization”:  A “disqualified organization” defined in Section 860E(e)(5) of the Code, or any other Person so designated by the Trustee based upon an Opinion of Counsel provided to the Trustee by nationally recognized counsel acceptable to the Trustee that the holding of an ownership interest in a Residual Certificate by such Person may cause the Trust Fund or any Person having an ownership interest in any Class of Certificates (other than such Person) to incur liability for any federal tax imposed under the Code that would not otherwise be imposed but for the transfer of an ownership interest in a Residual Certificate to such Person.

Distribution Account”:  The trust account or accounts created and maintained by the Master Servicer, on behalf of the Trustee, pursuant to Section 4.02 hereof in the name of the Trustee and for the benefit of the Securities Administrator, as Paying Agent for the Trustee, and the Certificateholders and designated “Distribution Account, Deutsche Bank National Trust Company, as Trustee, in trust for the registered Certificateholders of HarborView Mortgage Loan Trust 2005-7, Mortgage Loan Pass-Through Certificates, Series 2005-7” and which must be an Eligible Account.

Distribution Account Income”:  As to any Distribution Date, any interest or other investment income earned on funds deposited in the Distribution Account during the month of such Distribution Date.

Distribution Date”:  The 19th day of the month, or, if such day is not a Business Day, the next Business Day commencing in July 2005.

Distribution Date Statement”:  As defined in Section 5.04(a) hereof.

Due Date”:  With respect to each Mortgage Loan and any Distribution Date, the first day of the calendar month in which that Distribution Date occurs on which the Monthly Payment for such Mortgage Loan was due, exclusive of any days of grace.

Due Period”:  With respect to any Distribution Date, the period commencing on the second day of the month preceding the month in which that Distribution Date occurs and ending on the first day of the month in which that Distribution Date occurs.

Eligible Account”:  Any of

(i)

an account or accounts maintained with a federal or state chartered depository institution or trust company the short-term unsecured debt obligations of which (or, in the case of a depository institution or trust company that is the principal subsidiary of a holding company, the short-term unsecured debt obligations of such holding company) are rated in the highest short term rating category of the Rating Agency at the time any amounts are held on deposit therein;

(ii)

an account or accounts the deposits in which are fully insured by the FDIC (to the limits established by it), the uninsured deposits in which account are otherwise secured such that, as evidenced by an Opinion of Counsel delivered to the Trustee and to the Rating Agency, the Certificateholders will have a claim with respect to the funds in the account or a perfected first priority security interest against the collateral (which shall be limited to Permitted Investments) securing those funds that is superior to claims of any other depositors or creditors of the depository institution with which such account is maintained;

(iii)

a trust account or accounts maintained with the trust department of a federal or state chartered depository institution, national banking association or trust company acting in its fiduciary capacity; or

(iv)

an account otherwise acceptable to the Rating Agency without reduction or withdrawal of its then current ratings of the Certificates as evidenced by a letter from the Rating Agency to the Trustee.  Eligible Accounts may bear interest.

ERISA”:  The Employee Retirement Income Security Act of 1974, as amended.

ERISA-Restricted Certificates”:  Any Class of Certificates, other than the Class 1-A1 and Class 2-A1 Certificates and any Certificate that does not satisfy the applicable rating requirement under the Underwriter’s Exemption.

ERISA-Qualifying Underwriting”:  A best efforts or firm commitment underwriting or private placement that meets the requirements of an Underwriter’s Exemption.

Event of Default”:  Any one of the events (howsoever described) set forth in Section 7.01 hereof as an event or events upon the occurrence and continuation of which the Master Servicer may be terminated.

Expense Fee” With respect to any Mortgage Loan, the sum of (i) the Master Servicing Fee, (ii) the Servicing Fee with respect to the related Servicer, (iii) with respect to any Lender-Paid Mortgage Insurance Loan, the Lender-Paid Mortgage Insurance Fee and (iv) with respect to any Countrywide Mortgage Loan, any fees owed to the Bank of New York under the BONY Custodial Agreement.

Fannie Mae”:  The Federal National Mortgage Association or any successor thereto.

FDIC”:  The Federal Deposit Insurance Corporation or any successor thereto.

Final Recovery Determination”:  With respect to any defaulted Mortgage Loan or any REO Property (other than a Mortgage Loan or REO Property purchased by the Seller pursuant to or as contemplated by Sections 2.03 and 10.01), a determination made by the related Servicer, and reported to the Master Servicer, that all Insurance Proceeds, Liquidation Proceeds and other payments or recoveries which such Servicer expects to be finally recoverable in respect thereof have been so recovered.  

Freddie Mac”:  The Federal Home Loan Mortgage Corporation or any successor thereto.

Gateway”: Gateway Funding Diversified Mortgage Services, LP, and its successors and assigns, in its capacity as Originator of the Gateway Lending Mortgage Loans.

Gateway Mortgage Loans”:  The Mortgage Loans for which Gateway is listed as “Originator” on the Mortgage Loan Schedule.

Gateway Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of February 1, 2005, between GCFP, as purchaser, and Gateway, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the Gateway Mortgage Loans.

GCFP”:  Greenwich Capital Financial Products, Inc., and its successors and assigns.

GMAC”:  GMAC Mortgage Corporation, as servicer of the GMAC Mortgage Loans as set forth and as individually defined in the Mortgage Loan Schedule hereto and its successors and assigns.

GMAC Mortgage Loans”:  The Mortgage Loans for which GMAC is listed as “Servicer” on the Mortgage Loan Schedule.

GMAC Reconstituted Servicing Agreement”:  The reconstituted servicing agreement dated as of June 1, 2005 among the Seller and GMAC, and acknowledged by the Trustee and the Master Servicer.

GMAC Servicing Agreement”:  The Master Interim Servicing Agreement, dated as of March 26, 2003, between GCFP, as purchaser, and GMAC, as seller, as reconstituted by the GMAC Reconstituted Servicing Agreement, as the same may be amended from time to time, and any assignments and conveyances related to the GMAC Mortgage Loans.

Gross Margin”:  With respect to each Mortgage Loan, the fixed percentage set forth in the related Mortgage Note that is added to the applicable Index on each Adjustment Date in accordance with the terms of the related Mortgage Note used to determine the Loan Rate for such Mortgage Loan.

“Group 1 Adjusted Lower-Tier Pay Rate”:  For any Distribution Date (and the related Accrual Period), the product of (i) 2 multiplied by (ii) the weighted average of the interest rates on the LT1-A1, LT1-A-2, LT1-B1, LT1-B2, LT1-B3, LT1-B4, LT1-B5, LT1-B6, LT1Q, LT1Z, and LT1Y Interests, weighted on the basis of their principal balances as of the first day of the related Accrual Period and computed for this purpose by (a) first subjecting the interest rate on the LT1Q, LT1Z, and LT1Y Interests to a cap of 0.00%, and (b) first subjecting each of the LT1-A1, LT1-A-2, LT1-B1, LT1-B2, LT1-B3, LT1-B4, LT1-B5, and LT1-B6 Interests to a cap equal to the Pass-Through Rate for the Corresponding Class of Certificates multiplied by the quotient of (A) the actual number of days in the Accrual Period for the Corresponding Class of Certificates divided by (B) 30, and a floor equal to the Group 1 Adjusted Net WAC.

“Group 1 Adjusted Lower-Tier WAC”:  For any Distribution Date (and the related Accrual Period), the product of (i) 2 multiplied by (ii) the weighted average of the interest rates on the LT1-A1, LT1-A-2, LT1-B1, LT1-B2, LT1-B3, LT1-B4, LT1-B5, LT1-B6, LT1Q, LT1Z, and LT1Y Interests, weighted on the basis of their principal balances as of the first day of the related Accrual Period and computed for this purpose by (a) first subjecting the interest rate on the LT1Q, LT1Z, and LT1Y Interests to a cap of 0.00%, and (b) first subjecting each of the LT1-A1, LT1-A2, LT1-B1, LT1-B2, LT1-B3, LT1-B4, LT1-B5, and LT1-B6, Interests to a cap equal to the lesser of (I) the Pass-Through Rate for the Corresponding Class of Certificates multiplied by the quotient of (A) the actual number of days in the Accrual Period for the Corresponding Class of Certificates divided by (B) 30 and (II) the Group 1 Adjusted Net WAC.

“Group 1 Adjusted Net WAC”:  For any Distribution Date, the excess of (i) the Net WAC for Group 1 for such Distribution Date over (ii) the quotient of (a) the product of (I) the Net Deferred Interest for Group 1 for such Distribution Date multiplied by (II) 12, divided by (b) the Pool Balance for Group 1 for such Distribution Date.  For purposes of the REMIC Provisions, however, the Group 1 Adjusted Net WAC for any Distribution Date shall be the product of  (i) two multiplied by (ii) the weighted average of the interest rates on the LT1Z and LT1Y Interests immediately after such Distribution Date, computed for this purpose by subjecting the interest rate on the LT1Y Interest to a cap of 0.00%.

Group 1 Aggregate Subordinate Percentage”:  As to any Distribution Date and Loan Group 1, the percentage equivalent of a fraction the numerator of which is the aggregate of the Class Certificate Principal Balances of the Classes of Group 1 Subordinate Certificates and the denominator of which is the Pool Balance for the Group 1 Mortgage Loans for such Distribution Date.

Group 1 Basis Risk Reserve Fund”:  A fund, in trust for the Holders of the COFI Certificates, created as part of the Trust Fund pursuant to Section 5.07 of this Agreement but which is not an asset of any of the REMICs.

Group 1 Certificates”:  The Class 1-A1, Class 1-A2, Class 1-X, Class 1-PO, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4, Class 1-B5 and Class 1-B6 Certificates.


Group 1 COFI Adjusted Cap Rate”:  For any Distribution Date any Class of COFI Certificates, the COFI Net WAC Cap for that Distribution Date, computed for this purpose by first reducing the Net WAC of the Group 1 Mortgage Loans by a per annum rate equal to the quotient of (i) the product of (a) the Net Deferred Interest, if any, on the Group 1 Mortgage Loans for that Distribution Date and (b) 12, divided by (ii) the aggregate Stated Principal Balance of the Group 1 Mortgage Loans as of the first day of the month before such Distribution Date (or, in the case of the first Distribution Date, as of the Cut-Off Date).


Group 1 Mortgage Loan”:  A Mortgage Loan that is identified as such on the Mortgage Loan Schedule.

Group 1 Original Subordinated Principal Balance”:  The aggregate of the Original Class Certificate Principal Balances of the Classes of Group 1 Subordinate Certificates.

Group 1 Subordinate Certificates”:  The Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4, Class 1-B5 and Class 1-B6 Certificates.

Group 1 Subordinate Principal Distribution Amount”:  With respect to Loan Group 1 and any Distribution Date, an amount equal to the sum of the following:

(1)

 the related Subordinate Percentage of all amounts described in clauses (a) through (d) of the definition of “Principal Distribution Amount” for Loan Group 1 and Distribution Date;

(2)

with respect to each Mortgage Loan in Loan Group 1 that became a Liquidated Mortgage Loan during the related Prepayment Period, the amount of the Net Liquidation Proceeds allocated to principal received with respect thereto remaining after application thereof pursuant to clause (2) of the definition of “Senior Principal Distribution Amount” for Loan Group 1 and Distribution Date, up to the related Subordinate Percentage of the Stated Principal Balance of the Group 1 Mortgage Loan; and

(3)

the related Subordinated Prepayment Percentage of all amounts described in clause (f) of the definition of “Principal Distribution Amount” for Loan Group 1 on such Distribution Date.

Group 2 Adjusted Lower-Tier Pay Rate”: For any Distribution Date (and the related Accrual Period), the product of (i) 2 multiplied by (ii) the weighted average of the interest rates on the LT2-A1, LT2-A-2, LT2-B1, LT2-B2, LT2-B3, LT2-B4, LT2-B5, LT2-B6, LT2Q, LT2Z, and LT2Y Interests, weighted on the basis of their principal balances as of the first day of the related Accrual Period and computed for this purpose by (a) first subjecting the interest rate on the LT2Q, LT2Z, and LT2Y Interests to a cap of 0.00%, and (b) first subjecting each of the LT2-A1, LT2-A2, LT2-B1, LT2-B2, LT2-B3, LT2-B4, LT2-B5, and LT2-B6, Interests to a cap equal to the Pass-Through Rate for the Corresponding Class of Certificates multiplied by the quotient of (A) the actual number of days in the Accrual Period for the Corresponding Class of Certificates divided by (B) 30, and a floor equal to the Group 2 Adjusted Net WAC.

“Group 2 Adjusted Lower-Tier WAC”:  For any Distribution Date (and the related Accrual Period), the product of (i) 2 multiplied by (ii) the weighted average of the interest rates on the LT2-A1, LT2-A-2, LT2-B1, LT2-B2, LT2-B3, LT2-B4, LT2-B5, LT2-B6, LT2Q, LT2Z, and LT2Y Interests, weighted on the basis of their principal balances as of the first day of the related Accrual Period and computed for this purpose by (a) first subjecting the interest rate on the LT2Q, LT2Z, and LT2Y Interests to a cap of 0.00%, and (b) first subjecting each of the LT2-A1, LT2-A2, LT2-B1, LT2-B2, LT2-B3, LT2-B4, LT2-B5, and LT2-B6, Interests to a cap equal to the lesser of (I) the Pass-Through Rate for the Corresponding Class of Certificates multiplied by the quotient of (A) the actual number of days in the Accrual Period for the Corresponding Class of Certificates divided by (B) 30 and (II) the Group 2 Adjusted Net WAC.

“Group 2 Adjusted Net WAC”:  For any Distribution Date, the excess of (i) the Net WAC for Group 2 for such Distribution Date over (ii) the quotient of (a) the product of (I) the Net Deferred Interest for Group 2 for such Distribution Date multiplied by (II) 12, divided by (b) the Pool Balance for Group 2 for such Distribution Date.  For purposes of the REMIC Provisions, however, the Group 2 Adjusted Net WAC for any Distribution Date shall be, the product of  (i) two multiplied by (ii) the weighted average of the interest rates on the LT2Z and LT2Y Interests immediately after such Distribution Date, computed for this purpose by subjecting the interest rate on the LT2Y Interest to a cap of 0.00%.


Group 2 Aggregate Subordinate Percentage”:  As to any Distribution Date and Loan Group 2, the percentage equivalent of a fraction the numerator of which is the aggregate of the Class Certificate Principal Balances of the Classes of Group 2 Subordinate Certificates and the denominator of which is the Pool Balance for the Group 2 Mortgage Loans for such Distribution Date.

Group 2 Basis Risk Reserve Fund”:  A fund, in trust for the Holders of the LIBOR Certificates, created as part of the Trust Fund pursuant to Section 5.07 of this Agreement but which is not an asset of any of the REMICs.

Group 2 Certificates”:  The Class 2-A1, Class 2-A2A, Class 2-A2B, Class 2-X, Class 2-PO, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates.

“Group 2 LIBOR Adjusted Cap Rate”:  For any Distribution Date and any Class of LIBOR Certificates, the LIBOR Net WAC Cap for that Distribution Date, computed for this purpose by first reducing the Net WAC of the Group 2 Mortgage Loans by a per annum rate equal to the quotient of (i) the product of (a) the Net Deferred Interest, if any, on the Group 2 Mortgage Loans for the Distribution Date multiplied by (b) 12, and (ii) the aggregate Stated Principal Balance of the Group 2 Mortgage Loans as of the first day of the month before such Distribution Date (or in the case of the first Distribution Date, as of the Cut-Off Date).

Group 2 Mortgage Loan”:  A Mortgage Loan that is identified as such on the Mortgage Loan Schedule.

Group 2 Original Subordinated Principal Balance”:  The aggregate of the Original Class Certificate Principal Balances of the Classes of Group 2 Subordinate Certificates.

Group 2 Subordinate Certificates”:  The Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates.

Group 2 Subordinate Principal Distribution Amount”:  With respect to Loan Group 2 and any Distribution Date, an amount equal to the sum of the following:

(1)

the related Subordinate Percentage of all amounts described in clauses (a) through (d) of the definition of “Principal Distribution Amount” for Loan Group 2 and Distribution Date;

(2)

with respect to each Mortgage Loan in Loan Group 2 that became a Liquidated Mortgage Loan during the related Prepayment Period, the amount of the Net Liquidation Proceeds allocated to principal received with respect thereto remaining after application thereof pursuant to clause (2) of the definition of “Senior Principal Distribution Amount” for Loan Group 2 and Distribution Date, up to the related Subordinate Percentage of the Stated Principal Balance of the Group 2 Mortgage Loan; and

(3)

the related Subordinated Prepayment Percentage of all amounts described in clause (f) of the definition of “Principal Distribution Amount” for Loan Group 2 on such Distribution Date.

Indemnified Persons”:  The Trustee, the Master Servicer, the Depositor, the Securities Administrator and the Custodians and their officers, directors, agents and employees and, with respect to the Trustee, any separate co-trustee and its officers, directors, agents and employees.

Independent”:  When used with respect to any specified Person, any such Person who (a) is in fact independent of the Depositor and its Affiliates, (b) does not have any direct financial interest in or any material indirect financial interest in the Depositor or any Affiliate thereof, and (c) is not connected with the Depositor or any Affiliate thereof as an officer, employee, promoter, underwriter, trustee, partner, director or Person performing similar functions; provided, however, that a Person shall not fail to be Independent of the Depositor or any Affiliate thereof merely because such Person is the beneficial owner of 1% or less of any class of securities issued by the Depositor or any Affiliate thereof.

“Independent Contractor”:  Either (i) any Person (other than the Master Servicer) that would be an “independent contractor” with respect to any REMIC formed hereby within the meaning of Section 856(d)(3) of the Code if such REMIC were a real estate investment trust (except that the ownership tests set forth in that section shall be considered to be met by any Person that owns, directly or indirectly, 35% or more of any Class of Certificates), so long as no REMIC formed hereby receives or derives any income from such Person and provided that the relationship between such Person and the applicable REMIC is at arm’s length, all within the meaning of Treasury Regulation Section 1.856-4(b)(5), or (ii) any other Person (including the Master Servicer) if the Trustee has received an Opinion of Counsel to the effect that the taking of any action in respect of any REO Property by such Person, subject to any conditions therein specified, that is otherwise herein contemplated to be taken by an Independent Contractor will not cause such REO Property to cease to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code (determined without regard to the exception applicable for purposes of Section 860D(a) of the Code), or cause any income realized in respect of such REO Property to fail to qualify as Rents from Real Property.

Index”:  With respect to each Mortgage Loan and each Adjustment Date, the index specified in the related Mortgage Note.

Initial Certificate Principal Balance”:  With respect to any Certificate other than the Class P, Class A-R-II, Class 1-X and Class 2-X Certificates, the amount designated “Initial Certificate Principal Balance” on the face thereof.

Initial Certificate Notional Balance”:  With respect to the Class 1-X and Class 2-X Certificates, the amount designated “Initial Certificate Notional Balance” on the face thereof.

Insurance Proceeds”:  With respect to any Mortgage Loan, proceeds of any title policy, hazard policy or other insurance policy covering a Mortgage Loan, to the extent such proceeds are not to be applied to the restoration of the related Mortgaged Property or released to the related Mortgagor in accordance with the related Servicing Agreement.

Interest Distributable Amount”:  With respect to any Distribution Date and each Class of Certificates (other than the Class 1-PO and Class 2-PO Certificates), the sum of (i) the Monthly Interest Distributable Amount for that Class and (ii) the Unpaid Interest Shortfall Amount for that Class.

Interest Shortfall”:  With respect to any Distribution Date and each Mortgage Loan that during the related Prepayment Period was the subject of a Principal Prepayment or a reduction of its Monthly Payment under the Relief Act, an amount determined as follows:

(a)

Principal Prepayments in part received during the relevant Prepayment Period:  the difference between (i) one month’s interest at the applicable Net Loan Rate on the amount of such prepayment and (ii) the amount of interest for the calendar month of such prepayment (adjusted to the applicable Net Loan Rate) actually received with respect to such prepayment at the time of such prepayment; and

(b)

Principal Prepayments in full received during the relevant Prepayment Period:  the difference between (i) one month’s interest at the applicable Net Loan Rate on the Stated Principal Balance of such Mortgage Loan immediately prior to such prepayment and (ii) the amount of interest for the calendar month of such prepayment (adjusted to the applicable Net Loan Rate) actually received with respect to such prepayment at the time of such prepayment; and

(c)

the amount of any Relief Act Reductions for such Distribution Date.

Latest Possible Maturity Date”:  As determined as of the Cut-Off Date, the Distribution Date following the third anniversary of the scheduled maturity date of the Mortgage Loan having the latest scheduled maturity date as of the Cut-Off Date.

Lender-Paid Mortgage Insurance Loan”:  Each Mortgage Loan identified as such in the Mortgage Loan Schedule.

Lender-Paid Mortgage Insurance Fee”:  As to any Distribution Date and each Lender Paid Mortgage Insurance Mortgage Loan, an amount equal to the product of the Lender-Paid Mortgage Insurance Fee Rate and the outstanding Principal Balance of such Mortgage Loan as of the first day of the related Due Period.  

Lender-Paid Mortgage Insurance Fee Rate”:  For each Lender-Paid Mortgage Insurance Loan and any Distribution Date, the per annum rate required to be paid in connection with the related lender-paid mortgage insurance policy for such Mortgage Loan on such Distribution Date.

“LIBOR”:  With respect to each Accrual Period, a per annum rate determined on the LIBOR Determination Date in the following manner by the Securities Administrator on the basis of the “Interest Settlement Rate” set by the BBA for one-month United States dollar deposits, as such rates appear on the Telerate Page 3750, as of 11:00 a.m. (London time) on the related LIBOR Determination Date.

(a)

If on such a LIBOR Determination Date, the BBA’s Interest Settlement Rate does not appear on the Telerate Page 3750 as of 11:00 a.m. (London time), or if the Telerate Page 3750 is not available on such date, the Securities Administrator will obtain such rate from Reuters’ “page LIBOR 01” or Bloomberg’s page “BBAM.”  If such rate is not published for such LIBOR Determination Date, LIBOR for such date will be the most recently published Interest Settlement Rate.  In the event that the BBA no longer sets an Interest Settlement Rate, the Securities Administrator will designate an alternative index that has performed, or that the Securities Administrator expects to perform, in a manner substantially similar to the BBA’s Interest Settlement Rate.  The Securities Administrator will have no liability for the selection of such alternative index (and shall be entitled to rely on such advice, if any, as it may deem appropriate in such selection), except that the Securities Administrator will select a particular index as the alternative index only if it receives an Opinion of Counsel, which opinion shall be an expense reimbursed from the Distribution Account, that the selection of such index will not cause any REMIC created hereunder to lose its classification as a REMIC for federal income tax purposes.

(b)

The establishment of LIBOR by the Securities Administrator and the Securities Administrator’s subsequent calculation of the Pass-Through Rate applicable to the LIBOR Certificates for the relevant Accrual Period, in the absence of manifest error, will be final and binding.

LIBOR Business Day”:  Any day on which banks in London, England and The City of New York are open and conducting transactions in foreign currency and exchange.

LIBOR Certificates”:  The Class 2-A1, Class 2-A2A, Class 2-A2B, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates.

LIBOR Determination Date”:  The second LIBOR Business Day immediately preceding the commencement of each Accrual Period for the LIBOR Certificates.

LIBOR Net WAC Cap”:  For any Distribution Date and any Class of LIBOR Certificates the product of (i) the Net WAC for the Group 2 Mortgage Loans and (ii) a fraction, the numerator of which is 30 and the denominator of which is the actual number of days in the related Accrual Period for such Certificates.

Liquidated Mortgage Loan”:  As to any Distribution Date, any Mortgage Loan in respect of which the related Servicer has determined, in accordance with the servicing procedures specified herein, as of the end of the related Prepayment Period, that all Liquidation Proceeds that it expects to recover with respect to the liquidation of such Mortgage Loan or disposition of the related REO Property have been recovered.

Liquidation Event”:  With respect to any Mortgage Loan, any of the following events: (i) such Mortgage Loan is paid in full; (ii) a Final Recovery Determination is made as to such Mortgage Loan; or (iii) such Mortgage Loan is removed from the Trust Fund by reason of its being purchased, sold or replaced pursuant to or as contemplated hereunder.  With respect to any REO Property, either of the following events: (i) a Final Recovery Determination is made as to such REO Property; or (ii) such REO Property is removed from the Trust Fund by reason of its being sold or purchased pursuant to Section 10.01 hereof or the applicable provisions of the related Servicing Agreement.

Liquidation Expenses”:  With respect to a Mortgage Loan in liquidation, unreimbursed expenses paid or incurred by or for the account of the Master Servicer or the related Servicer such expenses including (a) property protection expenses, (b) property sales expenses, (c) foreclosure and sale costs, including court costs and reasonable attorneys’ fees, and (d) similar expenses reasonably paid or incurred in connection with liquidation.

Liquidation Proceeds”:  With respect to any Mortgage Loan, the amount (other than amounts received in respect of the rental of any REO Property prior to REO Disposition) received by the related Servicer as proceeds from the liquidation of such Mortgage Loan, as determined in accordance with the applicable provisions of the related Servicing Agreement, other than Recoveries; provided that with respect to any Mortgage Loan or REO Property repurchased, substituted or sold pursuant to or as contemplated hereunder, or pursuant to the applicable provisions of the related Servicing Agreement, “Liquidation Proceeds” shall also include amounts realized in connection with such repurchase, substitution or sale.

Loan Group”:  Any of Loan Group 1 or Loan Group 2, as the context requires.

Loan Group Balance”:  As to each Loan Group, the aggregate of the Stated Principal Balances of the Mortgage Loans in such Loan Group that were Outstanding Mortgage Loans at the time of determination.

Loan Group 1”:  At any time, the Group 1 Mortgage Loans in the aggregate and any REO Properties acquired in respect thereof.

Loan Group 2”:  At any time, the Group 2 Mortgage Loans in the aggregate and any REO Properties acquired in respect thereof.

Loan Rate”:  With respect to each Mortgage Loan, the annual rate at which interest accrues on such Mortgage Loan from time to time in accordance with the provisions of the related Mortgage Note.

Loan-to-Value Ratio”:  With respect to each Mortgage Loan and any date of determination, a fraction, expressed as a percentage, the numerator of which is the Principal Balance of the Mortgage Loan at such date of determination and the denominator of which is the Value of the related Mortgaged Property.

Lost Note Affidavit”:  With respect to any Mortgage Loan as to which the original Mortgage Note has been permanently lost or destroyed and has not been replaced, an affidavit from the Seller certifying that the original Mortgage Note has been lost, misplaced or destroyed (together with a copy of the related Mortgage Note and indemnifying the Trust against any loss, cost or liability resulting from the failure to deliver the original Mortgage Note) in the form of Exhibit H hereto.

Lower-Tier Interest”:  Any one of the interests in the Lower-Tier REMIC, as described in the Preliminary Statement.

Lower-Tier REMIC”: As described in the Preliminary Statement.

“LT1Y Target Balance”:  For any Distribution Date, the excess, if any, of (i) the quotient of (a) the product of (I) the principal balance of the LT1Z Interest immediately preceding such Distribution Date multiplied by (II) the Net WAC for such Distribution Date multiplied by (III) two, divided by (b) the Adjusted Net WAC for such Distribution Date, over (ii) the principal balance of the LT1Z Interest immediately preceding such Distribution Date.


“LT1Z Target Balance”:  For any Distribution Date, the excess, if any, of (i) the quotient of (a) the principal balance of the LT1Y Interest immediately preceding such Distribution Date divided by (b) the difference between (I) 100% minus (II) the quotient of (A) the Adjusted Net WAC for such Distribution Date divided by (B) the product of (1) two multiplied by (2) the Net WAC for such Distribution Date, over (ii) the principal balance of the LT1Y Interest immediately preceding such Distribution Date.


“LT2Y Target Balance”:  For any Distribution Date, the excess, if any, of (i) the quotient of (a) the product of (I) the principal balance of the LT2Z Interest immediately preceding such Distribution Date multiplied by (II) the Net WAC for such Distribution Date multiplied by (III) two, divided by (b) the Adjusted Net WAC for such Distribution Date, over (ii) the principal balance of the LT2Z Interest immediately preceding such Distribution Date.


“LT2Z Target Balance”:  For any Distribution Date, the excess, if any, of (i) the quotient of (a) the principal balance of the LT2Y Interest immediately preceding such Distribution Date divided by (b) the difference between (I) 100% minus (II) the quotient of (A) the Adjusted Net WAC for such Distribution Date divided by (B) the product of (1) two multiplied by (2) the Net WAC for such Distribution Date, over (ii) the principal balance of the LT2Y Interest immediately preceding such Distribution Date.


Lydian”: Lydian Private Bank, and its successors and assigns, in its capacity as Originator of the Lydian Mortgage Loans.

Lydian Mortgage Loans”:  The Mortgage Loans for which Lydian is listed as “Originator” on the Mortgage Loan Schedule.

Lydian Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of August 1, 2004, between GCFP, as purchaser, and Lydian, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the Lydian Mortgage Loans.

Majority Certificateholders”:  The Holders of Certificates evidencing at least 51% of the Voting Rights.


Margin”:  On each Distribution Date, (i) with respect to the Class 1-A1 Certificates, 1.850% per annum and (ii) with respect to the Class 1-A2 Certificates, 2.000% per annum.  On each Distribution Date on or prior to the Call Option Date, (i) with respect to the Class 2-A1 Certificates, 0.290% per annum, and on each Distribution Date after the Call Option Date, 0.580% per annum, (ii) with respect to the Class 2-A2A Certificates, 0.300% per annum, and on each Distribution Date after the Call Option Date, 0.600% per annum, (iii) with respect to the Class 2-A2B Certificates, 0.480% per annum, and on each Distribution Date after the Call Option Date, 0.960% per annum, (iv) with respect to the Class 2-B1 Certificates, 0.500% per annum, and on each Distribution Date after the Call Option Date, 0.750% per annum, (v) with respect to the Class 2-B2 Certificates, 0.70% per annum, and on each Distribution Date after the Call Option Date, 1.050% per annum, (vi) with respect to the Class 2-B3 Certificates, 1.100% per annum, and on each Distribution Date after the Call Option Date, 1.650% per annum and (vii) with respect to the Class 2-B4, Class 2-B5 and Class 2-B6 Certificates, 1.750% per annum, and on each Distribution Date after the Call Option Date, 2.625% per annum.

Master Servicer”:  Wells Fargo Bank, N.A., or any successor Master Servicer appointed as herein provided.

“Master Servicing Fee”:  As to any Distribution Date and each related Mortgage Loan, an amount equal to the product of the applicable Master Servicing Fee Rate and the outstanding Principal Balance of such Mortgage Loan as of the first day of the related Due Period.  The Master Servicing Fee for any Mortgage Loan shall be payable in respect of any Distribution Date solely from the interest portion of the Monthly Payment or other payment or recovery with respect to such Mortgage Loan.

“Master Servicing Fee Rate”:  0.0190% per annum.

Maximum Loan Rate”:  With respect to each Mortgage Loan, the percentage set forth in the related Mortgage Note as the maximum Loan Rate thereunder.

MERS”:  Mortgage Electronic Registration Systems, Inc., a corporation organized and existing under the laws of the State of Delaware, or any successor thereto.

MERS Mortgage Loan”:  Any Mortgage Loan registered with MERS on the MERS System.

MERS® System”:  The system of recording transfers of mortgages electronically maintained by MERS.

Metrocities”: Metrocities Mortgage LLC, and its successors and assigns, in its capacity as Originator of the Metrocities Mortgage Loans.

Metrocities Mortgage Loans”:  The Mortgage Loans for which Metrocities is listed as “Originator” on the Mortgage Loan Schedule.

Metrocities Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of February 1, 2004, between GCFP, as purchaser, and Metrocities, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the Metrocities Mortgage Loans.

MIN”:  The Mortgage Identification Number for any MERS Mortgage Loan.

MOM Loan”:  Any Mortgage Loan as to which MERS is acting as mortgagee, solely as nominee for the originator of such Mortgage Loan and its successors and assigns.

Monthly Interest Distributable Amount”:  With respect to each Class of Certificates (other than the Class P, Class A-R-II, Class 1-PO and 2-PO Certificates) and any Distribution Date, the amount of interest accrued during the related Accrual Period at the lesser of the related Adjusted Cap Rate and the related Pass-Through Rate on the Class Certificate Principal Balance or Class Certificate Notional Balance, as applicable, immediately prior to that Distribution Date; provided, however, that for purposes of compliance with the REMIC Provisions, (A) the Monthly Interest Distributable Amount for each Class of Subordinate Certificates shall be calculated by reducing the related Pass-Through Rate by a per annum rate equal to (i) 12 times the Subordinate Class Expense Share for such Class divided by (ii) the Class Certificate Principal Balance of such Class as of the beginning of the related Accrual Period and (B) such Class shall be deemed to bear interest at such Pass-Through Rate as so reduced for federal income tax purposes.

Monthly Payment”:  With respect to any Mortgage Loan, the scheduled monthly payment of principal and interest on such Mortgage Loan that is payable by the related Mortgagor from time to time under the related Mortgage Note, determined, for the purposes of this Agreement: (a) after giving effect to any reduction in the amount of interest collectible from the related Mortgagor pursuant to the Relief Act; (b) without giving effect to any extension granted or agreed to by the related Servicer pursuant to the applicable provisions of the related Servicing Agreement; and (c) on the assumption that all other amounts, if any, due under such Mortgage Loan are paid when due.

Moody’s”:  Moody’s Investors Service, Inc. and its successors.

Mortgage”:  The mortgage, deed of trust or other instrument creating a first lien on, or first priority security interest in, a Mortgaged Property securing a Mortgage Note.

Mortgage File”:  The mortgage documents listed in Section 2.01 hereof pertaining to a particular Mortgage Loan and any additional documents required to be added to the Mortgage File pursuant to this Agreement.

Mortgage Loan”:  Each mortgage loan (including Cooperative Loans) transferred and assigned to the Trustee pursuant to Section 2.01 or Section 2.03(d) hereof as from time to time held as a part of the Trust Fund, the Mortgage Loans so held being identified in the Mortgage Loan Schedule.

Mortgage Loan Purchase Agreement”:  The Mortgage Loan Purchase Agreement between the Seller and the Depositor, dated as of June 1, 2005, regarding the transfer of the Mortgage Loans by the Seller to or at the direction of the Depositor.

Mortgage Loan Schedule”:  As of any date, the list of Mortgage Loans included in the Trust Fund on such date, attached hereto as Schedule I.  The Mortgage Loan Schedule shall be prepared by the Seller and shall set forth the following information with respect to each Mortgage Loan:

(i)

the Mortgage Loan identifying number;

(ii)

the Mortgagor’s name;

(iii)

the street address of the Mortgaged Property including the state and five-digit ZIP code;

(iv)

a code indicating whether the Mortgaged Property was represented by the borrower, at the time of origination, as being owner-occupied;

(v)

a code indicating whether the Residential Dwelling constituting the Mortgaged Property is (a) a detached single family dwelling, (b) a dwelling in a planned unit development, (c) a condominium unit, (d) a two- to four-unit residential property, (e) a townhouse or (f) other type of Residential Dwelling;

(vi)

if the related Mortgage Note permits the borrower to make Monthly Payments of interest only for a specified period of time, (a) the original number of such specified Monthly Payments and (b) the remaining number of such Monthly Payments as of the Cut-Off Date;

(vii)

the original months to maturity;

(viii)

the stated remaining months to maturity from the Cut-Off Date based on the original amortization schedule;

(ix)

the Loan-to-Value Ratio at origination;

(x)

the Loan Rate in effect immediately following the Cut-Off Date;

(xi)

the date on which the first Monthly Payment is or was due on the Mortgage Loan;

(xii)

the stated maturity date;

(xiii)

the Servicing Fee Rate, if any;

(xiv)

the last Due Date on which a Monthly Payment was actually applied to the unpaid Stated Principal Balance;

(xv)

the original principal balance of the Mortgage Loan;

(xvi)

the Stated Principal Balance of the Mortgage Loan on the Cut-Off Date and  a code indicating the purpose of the Mortgage Loan (i.e., purchase financing, rate/term refinancing, cash-out refinancing);

(xvii)

the Index and Gross Margin specified in related Mortgage Note;

(xviii)

the next Adjustment Date, if applicable;

(xix)

the Maximum Loan Rate, if applicable;

(xx)

the Value of the Mortgaged Property;

(xxi)

the sale price of the Mortgaged Property, if applicable;

(xxii)

the product code;

(xxiii)

whether the Mortgage Loan is a Lender-Paid Mortgage Insurance Loan;

(xxiv)

the Servicer that is servicing each Mortgage Loan and the Originator of each Mortgage Loan;

(xxv)

the respective Loan Group;

(xxvi)

the Custodian’s name; and

(xxvii)

whether the Mortgage Loan is a Class P Mortgage Loan.

Information set forth in clauses (ii) and (iii) above regarding each Mortgagor and the related Mortgaged Property shall be confidential and the Trustee (or the Master Servicer) shall not disclose such information; provided that, notwithstanding anything herein to the contrary, the foregoing shall not be construed to prohibit (i) disclosure of any and all information that is or becomes publicly known, or information obtained by Trustee from sources other than the other parties hereto, (ii) disclosure of any and all information (A) if required to do so by any applicable, law, rule or regulation, (B) to any government agency or regulatory body having or claiming authority to regulate or oversee any respects of Trustee’s business or that of its affiliates, (C) pursuant to any subpoena, civil investigative demand or similar demand or request of any court, regulatory authority, arbitrator or arbitration to which Trustee or any affiliate or an officer, director, employer or shareholder thereof is a party or (D) to any affiliate, independent or internal auditor, agent, employee or attorney of Trustee having a need to know the same, provided that Trustee advises such recipient of the confidential nature of the information being disclosed, or (iii) any other disclosure authorized by the Depositor or Master Servicer.

The Mortgage Loan Schedule, as in effect from time to time, shall also set forth the following information with respect to the Mortgage Loans in the aggregate and by Loan Group as of the Cut-Off Date: (1) the number of Mortgage Loans; (2) the current Principal Balance of the Mortgage Loans; (3) the weighted average Loan Rate of the Mortgage Loans; and (4) the weighted average remaining months to maturity of the Mortgage Loans.  The Mortgage Loan Schedule shall be amended from time to time by the Seller in accordance with the provisions of this Agreement.

Mortgage Note”:  The original executed note or other evidence of indebtedness evidencing the indebtedness of a Mortgagor under a Mortgage Loan.

Mortgaged Property”:  Either of (x) the fee simple or leasehold interest in real property, together with improvements thereto including any exterior improvements to be completed within 120 days of disbursement of the related Mortgage Loan proceeds, or (y) in the case of a Cooperative Loan, the related Cooperative Shares and Proprietary Lease, securing the indebtedness of the Mortgagor under the related Mortgage Loan.

Mortgagor”:  The obligor on a Mortgage Note.

Net Deferred Interest”:  With respect to each Loan Group and any Distribution Date, the greater of (i) the excess, if any, of the Deferred Interest for the related Due Date over the aggregate amount of any principal prepayments in part or in full received during the related Prepayment Period and (ii) zero.

Net Interest Shortfall”:  With respect to any Distribution Date, the excess of Interest Shortfalls, if any, for such Distribution Date over the sum of (i) Interest Shortfalls paid by the Servicers under the related Servicing Agreements and (ii) Compensating Interest Payments made with respect to such Distribution Date.

Net Liquidation Proceeds”:  With respect to any Liquidated Mortgage Loan or any other disposition of related Mortgaged Property (including REO Property) the related Liquidation Proceeds net of Advances, related Servicing Advances, the Master Servicing Fee, the related Servicing Fees and any other accrued and unpaid fees received and retained in connection with the liquidation of such Mortgage Loan or Mortgaged Property.

Net Loan Rate”:  With respect to any Mortgage Loan (or the related REO Property), as of any date of determination, a per annum rate of interest equal to the then applicable Loan Rate for such Mortgage Loan minus the related Servicing Fee Rate, the Master Servicing Fee Rate and, if applicable, the Lender Paid Mortgage Insurance Rate.

Net Maximum Loan Rate”:  With respect to any Mortgage Loan (or the related REO Property), as of any date of determination, a per annum rate of interest equal to the then applicable Maximum Loan Rate for such Mortgage Loan minus the related Servicing Fee Rate.

Net Maximum Rate Cap”:  For any Distribution Date and the Class 1-A1 and Class 1-A2 Certificates, the weighted average of the Net Maximum Loan Rates of the Group 1 Mortgage Loans as of the first day of the related Due Period (or, in the case of the first Distribution Date, as of the Cut-Off Date), weighted on the basis of their related Stated Principal Balances as of the first day of the related Due Period.

For any Distribution Date and the Group 2 Subordinate Certificates, the product of (i) the weighted average of the Net Maximum Loan Rates of the Group 2 Mortgage Loans as of the first day of the related Due Period (or, in the case of the first Distribution Date, as of the Cut-Off Date), weighted on the basis of their related Stated Principal Balances as of the first day of the related Due Period and (ii) a fraction, the numerator of which is 30 and the denominator of which is the actual number of days in the related Accrual Period for such Certificates.

Net Realized Losses”:  For any Class of Certificates and any Distribution Date, the excess of (i) the amount of Realized Losses previously allocated to that Class over (ii) the amount of any increases to the Class Certificate Principal Balance of that Class pursuant to Section 5.08 due to Recoveries.

Net WAC”:  With respect to any Distribution Date and each Loan Group, the weighted average of the Net Loan Rates of the Mortgage Loans related to such Loan Group as of the first day of the related Due Period (or, in the case of the first Distribution Date, as of the Cut-Off Date), weighted on the basis of the related Stated Principal Balances at the beginning of the related Due Period.

Nonrecoverable”:  A determination by the Master Servicer or the related Servicer in respect of a delinquent Mortgage Loan that if it were to make an Advance or an advance of a delinquent Monthly Payment, respectively, in respect thereof, such amount would not be recoverable from any collections or other recoveries (including Liquidation Proceeds) on such Mortgage Loan.

Officers’ Certificate”:  A certificate signed by the Chairman of the Board, the Vice Chairman of the Board, the President or a vice president (however denominated), or by the Treasurer, the Secretary, or one of the assistant treasurers or assistant secretaries of the Seller, the Master Servicer or the Depositor, as applicable.

One-Month LIBOR”:  The average of interbank offered rates for one month U.S. dollar deposits in the London market based on quotations of major banks.

One-Month LIBOR Indexed”: Indicates a Mortgage Loan that has an adjustable Loan Rate calculated on the basis of the One-Month LIBOR index.

Opinion of Counsel”:  A written opinion of counsel, who may, without limitation, be a salaried counsel for the Depositor, the Seller, the Master Servicer or the Securities Administrator, acceptable to the Trustee, except that any opinion of counsel relating to (a) the qualification of any REMIC created hereunder as a REMIC or (b) compliance with the REMIC Provisions must be an opinion of Independent counsel.

Original Applicable Credit Support Percentage”:  With respect to each Class of Subordinate Certificates, the corresponding percentage set forth below opposite its Class designation:

Class 1-B1

8.35%

Class 1-B2

5.90%

Class 1-B3

3.95%

Class 1-B4

2.50%

Class 1-B5

1.05%

Class 1-B6

0.45%

Class 2-B1

8.10%

Class 2-B2

5.70%

Class 2-B3

3.80%

Class 2-B4

2.40%

Class 2-B5

1.15%

Class 2-B6

0.50%


Original Certificate Notional Balance”:  With respect to the Class 1-X Certificates, $261,441,100.  With respect to the Class 2-X Certificates, $501,026,671.

Original Class Certificate Notional Balance”:  With respect to each of the Class 1-X and Class 2-X Certificates, the corresponding aggregate notional amount set forth opposite the Class designation of such Class in the Preliminary Statement.

Original Class Certificate Principal Balance”:  With respect to each Class of Certificates, other than the Class 1-X, Class 2-X, Class P and Class A-R-II Certificates, the corresponding aggregate amount set forth opposite the Class designation of such Class in the Preliminary Statement.

Originator”:  Each of ComUnity Lending, Countrywide, Gateway, Lydian, Metrocities, Paul Financial, Plaza, PMC and Sierra Pacific, as applicable.

OTS”:  The Office of Thrift Supervision.

Outstanding Mortgage Loan”:  As of any Due Date, a Mortgage Loan with a Stated Principal Balance greater than zero, that was not the subject of a prepayment in full prior to such Due Date and that did not become a Liquidated Mortgage Loan prior to such Due Date.

Ownership Interest”:  As to any Certificate, any ownership or security interest in such Certificate, including any interest in such Certificate as the Holder thereof and any other interest therein, whether direct or indirect, legal or beneficial, as owner or as pledgee.

Pass-Through Rate”:  With respect to each Class of Certificates (other than the Class 1-PO, 2-PO and Class A-R-II Certificates) and any Distribution Date, the rate set forth below:

(i)

The Pass-Through Rate for the Class 1-A1 Certificates shall be equal to the least of (a) COFI plus the applicable Margin, (b) the COFI Net WAC Cap for that Distribution Date and (c) the related Net Maximum Rate Cap for that Distribution Date;

(ii)

The Pass-Through Rate for the Class 1-A2 Certificates shall be equal to the least of (a) COFI plus the applicable Margin, (b) the COFI Net WAC Cap for that Distribution Date and (c) the related Net Maximum Rate Cap for that Distribution Date;

(iii)

The Pass-Through Rate for the Class A-R Certificates shall be equal to the Net WAC of the Group 1 Mortgage Loans for that Distribution Date;

(iv)

The Pass-Through Rate for the Class 2-A1 Certificates shall be equal to the least of (a) LIBOR plus the applicable Margin, (b) the LIBOR Net WAC Cap for that Distribution Date and (c) 11.00% per annum;

(v)

The Pass-Through Rate for the Class 2-A2A Certificates shall be equal to the least of (a) LIBOR plus the applicable Margin, (b) the LIBOR Net WAC Cap for that Distribution Date and (c) 11.00% per annum;

(vi)

The Pass-Through Rate for the Class 2-A2B Certificates shall be equal to the least of (a) LIBOR plus the applicable Margin, (b) the LIBOR Net WAC Cap for that Distribution Date and (c) 11.00% per annum;

(vii)

The Pass-Through Rate for the Class 1-X Certificates on any Distribution Date shall be equal to the excess, if any, of (a) the Net WAC of the Group 1 Mortgage Loans over (b) the weighted average of the Pass-Through Rates on the Class 1-A1, Class 1-A2 and Class 1-PO Certificates weighted on the basis of the Class Principal Balances on the Certificates prior to giving effect to distributions on such Distribution Date;

(viii)

The Pass-Through Rate for the Class 2-X Certificates shall be equal to the excess, if any, of (a) the Net WAC of the Group 2 Mortgage Loans over (b) the weighted average rate of the Pass-Through Rates on the LIBOR Certificates and the Class 2-PO Certificates, weighted on the basis of the Class Principal Balances on the Certificates prior to giving effect to distributions on such Distribution Date; provided, however, that the Pass-Through Rate for any Class of Certificates the interest distributions on which are computed using an actual/360 day-count convention will be adjusted for this purpose by multiplying that Pass-Through Rate by the quotient of the actual number days in the applicable Accrual Period divided by 30;

(ix)

The Pass-Through Rate for the Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4, Class 1-B5 and Class 1-B6 Certificates shall be equal to the Net WAC for the Group 1 Mortgage Loans for that Distribution Date;

(x)

The Pass-Through Rate for the Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates shall be equal to the least of (a) LIBOR plus the applicable Margin, (b) the LIBOR Net WAC Cap for that Distribution Date and (c) the related Net Maximum Rate Cap for that Distribution Date.

Paul Financial”: Paul Financial, LLC, and its successors and assigns, in its capacity as Originator of the Paul Financial Mortgage Loans.

Paul Financial Mortgage Loans”:  The Mortgage Loans for which Paul Financial is listed as “Originator” on the Mortgage Loan Schedule.

Paul Financial Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of January 1, 2004, between GCFP, as purchaser, and Paul Financial, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the Paul Financial Mortgage Loans.

Paying Agent”:  Any paying agent appointed pursuant to Section 6.05 hereof.  The initial Paying Agent shall be Wells Fargo Bank, N.A., for so long as it is acting as Securities Administrator under this Agreement.

Percentage Interest”:  With respect to any Certificate other than a Class P, Class A-R or Class A-R-II Certificate, a fraction, expressed as a percentage, the numerator of which is the Initial Certificate Principal Balance or Initial Certificate Notional Balance, as applicable, represented by such Certificate and the denominator of which is the Original Class Certificate Principal Balance or Original Class Certificate Notional Balance, as applicable, of the related Class.  With respect to the Class P, Class A-R and Class A-R-II Certificates, 100%.

Permitted Investments”:  Any one or more of the following obligations or securities acquired at a purchase price of not greater than par, regardless of whether issued or managed by the Depositor, the Trustee, the Master Servicer or any of their respective Affiliates or for which an Affiliate of the Trustee serves as an advisor:

(i)

direct obligations of, or obligations fully guaranteed as to timely payment of principal and interest by, the United States or any agency or instrumentality thereof, provided such obligations are backed by the full faith and credit of the United States;

(ii)

(A) demand and time deposits in, certificates of deposit of, bankers’ acceptances issued by or federal funds sold by any depository institution or trust company (including the Trustee, the Master Servicer or their agents acting in their respective commercial capacities) incorporated under the laws of the United States of America or any state thereof and subject to supervision and examination by federal and/or state authorities, so long as, at the time of such investment or contractual commitment providing for such investment, such depository institution or trust company or its ultimate parent has a short-term uninsured debt rating in one of the two highest available rating categories of the Rating Agency and (B) any other demand or time deposit or deposit which is fully insured by the FDIC;

(iii)

repurchase obligations with respect to any security described in clause (i) above and entered into with a depository institution or trust company (acting as principal) rated A or higher by the Rating Agency;

(iv)

securities bearing interest or sold at a discount that are issued by any corporation incorporated under the laws of the United States of America, the District of Columbia or any State thereof and that are rated by the Rating Agency in its highest long-term unsecured rating categories at the time of such investment or contractual commitment providing for such investment;

(v)

commercial paper (including both non-interest-bearing discount obligations and interest-bearing obligations) that is rated by the Rating Agency in its highest short-term unsecured debt rating available at the time of such investment;

(vi)

units of money market funds (which may be 12b-1 funds, as contemplated by the Commission under the Investment Company Act of 1940) registered under the Investment Company Act of 1940 including funds managed or advised by the Trustee, the Master Servicer or an affiliate thereof having the highest applicable rating from the Rating Agency; and

(vii)

if previously confirmed in writing to the Trustee, any other demand, money market or time deposit, or any other obligation, security or investment, as may be acceptable to the Rating Agency in writing as a permitted investment of funds backing securities having ratings equivalent to its highest initial ratings of the Senior Certificates;

provided, however, that no instrument described hereunder shall evidence either the right to receive (a) only interest with respect to the obligations underlying such instrument or (b) both principal and interest payments derived from obligations underlying such instrument and the interest and principal payments with respect to such instrument provide a yield to maturity at par greater than 120% of the yield to maturity at par of the underlying obligations.

Permitted Transferee”:  Any Transferee of a Residual Certificate other than a Disqualified Organization or a non-U.S. Person.

Person”:  Any individual, corporation, partnership, limited liability company, joint venture, association, joint stock company, trust, unincorporated organization or government or any agency or political subdivision thereof.

Physical Certificates”:  The Class A-R, Class A-R-II and Class P Certificates.

Plaza”: Plaza Home Mortgage, Inc., and its successors and assigns, in its capacity as Originator of the Plaza Mortgage Loans.

Plaza Mortgage Loans”:  The Mortgage Loans for which Plaza is listed as “Originator” on the Mortgage Loan Schedule.

Plaza Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of November 1, 2004, between GCFP, as purchaser, and Plaza, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the Plaza Mortgage Loans.

PMC”: PMC Bancorp, and its successors and assigns, in its capacity as Originator of the PMC Mortgage Loans.

PMC Mortgage Loans”:  The Mortgage Loans for which PMC is listed as “Originator” on the Mortgage Loan Schedule.

PMC Mortgage Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of April 1, 2005, between GCFP, as purchaser, and PMC Mortgage, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the PMC Mortgage Loans.

Pool Balance”:  As to any Distribution Date and each Loan Group, the aggregate of the Stated Principal Balances, as of the Close of Business on the first day of the month preceding the month in which such Distribution Date occurs, of the Mortgage Loans in such Loan Group that were Outstanding Mortgage Loans on that day.

Premium Proceeds”:  The amount by which the Termination Price paid in connection with the termination pursuant to Section 10.01 exceeds the sum of unpaid principal and accrued and unpaid interest on the Certificates and unreimbursed Advances and Servicing Advances.

Prepayment Penalty Amount”:  With respect to any Mortgage Loan and each Distribution Date, all premiums or charges, if any, paid by Mortgagors under the related Mortgage Notes as a result of full or partial Principal Prepayments collected and retained by the Servicers during the immediately preceding Prepayment Period, under the terms of the related Servicing Agreement.

Prepayment Period”:  With respect to any Distribution Date the calendar month preceding the month in which such Distribution Date occurs.

Primary Insurance Policy”:  Mortgage guaranty insurance, if any, on an individual Mortgage Loan, as evidenced by a policy or certificate.

Principal Balance”:  As to any Mortgage Loan, other than a Liquidated Mortgage Loan, and any day, the related Cut-Off Date Principal Balance, minus all collections credited against the Principal Balance of such Mortgage Loan after the Cut-Off Date, as increased by the amount of any Deferred Interest added to the outstanding Principal Balance of such Mortgage Loan pursuant to the terms of the related Mortgage Note.  For purposes of this definition, a Liquidated Mortgage Loan shall be deemed to have a Principal Balance equal to the Principal Balance of the related Mortgage Loan as of the final recovery of related Liquidation Proceeds and a Principal Balance of zero thereafter.  As to any REO Property and any day, the Principal Balance of the related Mortgage Loan immediately prior to such Mortgage Loan becoming REO Property.

Principal Distribution Amount”:  With respect to each Loan Group and any Distribution Date, the sum of (a) each scheduled payment of principal collected or advanced on the related Mortgage Loans by the Servicer in respect of the related Due Period, (b) that portion of the Purchase Price, representing principal of any repurchased Mortgage Loan in that Loan Group, deposited to the Distribution Account during the related Prepayment Period, (c) the principal portion of any related Substitution Adjustments with respect to that Loan Group deposited in the Distribution Account during the related Prepayment Period, (d) the principal portion of all Insurance Proceeds received during the related Prepayment Period with respect to Mortgage Loans in that Loan Group that are not yet Liquidated Mortgage Loans, (e) the principal portion of all Net Liquidation Proceeds received during the related Prepayment Period with respect to Liquidated Mortgage Loans in that Loan Group, (f) all Principal Prepayments in part or in full on Mortgage Loans in that Loan Group applied by the Servicer during the related Prepayment Period, (g) all Recoveries related to that Loan Group received during the calendar month preceding the month of that Distribution Date and (h) on the Distribution Date on which the Trust is to be terminated pursuant to Section 10.01 hereof, that portion of the Termination Price in respect of principal for that Loan Group.

Principal Prepayment”:  Any payment of principal made by the Mortgagor on a Mortgage Loan that is received in advance of its scheduled Due Date and that is not accompanied by an amount of interest representing the full amount of scheduled interest due on any Due Date in any month or months subsequent to the month of prepayment.

Private Certificates”:  The Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5, Class 2-B6, Class P and Class A-R-II Certificates.

Private Placement Memorandum”:  The Private Placement Memorandum dated June 30, 2005 relating to the initial sale of the Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates.

Pro Rata Share”:  As to any Distribution Date and any Class of Subordinate Certificates, the portion of the Subordinate Principal Distribution Amount allocable to such Class, equal to the product of the (a) Subordinate Principal Distribution Amount on such date and (b) a fraction, the numerator of which is the related Class Certificate Principal Balance of that Class and the denominator of which is the aggregate of the Class Certificate Principal Balances of all the Classes of Subordinate Certificates.

Proprietary Lease”:  With respect to any Cooperative Unit, a lease or occupancy agreement between a Cooperative Corporation and a holder of related Cooperative Shares.

Prospectus”:  The Prospectus Supplement, together with the accompanying prospectus dated February 22, 2005, relating to the Senior Certificates and the Class 1-B1, Class 1-B2, Class 1-B3, Class 2-B1, Class 2-B2 and Class 2-B3 Certificates.

Prospectus Supplement”:  The Prospectus Supplement dated June 28, 2005 relating to the initial sale of the Senior Certificates and the Class 1-B1, Class 1-B2, Class 1-B3, Class 2-B1, Class 2-B2 and Class 2-B3 Certificates.

Purchase Agreement”:  Each of the ComUnity Lending Purchase Agreement, Countrywide Purchase Agreement, Gateway Purchase Agreement, Lydian Purchase Agreement, Metrocities Purchase Agreement, Paul Financial Purchase Agreement, Plaza Purchase Agreement, PMC Purchase Agreement and Sierra Pacific Purchase Agreement, as applicable.

Purchase Price”:  With respect to any Mortgage Loan or REO Property to be purchased pursuant to or as contemplated by Section 2.03 hereof, and as confirmed by an Officers’ Certificate from the Seller to the Trustee, an amount equal to the sum of (i) 100% of the Principal Balance thereof as of the date of purchase (or such other price as provided in Section 10.01), plus (ii) in the case of (x) a Mortgage Loan, accrued interest on such Principal Balance at the applicable Loan Rate (or if the servicer is repurchasing such Mortgage Loan, the Loan Rate minus the Servicing Fee Rate) from the Due Date as to which interest was last covered by a payment by the Mortgagor through the end of the calendar month in which the purchase is to be effected, and (y) an REO Property, the sum of (1) accrued interest on such Principal Balance at the applicable Loan Rate (or if the servicer is repurchasing such Mortgage Loan, the Loan Rate minus the Servicing Fee Rate) from the Due Date as to which interest was last covered by a payment by the Mortgagor plus (2) REO Imputed Interest for such REO Property for each calendar month commencing with the calendar month in which such REO Property was acquired and ending with the calendar month in which such purchase is to be effected, net of the total of all net rental income, Insurance Proceeds and Liquidation Proceeds that as of the date of purchase had been distributed as or to cover REO Imputed Interest, plus (iii) any unreimbursed Servicing Advances and any unpaid Expense Fees allocable to such Mortgage Loan or REO Property, plus (iv) in the case of a Mortgage Loan required to be purchased pursuant to Section 2.03 hereof, expenses reasonably incurred or to be incurred by the Trustee in respect of the breach or defect giving rise to the purchase obligation and plus (v) any costs and damages incurred by the Trust in connection with any violation by such Mortgage Loan of any predatory- or abusive-lending laws.

Qualified Insurer”:  A mortgage guaranty insurance company duly qualified as such under the laws of the state of its principal place of business and each state having jurisdiction over such insurer in connection with the insurance policy issued by such insurer, duly authorized and licensed in such states to transact a mortgage guaranty insurance business in such states and to write the insurance provided by the insurance policy issued by it, approved as a Fannie Mae-approved mortgage insurer and having a claims paying ability rating of at least “AA” or equivalent rating by a nationally recognized statistical rating organization.  Any replacement insurer with respect to a Mortgage Loan must have at least as high a claims paying ability rating as the insurer it replaces had on the Closing Date.

Qualified Substitute Mortgage Loan”:  A mortgage loan substituted for a Deleted Mortgage Loan pursuant to the terms of this Agreement which must, on the date of such substitution, (i) have an outstanding principal balance, after application of all scheduled payments of principal and interest due during or prior to the month of substitution, not in excess of, and not more than 5% less than, the Principal Balance of the Deleted Mortgage Loan as of the Due Date in the calendar month during which the substitution occurs, (ii) have a maximum loan rate not less than the Maximum Loan Rate of the Deleted Mortgage Loan, (iii)  have a gross margin equal to or greater than the Gross Margin of the Deleted Mortgage Loan, (iv) have the same Index as the Deleted Mortgage Loan, (v) have its next adjustment date not more than two months after the next Adjustment Date of the Deleted Mortgage Loan, (vi) have a remaining term to maturity not greater than (and not more than one year less than) that of the Deleted Mortgage Loan, (vii) be current as of the date of substitution, (viii) have a Loan-to-Value Ratio as of the date of substitution equal to or lower than the Loan-to-Value Ratio of the Deleted Mortgage Loan as of such date, (ix) have been underwritten or re-underwritten in accordance with the same or substantially similar underwriting criteria and guidelines as the Deleted Mortgage Loan, (x) is of the same or better credit quality as the Deleted Mortgage Loan and (xi) conform to each representation and warranty set forth in Section 2.04 hereof applicable to the Deleted Mortgage Loan.  In the event that one or more mortgage loans are substituted for one or more Deleted Mortgage Loans, the amounts described in clause (i) hereof shall be determined on the basis of aggregate principal balances, the terms described in clause (vi) hereof shall be determined on the basis of weighted average remaining term to maturity and the Loan-to-Value Ratio described in clause (viii) hereof shall be satisfied as to each such mortgage loan and, except to the extent otherwise provided in this sentence, the representations and warranties described in clause (x) hereof must be satisfied as to each Qualified Substitute Mortgage Loan or in the aggregate, as the case may be.

Rating Agency”:  S&P and Moody’s.  If any rating agency or its successor shall no longer be in existence, “Rating Agency” shall include such nationally recognized statistical rating agency, or other comparable Person, as shall have been designated by the Depositor, notice of which designation shall be given to the Trustee and the Master Servicer.

Realized Loss”:  With respect to any Liquidated Mortgage Loan, the amount of loss realized equal to the portion of the Principal Balance remaining unpaid after application of all Net Liquidation Proceeds in respect of such Liquidated Mortgage Loan.

Recognition Agreement”:  With respect to any Cooperative Loan, an agreement between the related Cooperative Corporation and the originator of such Mortgage Loan to establish the rights of such originator in the related Cooperative Property.

Record Date”:  With respect to each Distribution Date (other than the initial Distribution Date) and the Certificates (other than the LIBOR Certificates), the last Business Day of the calendar month preceding the month in which such Distribution Date occurs.  With respect to each Distribution Date (other than the initial Distribution Date) and the LIBOR Certificates, the last Business Day preceding that Distribution Date, unless any Class of LIBOR Certificates are no longer Book-Entry Certificates, in which case the Record Date for such Class of LIBOR Certificates shall be the last Business Day of the calendar month preceding the month in which that Distribution Date occurs.  With respect to the initial Distribution Date and all Classes of Certificates, the Closing Date.

Recovery”:  With respect to any Distribution Date and Mortgage Loan that became a Liquidated Mortgage Loan in a month preceding the month prior to that Distribution Date and with respect to which the related Realized Loss was allocated to one or more Classes of Certificates, an amount received in respect of such Liquidated Mortgage Loan during the prior calendar month, net of any reimbursable expenses.

Refinancing Mortgage Loan”:  Any Mortgage Loan originated in connection with the refinancing of an existing mortgage loan.

Regular Certificate”:  Any Class 1-A1, Class 1-A2, Class 2-A1, Class 2-A2A, Class 2-A2B, Class 1-X, Class 2-X, Class 1-PO, Class 2-PO, Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificate.

Regulation S”:  Regulation S promulgated under the Securities Act or any successor provision thereto, in each case as the same may be amended from time to time; and all references to any rule, section or subsection of, or definition or term contained in, Regulation S means such rule, section, subsection, definition or term, as the case may be, or any successor thereto, in each case as the same may be amended from time to time.

Regulation S Global Security”:  The meaning specified in Section 6.01.

Relief Act”:  The Servicemembers Civil Relief Act, or any similar state or local law.

Relief Act Reductions”:  With respect to any Distribution Date and any Mortgage Loan as to which there has been a reduction in the amount of interest collectible thereon for the most recently ended Due Period as a result of the application of the Relief Act, the amount, if any, by which (i) interest collectible on that Mortgage Loan during such Due Period is less than (ii) one month’s interest on the Stated Principal Balance of such Mortgage Loan at the Loan Rate for such Mortgage Loan before giving effect to the application of the Relief Act.

REMIC”:  A “real estate mortgage investment conduit” within the meaning of Section 860D of the Code.

REMIC Opinion”:  An Independent Opinion of Counsel, to the effect that the proposed action described therein would not, under the REMIC Provisions, (i) cause any REMIC created hereunder to fail to qualify as a REMIC while any regular interest in such REMIC is outstanding, (ii) result in a tax on prohibited transactions with respect to any REMIC created hereunder or (iii) constitute a taxable contribution to any REMIC created hereunder after the Startup Day.

REMIC Provisions”:  Provisions of the federal income tax law relating to real estate mortgage investment conduits which appear at Section 860A through 860G of Subchapter M of Chapter 1 the Code, and related provisions, and regulations and rulings promulgated thereunder, as the foregoing may be in effect from time to time.

Remittance Report”:  The Master Servicer’s Remittance Report to the Securities Administrator providing information with respect to each Mortgage Loan which is provided no later than the 15th calendar day of each month and which shall contain such information as may be agreed upon by the Master Servicer and the Securities Administrator and which shall be sufficient to enable the Securities Administrator to prepare the related Distribution Date Statement.

 “Rents from Real Property”:  With respect to any REO Property, gross income of the character described in Section 856(d) of the Code.

REO Account”:  The account or accounts maintained by a Servicer in respect of an REO Property pursuant to the related Servicing Agreement.

REO Disposition”:  The sale or other disposition of an REO Property on behalf of the Trust.

REO Imputed Interest”:  As to any REO Property, for any calendar month during which such REO Property was at any time part of the Trust Fund, one month’s interest at the applicable Net Loan Rate on the Principal Balance of such REO Property (or, in the case of the first such calendar month, of the related Mortgage Loan if appropriate) as of the Close of Business on the Due Date in such calendar month.

REO Principal Amortization”:  With respect to any REO Property, for any calendar month, the excess, if any, of (a) the aggregate of all amounts received in respect of such REO Property during such calendar month, whether in the form of rental income, sale proceeds (including, without limitation, that portion of the Termination Price paid in connection with a purchase of all of the Mortgage Loans and REO Properties pursuant to Section 10.01 hereof that is allocable to such REO Property) or otherwise, net of any portion of such amounts (i) payable pursuant to the applicable provisions of the related Servicing Agreement in respect of the proper operation, management and maintenance of such REO Property or (ii) payable or reimbursable to the applicable Servicer pursuant to the applicable provisions of the related Servicing Agreement for unpaid Master Servicing Fees and Servicing Fees in respect of the related Mortgage Loan and unreimbursed Servicing Advances and Advances in respect of such REO Property or the related Mortgage Loan, over (b) the REO Imputed Interest in respect of such REO Property for such calendar month.

REO Property”:  A Mortgaged Property acquired by the applicable Servicer on behalf of the Trust Fund through foreclosure or deed-in-lieu of foreclosure in accordance with the applicable provisions of the related Servicing Agreement.

 “Request for Release”:  A release signed by a Servicing Officer, in the form of Exhibit F attached hereto.

Residential Dwelling”:  Any one of the following: (i) a detached one-family dwelling, (ii) a detached two- to four-family dwelling, (iii) a one-family dwelling unit in a condominium project, (iv) a manufactured home, (v) a cooperative unit or (vi) a detached one-family dwelling in a planned unit development, none of which is a mobile home.

Residual Certificate”:  Each of the Class A-R and the Class A-R-II Certificate.

Responsible Officer”:  When used with respect to the Trustee or any director, the President, any vice president, any assistant vice president, any associate or any other officer of the Trustee customarily performing functions similar to those performed by any of the above designated officers and, with respect to a particular matter, to whom such matter is referred because of such officer’s knowledge of and familiarity with the particular subject.

Restricted Classes”:  As defined in Section 5.01(d).

Restricted Global Security”:  As defined in Section 6.01.

Sarbanes-Oxley Certification”:  A written certification covering, among other things, servicing of the Mortgage Loans by the Servicers and signed by an officer of the Master Servicer that complies with (i) the Sarbanes-Oxley Act of 2002, as amended from time to time, and (ii) the February 21, 2003 Statement by the Staff of the Division of Corporation Finance of the Securities and Exchange Commission Regarding Compliance by Asset-Backed Issuers with Exchange Act Rules 13a-14 and 15d-14, as in effect from time to time; provided that if, after the Closing Date (a) the Sarbanes-Oxley Act of 2002 is amended, (b) the Statement referred to in clause (ii) is modified or superseded by any subsequent statement, rule or regulation of the Securities and Exchange Commission or any statement of a division thereof, or (c) any future releases, rules and regulations are published by the Securities and Exchange Commission from time to time pursuant to the Sarbanes-Oxley Act of 2002, which in any such case affects the form or substance of the required certification and results in the required certification being, in the reasonable judgment of the Master Servicer, materially more onerous than the form of the required certification as of the Closing Date, the Sarbanes-Oxley Certification shall be as agreed to by the Master Servicer, Depositor and the Seller following a negotiation in good faith to determine how to comply with any such new requirements.

S&P”:  Standard & Poor’s Ratings Services, a division of The McGraw-Hill Companies, Inc., and any successor thereto.  

Securities Administrator”:  Wells Fargo Bank, N.A., or its successor in interest, or any successor securities administrator appointed as herein provided.

Security Agreement”:  With respect to any Cooperative Loan, the agreement between the owner of the related Cooperative Shares and the originator of the related Mortgage Note that defines the terms of the security interest in such Cooperative Shares and the related Proprietary Lease.

Seller”:  GCFP, in its capacity as seller under this Agreement.

Senior Certificate”:  Any one of the Class 1-A1, Class 1-A2, Class 2-A1, Class 2-A2A, Class 2-A2B, Class 1-X, Class 2-X, Class 1-PO, Class 2-PO or Class A-R Certificates.

Senior Certificate Group”:  Any of (a) the Class 1-A1, Class 1-A2 and Class A-R Certificates with respect to Loan Group 1 and (b) the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates with respect to Loan Group 2.

Senior Certificateholder”:  Any Holder of a Senior Certificate.

Senior Percentage”:  With respect to each Loan Group and any Distribution Date, the percentage equivalent of a fraction the numerator of which is the aggregate of the Class Certificate Principal Balances of the Classes of Senior Certificates relating to that Loan Group immediately prior to such Distribution Date and the denominator of which is the Pool Balance of the Mortgage Loans in the related Loan Group for such Distribution Date; provided, however, that on any Distribution Date after a Senior Termination Date has occurred with respect to the Senior Certificates related to a Loan Group, the Senior Percentage for the related Loan Group will be equal to 0%.

Senior Prepayment Percentage”:  With respect to each Loan Group and any Distribution Date before the Distribution Date in July 2015, 100%.  Except as provided herein, the Senior Prepayment Percentage for each Loan Group for any Distribution Date occurring on or after the tenth anniversary of the first Distribution Date will be as follows:  (i) from July 2015 through June 2016, the related Senior Percentage plus 70% of the related Subordinate Percentage for that Distribution Date; (ii) from July 2016 through June 2017, the related Senior Percentage plus 60% of the related Subordinate Percentage for that Distribution Date; (iii) from July 2017 through June 2018, the related Senior Percentage plus 40% of the related Subordinate Percentage for that Distribution Date; (iv) from July 2018 through June 2019, the related Senior Percentage plus 20% of the related Subordinate Percentage for that Distribution Date; and (v) from and after July 2019, the related Senior Percentage for that Distribution Date; provided, however, that there shall be no reduction in the Senior Prepayment Percentage for any Loan Group unless the Step Down Conditions are satisfied; and provided, further, that if on any Distribution Date occurring on or after the Distribution Date in July 2019, the Senior Percentage for any Loan Group exceeds the initial Senior Percentage for such Loan Group, the related Senior Prepayment Percentage for that Distribution Date will again equal 100%.

Notwithstanding the above, (i) if on any Distribution Date prior to July 2008 the Two Times Test for such Loan Group is satisfied, the Senior Prepayment Percentage for each Loan Group will equal the related Senior Percentage for such Distribution Date plus 50% of an amount equal to 100% minus the related Senior Percentage for such Distribution Date and (ii) if on any Distribution Date in or after July 2008 the applicable Two Times Test is satisfied, the Senior Prepayment Percentage for each Loan Group will equal the related Senior Percentage for such Distribution Date.

Senior Principal Distribution Amount”:  With respect to each Loan Group and any Distribution Date, the sum of:

(1)

the related Senior Percentage of all amounts described in clauses (a) through (d) of the definition of “Principal Distribution Amount” with respect to such Loan Group for that Distribution Date;

(2)

with respect to each Mortgage Loan in that Loan Group which became a Liquidated Mortgage Loan during the related Prepayment Period, the lesser of

(x)

the related Senior Percentage of the Stated Principal Balance of that Mortgage Loan; and

(y)

the related Senior Prepayment Percentage of the amount of the Net Liquidation Proceeds allocable to principal received with respect to that Mortgage Loan

(3)

the related Senior Prepayment Percentage of the amounts described in clauses (f) and (g) of the definition of “Principal Distribution Amount” with respect to such Loan Group.

Senior Termination Date”:  For each Senior Certificate Group, the Distribution Date on which the aggregate of the Class Certificate Principal Balances of the related Senior Certificates is reduced to zero.

Servicer”:  Each of Countrywide Servicing and GMAC, as primary servicers of the Mortgage Loans as set forth and as individually defined in the Mortgage Loan Schedule hereto and any successors thereto.

Servicer Remittance Date”:  The “Remittance Date” defined in the applicable Servicing Agreement.

Servicing Account”:  Any account established and maintained by a Servicer with respect to the related Mortgage Loans and any REO Property, pursuant to the terms of the related Servicing Agreement.

Servicing Addendum”: As defined in the related Servicing Agreement.

Servicing Advances”:  With respect to the Master Servicer and any Servicer, all customary, reasonable and necessary “out of pocket” costs and expenses (including reasonable attorneys’ fees and expenses) incurred by the Master Servicer or such Servicer in the performance of its servicing obligations hereunder, including, but not limited to, the cost of (i) the preservation, restoration, inspection and protection of the Mortgaged Property, (ii) any enforcement or judicial proceedings, including foreclosures, (iii) the management and liquidation of the REO Property and (iv) compliance with the obligations under Article III hereof or the related Servicing Agreements.

Servicing Agreement”:  Each of the Countrywide Servicing Agreement and the GMAC Servicing Agreement relating to the Mortgage Loans as set forth in Exhibit M hereto, as reconstituted by the applicable Reconstituted Servicing Agreement, and any other servicing agreement entered into between a successor servicer, the Master Servicer and the Seller or the Trustee on behalf of the Trust pursuant to the terms hereof.

Servicing Fee”:  With respect to each Servicer and each Mortgage Loan serviced by such Servicer and for any calendar month, the fee payable to such Servicer determined pursuant to the applicable Servicing Agreement.

Servicing Fee Rate”:  With respect to each Mortgage Loan, the per annum servicing fee rate set forth on the Mortgage Loan Schedule.

Servicing Officer”:  Any officer of the Master Servicer or a Servicer involved in, or responsible for, the administration and servicing (or master servicing) of Mortgage Loans, whose name and specimen signature appear on a list of servicing officers furnished by the Master Servicer to the Trustee and the Depositor on the Closing Date, as such list may from time to time be amended.

Servicing Rights”: With respect to any SRO Mortgage Loan, any and all of the following: (a) the right, under the related Servicing Agreement, to terminate the related SRO Servicer as servicer of such Mortgage Loan, with or without cause, subject to Section 3.03 of this Agreement; (b) the right, under the related Servicing Agreement, to transfer the Servicing Rights and/or all servicing obligations with respect to such Mortgage Loan, subject to Section 3.03 of this Agreement; (c) the right to receive the Servicing Fee, less an amount to be retained by the related SRO Servicer as its servicing compensation as agreed to by the Servicing Rights Owner and the related SRO Servicer, subject to Section 3.03 of this Agreement and (d) all powers and privileges incident to any of the foregoing.

Servicing Rights Owner”:  With respect to the SRO Mortgage Loans, GCFP or any successor or assign of GCFP.

Sierra Pacific”: Sierra Pacific Mortgage Co., Inc., and its successors and assigns, in its capacity as Originator of the Sierra Pacific Mortgage Loans.

Sierra Pacific Mortgage Loans”:  The Mortgage Loans for which Sierra Pacific is listed as “Originator” on the Mortgage Loan Schedule.

Sierra Pacific Purchase Agreement”:  The Master Mortgage Loan Purchase and Interim Servicing Agreement, dated as of July 1, 2003, between GCFP, as purchaser, and Sierra Pacific, as seller, as the same may be amended from time to time, and any assignments and conveyances related to the Sierra Pacific Mortgage Loans.

SRO Mortgage Loans”:  The Mortgage Loans for which GMAC is the Servicer and GCFP is the SRO Owner, and which are listed in the Mortgage Loan Schedule.

SRO Servicer”:  GMAC in its capacity as Servicer of the SRO Mortgage Loans.

Startup Day”:  As defined in Section 9.01(b) hereof.

Stated Principal Balance”:  With respect to any Mortgage Loan: (a) as of the Distribution Date in July 2005, the Cut-Off Date Principal Balance of such Mortgage Loan,  (b) thereafter as of any date of determination up to and including the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such Mortgage Loan would be distributed, the Cut-Off Date Principal Balance of such Mortgage Loan minus, in the case of each Mortgage Loan, the sum of (i) the principal portion of each Monthly Payment due on a Due Date subsequent to the Cut-Off Date, whether or not received, (ii) all Principal Prepayments received after the Cut-Off Date, to the extent distributed pursuant to Section 5.01 before such date of determination and (iii) all Liquidation Proceeds and Insurance Proceeds applied by the related Servicer as recoveries of principal in accordance with the applicable provisions of the related Servicing Agreement, to the extent distributed pursuant to Section 5.01 such date of determination; and (c) as of any date of determination subsequent to the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such Mortgage Loan would be distributed, zero; provided that, such Stated Principal Balance shall be increased by the amount of any Deferred Interest added to the outstanding Principal Balance of such Mortgage Loan pursuant to the terms of the related Mortgage Note.  With respect to any REO Property: (x) as of any date of determination up to and including the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such REO Property would be distributed, an amount (not less than zero) equal to the Stated Principal Balance of the related Mortgage Loan as of the date on which such REO Property was acquired on behalf of the Trust, minus the aggregate amount of REO Principal Amortization in respect of such REO Property for all previously ended calendar months, to the extent distributed pursuant to Section 5.01 before such date of determination; and (y) as of any date of determination subsequent to the Distribution Date on which the proceeds, if any, of a Liquidation Event with respect to such REO Property would be distributed, zero.

Step Down Conditions”: As of the first Distribution Date as to which any decrease in any Senior Prepayment Percentage applies and each Loan Group, (i) the outstanding Principal Balance of all Mortgage Loans in such Loan Group 60 days or more Delinquent (including related Mortgage Loans in REO and foreclosure) (averaged over the preceding six month period), as a percentage of the aggregate of the Class Certificate Principal Balances of the Classes of Subordinate Certificates related to such Loan Group on such Distribution Date, does not equal or exceed 50% and (ii) cumulative Realized Losses with respect to all of the Mortgage Loans in such Loan Group do not exceed:

·

for any Distribution Date on or after the tenth anniversary of the first Distribution Date, 30% of the aggregate Certificate Principal Balance of the related Subordinate Certificates as of the Closing Date,

·

for any Distribution Date on or after the eleventh anniversary of the first Distribution Date, 35% of the aggregate Certificate Principal Balance of the related Subordinate Certificates as of the Closing Date,

·

for any Distribution Date on or after the twelfth anniversary of the first Distribution Date, 40% of the aggregate Certificate Principal Balance of the related Subordinate Certificates as of the Closing Date,

·

for any Distribution Date on or after the thirteenth anniversary of the first Distribution Date, 45% of the aggregate Certificate Principal Balance of the related Subordinate Certificates as of the Closing Date, and

·

for any Distribution Date on or after the fourteenth anniversary of the first Distribution Date, 50% of the aggregate Certificate Principal Balance of the related Subordinate Certificates as of the Closing Date.

Strike Rate”:  With respect to any Distribution Date and the Yield Maintenance Agreement, the strike rate listed on Schedule III hereto.

Subordinate Certificate”:  Any one of the Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 or Class 2-B6 Certificates.

Subordinate Class Expense Share”:  For each Class of Subordinate Certificates, each Loan Group and each Accrual Period, the Subordinate Class Expense Share shall be allocated in reverse order of their respective numerical Class designations (beginning with the Class of Subordinate Certificates related to a Loan Group with the highest numerical Class designation) and will be an amount equal to (i) the sum of, without duplication, (a) the amounts paid to the Trustee from the Trust Fund during such Accrual Period pursuant to Section 8.05 hereof to the extent such amounts were paid for ordinary or routine expenses and were not taken into account in computing the Net Loan Rate of any Mortgage Loan in such Loan Group and (b) amounts described in clause (y) of the definition of Available Funds herein to the extent such amounts were paid for ordinary or routine expenses and were not taken into account in computing the Net Mortgage Rate of any Mortgage Loan in such Loan Group minus (ii) amounts taken into account under clause (i) of this definition in determining the Subordinate Class Expense Share of any Class of related Subordinate Certificates having a higher numeric designation.  In no event, however, shall the Subordinate Class Expense Share for any Class of Subordinate Certificates and any Accrual Period exceed the product of (i) (a) the Net WAC of the Group 1 Mortgage Loans, in the case of each Class of Group 1 Subordinate Certificates and the lesser of the Pass-Through Rate for such Class or the LIBOR Adjusted Cap Rate, in the case of each Class of Group 2 Subordinate Certificates, divided by (b) 12 and (ii) the Class Certificate Principal Amount of such Class of Subordinate Certificates as of the beginning of the related Accrual Period.

Subordinate Component”:  With respect to each Loan Group and any Distribution Date, the excess of the related Loan Group Balance for such Distribution Date over the aggregate Class Certificate Principal Balance of the related Senior Certificate Group immediately preceding such Distribution Date.  The designation “1” and “2” appearing after the corresponding Loan Group designation is used to indicate a Subordinate Component allocable to Loan Group 1 and Loan Group 2, respectively.

Subordinate Percentage”:  With respect to each Loan Group and any Distribution Date, the difference between 100% and the related Senior Percentage for such Loan Group and Distribution Date.

Subordinate Prepayment Percentage”:  With respect to each Loan Group and any Distribution Date, the difference between 100% and the related Senior Prepayment Percentage for such Distribution Date.

Substitution Adjustment”:  As defined in Section 2.03(d) hereof.

Tax Returns”:  The federal income tax return on Internal Revenue Service Form 1066, U.S. Real Estate Mortgage Investment Conduit Income Tax Return, including Schedule Q thereto, Quarterly Notice to Residual Interest Holders of the REMIC Taxable Income or Net Loss Allocation, or any successor forms, to be filed on behalf of every REMIC created hereunder under the REMIC Provisions, together with any and all other information reports or returns that may be required to be furnished to the Certificateholders or filed with the Internal Revenue Service or any other governmental taxing authority under any applicable provisions of federal, state or local tax laws.

Termination Price”:  As defined in Section 10.01(a) hereof.

Transfer”:  Any direct or indirect transfer or sale of any Ownership Interest in a Residual Certificate.

Transfer Affidavit”:  As defined in Section 6.02(e)(ii) hereof.

Transferee”:  Any Person who is acquiring by Transfer any Ownership Interest in a Certificate.

Trust”:  HarborView Mortgage Loan Trust 2005-7, the trust created hereunder.

Trust Fund”:  The segregated pool of assets subject hereto, constituting the primary trust created hereby and to be administered hereunder, with respect to which a REMIC election is to be made, such Trust Fund consisting of: (i) such Mortgage Loans as from time to time are subject to this Agreement, together with the Mortgage Files relating thereto, and together with all collections thereon and proceeds thereof, excluding Prepayment Penalty Amounts, (ii) any REO Property, together with all collections thereon and proceeds thereof, (iii) the Trustee’s rights with respect to the Mortgage Loans under all insurance policies required to be maintained pursuant to this Agreement and any proceeds thereof, (iv) the Depositor’s rights under the Mortgage Loan Purchase Agreement (including any security interest created thereby); (v) the Distribution Account (subject to the last sentence of this definition), any REO Account and such assets that are deposited therein from time to time and any investments thereof, together with any and all income, proceeds and payments with respect thereto; (vi) all right, title and interest of the Seller in and to the Servicing Agreements; (vii) the Group 1 Basis Risk Reserve Fund, Group 2 Basis Risk Reserve Fund and the Yield Maintenance Account; and (viii) the rights of the Trust under the Yield Maintenance Agreement.  Notwithstanding the foregoing, however, the Trust Fund specifically excludes (1) all payments and other collections of interest and principal due on the Mortgage Loans on or before the Cut-Off Date and principal received before the Cut-Off Date (except any principal collected as part of a payment due after the Cut-Off Date) and (2) all income and gain realized from Permitted Investments of funds on deposit in the Distribution Account.

Trustee”:  Deutsche Bank National Trust Company, its successors and assigns, or any successor trustee appointed as provided herein.

Two Times Test”:  As to any Distribution Date and Loan Group 1, (i) the Group 1 Aggregate Subordinate Percentage is at least two times the Group 1 Aggregate Subordinate Percentage as of the Closing Date; (ii) the aggregate of the Principal Balances of all Group 1 Mortgage Loans Delinquent 60 days or more (including Group 1 Mortgage Loans in REO and foreclosure) (averaged over the preceding six-month period), as a percentage of the aggregate of the Class Certificate Principal Balances of the Group 1 Subordinate Certificates, does not equal or exceed 50%; and (iii) on or after the Distribution Date in July 2008, cumulative Realized Losses on the Group 1 Mortgage Loans do not exceed 30% of the Group 1 Original Subordinated Principal Balance or prior to the Distribution Date in July 2008, cumulative Realized Losses on the Group 1 Mortgage Loans do not exceed 20% of the Group 1 Original Subordinated Principal Balance.

As to any Distribution Date and Loan Group 2, (i) the Group 2 Aggregate Subordinate Percentage is at least two times the Group 2 Aggregate Subordinate Percentage as of the Closing Date; (ii) the aggregate of the Principal Balances of all Group 2 Mortgage Loans Delinquent 60 days or more (including Group 2 Mortgage Loans in REO and foreclosure) (averaged over the preceding six-month period), as a percentage of the aggregate of the Class Certificate Principal Balances of the Group 2 Subordinate Certificates, does not equal or exceed 50%; and (iii) on or after the Distribution Date in July 2008, cumulative Realized Losses on the Group 2 Mortgage Loans do not exceed 30% of the Group 2 Original Subordinated Principal Balance or prior to the Distribution Date in July 2008, cumulative Realized Losses on the Group 2 Mortgage Loans do not exceed 20% of the Group 2 Original Subordinated Principal Balance.

Underwriter’s Exemption”: Prohibited Transaction Exemption 90-59 (Exemption Application No. D-8374), as amended by Prohibited Transaction Exemption 97-34 (Exemption Application Nos. D-10245 and D-10246), as amended by Prohibited Transaction Exemption 2000-58 (Exemption Application No. D-10829) and as amended by Prohibited Transaction Exemption 2002-41 (Exemption Application No. D-11077) (or any successor thereto), or any substantially similar administrative exemption granted by the U.S. Department of Labor.

Uninsured Cause”:  Any cause of damage to a Mortgaged Property such that the complete restoration of such property is not fully reimbursable by the hazard insurance policies required to be maintained on such Mortgaged Property.

United States Person” or “U.S. Person”:  A “United States person” within the meaning set forth in Section 7701(a)(30) of the Code or successor provisions.

Unpaid Interest Shortfall Amount”:  With respect to each Class of Certificates (other than the Class 1-PO and Class 2-PO Certificates), and (i) the first Distribution Date, zero, and (ii) any Distribution Date after the first Distribution Date, the amount, if any, by which (1)(a) the Monthly Interest Distributable Amount for that Class for the immediately preceding Distribution Date exceeds (b) the aggregate amount distributed on that Class in respect of such Monthly Interest Distributable Amount on the preceding Distribution Date plus (2) any such shortfalls remaining unpaid from prior Distribution Dates.

Upper Tier REMIC”:  As described in the Preliminary Statement.

Value”:  With respect to any Mortgage Loan and the related Mortgaged Property, the lesser of:

(i)

the value of such Mortgaged Property as determined by an appraisal made for the originator of the Mortgage Loan at the time of origination of the Mortgage Loan by an appraiser who met the minimum requirements of Fannie Mae and Freddie Mac; and

(ii)

the purchase price paid for the related Mortgaged Property by the Mortgagor with the proceeds of the Mortgage Loan;

provided, however, that in the case of a Refinancing Mortgage Loan, such value of the Mortgaged Property is based solely upon the value determined by an appraisal made for the originator of such Refinancing Mortgage Loan at the time of origination by an appraiser who met the minimum requirements of Fannie Mae and Freddie Mac.

Voting Rights”:  The portion of the voting rights of all of the Certificates which is allocated to any Certificate.  97% of the voting rights for Loan Group 1 shall be allocated among the Classes of Regular Certificates related to Loan Group 1 (other than the Class 1-X, Class P, Class A-R and Class A-R-II Certificates), pro rata, based on a fraction, expressed as a percentage, the numerator of which is the Class Certificate Principal Balance of such Class and the denominator of which is the aggregate of the Class Certificate Principal Balances of the Group 1 Certificates then outstanding, 1% of the voting rights shall be allocated to the Class 1-X Certificates, 1% of the voting rights shall be allocated to the Class P Certificate and 1% of the voting rights shall be allocated to the Class A-R Certificate.  97% of the voting rights for Loan Group 2 shall be allocated among the Classes of Regular Certificates related to Loan Group 2 (other than the Class 2-X, Class P, Class A-R and Class A-R-II Certificates), pro rata, based on a fraction, expressed as a percentage, the numerator of which is the Class Certificate Principal Balance of such Class and the denominator of which is the aggregate of the Class Certificate Principal Balances of the Group 2 Certificates then outstanding, 1% of the voting rights shall be allocated to the Class 2-X Certificates, 1% of the voting rights shall be allocated to the Class P Certificate and 1% of the voting rights shall be allocated to the Class A-R Certificate; provided, however, that when none of the Regular Certificates related to either Loan Group is outstanding, 100% of the voting rights for such Loan Group shall be allocated to the Holder of the Class A-R Certificate.  The voting rights allocated to a Class of Certificates shall be allocated among all Holders of such Class, pro rata, based on a fraction the numerator of which is the Certificate Principal Balance or Certificate Notional Balance, as applicable, of each Certificate of such Class and the denominator of which is the Class Certificate Principal Balance or Class Certificate Notional Balance, as applicable, of such Class; provided, however, that any Certificate registered in the name of the Master Servicer, the Securities Administrator or the Trustee or any of their affiliates shall not be included in the calculation of Voting Rights.  No voting rights shall be allocated to the Class A-R-II Certificate.

Writedown Amount”:  The reduction described in Section 5.03(c).

Yield Maintenance Account”:  The separate trust account maintained and held by the Securities Administrator pursuant to Section 4.04, which account shall bear a designation clearly indicating that the funds deposited therein are held in trust for the benefit of the Trust on behalf of the Class 2-A1A, Class 2-A1B, Class 2-A1C and Class 2-A2 Certificateholders, and which account provides that the Securities Administrator may make, or cause to be made, withdrawals therefrom in accordance with Section 4.04.

Yield Maintenance Agreement”:  The transaction evidenced by the confirmation dated June 30, 2005 together with any other related documents thereto, between the Yield Maintenance Provider and the Trust.  The Yield Maintenance Agreement will be for the benefit of the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates.

Yield Maintenance Distributable Amount”:  With respect to each Distribution Date and the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates, an amount equal to the product of (i) the excess, if any, of (x) LIBOR, subject to a maximum of 11.00%, over (y) the applicable Strike Rate, (ii) the related Yield Maintenance Notional Balance and (iii) a fraction, the numerator of which is the actual number days in the related interest Accrual Period and the denominator of which is 360.

“Yield Maintenance Notional Balance”:  For the Yield Maintenance Agreement and any Distribution Date, the lesser of (i) the amount set forth on Schedule III hereto and (ii) the aggregate Class Certificate Principal Balance of the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates .

Yield Maintenance Payment”:  The payment remitted to the Securities Administrator by the Yield Maintenance Provider under the Yield Maintenance Agreement.

Yield Maintenance Provider”:  The Bank of New York.

SECTION 1.02.  Accounting.

Unless otherwise specified herein, for the purpose of any definition or calculation, whenever amounts are required to be netted, subtracted or added or any distributions are taken into account such definition or calculation and any related definitions or calculations shall be determined without duplication of such functions.



ARTICLE II

CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES

SECTION 2.01.  Conveyance of Mortgage Loans.

The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey to the Trustee without recourse for the benefit of the Certificateholders all the right, title and interest of the Depositor, including any security interest therein for the benefit of the Depositor, in and to (i) each Mortgage Loan identified on the Mortgage Loan Schedule, including the related Cut-Off Date Principal Balance, all interest due thereon after the Cut-Off Date and all collections in respect of interest and principal due after the Cut-Off Date; (ii) all the Depositor’s right, title and interest in and to the Distribution Account and all amounts from time to time credited to and the proceeds of the Distribution Account; (iii) any real property that secured each such Mortgage Loan and that has been acquired by foreclosure or deed in lieu of foreclosure; (iv) the Depositor’s interest in any insurance policies in respect of the Mortgage Loans; (v) all proceeds of any of the foregoing; and (vi) all other assets included or to be included in the Trust Fund.  Such assignment includes all interest and principal due to the Depositor after the Cut-Off Date with respect to the Mortgage Loans.  In exchange for such transfer and assignment, the Depositor shall receive the Certificates.  The Depositor hereby directs the Securities Administrator to execute, not in its individual capacity, but solely as Securities Administrator on behalf of the Trust, and deliver the Yield Maintenance Agreement.  

Notwithstanding anything provided herein to the contrary, each of the parties hereto agrees and acknowledges that, notwithstanding the transfer, conveyance and assignment of the Mortgage Loans from the Depositor to the Trustee pursuant to this Agreement, the Servicing Rights Owner remains the sole and exclusive owner of the related Servicing Rights with respect to the SRO Mortgage Loans.

Concurrently with the execution and delivery of this Agreement, the Depositor does hereby assign to the Trustee all of its rights and interest under the Mortgage Loan Purchase Agreement, including all rights of the Seller under the Servicing Agreements to the extent assigned in the Mortgage Loan Purchase Agreement.  The Trustee hereby accepts such assignment, and shall be entitled to exercise all rights of the Depositor under the Mortgage Loan Purchase Agreement and all rights of the Seller under each Servicing Agreement as if, for such purpose, it were the Depositor or the Seller, as applicable, including the Seller’s right to enforce remedies for breaches of representations and warranties and delivery of Mortgage Loan documents.  The foregoing sale, transfer, assignment, set-over, deposit and conveyance does not and is not intended to result in creation or assumption by the Trustee of any obligation of the Depositor, the Seller or any other Person in connection with the Mortgage Loans or any other agreement or instrument relating thereto except as specifically set forth herein.

In connection with such transfer and assignment, (i) the Depositor directs the Trustee to appoint The Bank of New York and Deutsche Bank National Trust Company, as Custodians, and (ii) the Seller, on behalf of the Depositor, does hereby deliver on the Closing Date, unless otherwise specified in this Section 2.01 or the BONY Custodial Agreement, to, and deposit with the Trustee, or the applicable Custodian as its designated agent, the following documents or instruments with respect to each Mortgage Loan (a “Mortgage File”) so transferred and assigned:

(i)

the original Mortgage Note, endorsed either on its face or by allonge attached thereto in blank or in the following form: “Pay to the order of Deutsche Bank National Trust Company, as Trustee for HarborView Mortgage Loan Trust 2005-7, Mortgage Loan Pass-Through Certificates, Series 2005-7, without recourse”, or with respect to any lost Mortgage Note, an original Lost Note Affidavit stating that the original mortgage note was lost, misplaced or destroyed, together with a copy of the related Mortgage Note; provided, however, that such substitutions of Lost Note Affidavits for original Mortgage Notes may occur only with respect to Mortgage Loans the aggregate Cut-Off Date Principal Balance of which is less than or equal to 2% of the Cut-Off Date Aggregate Principal Balance;

(ii)

except as provided below, for each Mortgage Loan that is not a MERS Mortgage Loan, the original Mortgage, and in the case of each MERS Mortgage Loan, the original Mortgage, noting the presence of the MIN for that Mortgage Loan and either language indicating that the Mortgage Loan is a MOM Loan if the Mortgage Loan is a MOM Loan, or if such Mortgage Loan was not a MOM Loan at origination, the original Mortgage and the assignment to MERS, in each case with evidence of recording thereon, and the original recorded power of attorney, if the Mortgage was executed pursuant to a power of attorney, with evidence of recording thereon or, if such Mortgage or power of attorney has been submitted for recording but has not been returned from the applicable public recording office, has been lost or is not otherwise available, a copy of such Mortgage or power of attorney, as the case may be, together with an Officer’s Certificate of the Seller certifying that the copy of such Mortgage delivered to the Trustee (or its Custodian) is a true copy and that the original of such Mortgage has been forwarded to the public recording office, or, in the case of a Mortgage that has been lost, a copy thereof (certified as provided for under the laws of the appropriate jurisdiction) and a written Opinion of Counsel (delivered at the Seller’s expense) acceptable to the Trustee and the Depositor that an original recorded Mortgage is not required to enforce the Trustee’s interest in the Mortgage Loan;

(iii)

the original of each assumption, modification or substitution agreement, if any, relating to the Mortgage Loans, or, as to any assumption, modification or substitution agreement which cannot be delivered on or prior to the Closing Date because of a delay caused by the public recording office where such assumption, modification or substitution agreement has been delivered for recordation, a photocopy of such assumption, modification or substitution agreement, pending delivery of the original thereof, together with an Officer’s Certificate of the Seller, title company, escrow agent or closing attorney certifying that the copy of such assumption, modification or substitution agreement delivered to the Trustee (or its Custodian) on behalf of the Trust is a true copy and that the original of such agreement has been forwarded to the public recording office;

(iv)

in the case of each Mortgage Loan that is not a MERS Mortgage Loan, an original Assignment of Mortgage, in form and substance acceptable for recording.  The Mortgage shall be assigned to “Deutsche Bank National Trust Company, as Trustee for HarborView Mortgage Loan Trust 2005-7, Mortgage Loan Pass-Through Certificates, Series 2005-7, without recourse;”

(v)

in the case of each Mortgage Loan that is not a MERS Mortgage Loan, an original copy of any intervening Assignment of Mortgage showing a complete chain of assignments, or, in the case of an intervening Assignment of Mortgage that has been lost, a written Opinion of Counsel (delivered at the Seller’s expense) acceptable to the Trustee that such original intervening Assignment of Mortgage is not required to enforce the Trustee’s interest in the Mortgage Loans;

(vi)

the original Primary Insurance Policy, if any, or certificate, if any;

(vii)

the original or a certified copy of lender’s title insurance policy; and

(viii)

with respect to any Cooperative Loan, the Cooperative Loan Documents.


In connection with the assignment of any MERS Mortgage Loan, the Seller agrees that it will take (or shall cause the applicable Servicer to take), at the expense of the Seller (with the cooperation of the Depositor, the Master Servicer and the Trustee, such actions as are necessary to cause the MERS® System to indicate that such Mortgage Loans have been assigned by the Seller to the Trustee in accordance with this Agreement for the benefit of the Certificateholders by including (or deleting, in the case of Mortgage Loans that are repurchased in accordance with this Agreement) in such computer files the information required by the MERS® System to identify the series of the Certificates issued in connection with the transfer of such Mortgage Loans to the HarborView Mortgage Loan Trust 2005-7.

With respect to each Cooperative Loan the Seller, on behalf of the Depositor does hereby deliver to the Trustee the related Cooperative Loan Documents and the Seller will take (or cause the applicable Servicer to take), at the expense of the Seller (with the cooperation of the Depositor, the Master Servicer and the Trustee, such actions as are necessary under applicable law (including but not limited to the relevant UCC) in order to perfect the interest of the Trustee in the related Mortgaged Property.

Assignments of each Mortgage with respect to each Mortgage Loan that is not a MERS Mortgage Loan (other than a Cooperative Loan) shall be recorded; provided, however, that such assignments need not be recorded if, in the Opinion of Counsel (which must be from Independent Counsel and not at the expense of the Trust or the Trustee) acceptable to the Trustee, the Rating Agency and the Master Servicer, recording in such states is not required to protect the Trustee’s interest in the related Mortgage Loans; provided, further, notwithstanding the delivery of any Opinion of Counsel, each assignment of Mortgage shall be submitted for recording by the Seller (or the Seller will cause the applicable Servicer to submit each such assignment for recording), at the cost and expense of the Seller, in the manner described above, at no expense to the Trust or Trustee, upon the earliest to occur of (1) reasonable direction by the Majority Certificateholders, (2) the occurrence of a bankruptcy or insolvency relating to the Seller or the Depositor, or (3) with respect to any one Assignment of Mortgage, the occurrence of a bankruptcy, insolvency or foreclosure relating to the Mortgagor under the related Mortgage.  Subject to the preceding sentence, as soon as practicable after the Closing Date (but in no event more than three months thereafter except to the extent delays are caused by the applicable recording office), the Seller shall properly record (or the Seller will cause the applicable Servicer to properly record), at the expense of the Seller (with the cooperation of the Depositor, the Master Servicer and the Trustee (or a Custodian on behalf of the Trustee), in each public recording office where the related Mortgages are recorded, each assignment referred to in Section 2.01(v) above with respect to a Mortgage Loan that is not a MERS Mortgage Loan.

The Trustee agrees to execute and deliver to the Depositor on or prior to the Closing Date an acknowledgment of receipt of the original Mortgage Note (with any exceptions noted), substantially in the form attached as Exhibit G-1 hereto.

If the original lender’s title insurance policy, or a certified copy thereof, was not delivered pursuant to Section 2.01(x) above, the Seller shall deliver or cause to be delivered to the Trustee the original or a copy of a written commitment or interim binder or preliminary report of title issued by the title insurance or escrow company, with the original or a certified copy thereof to be delivered to the Trustee, promptly upon receipt thereof, but in any case within 175 days of the Closing Date.  The Seller shall deliver or cause to be delivered to the Trustee, promptly upon receipt thereof, any other documents constituting a part of a Mortgage File received with respect to any Mortgage Loan sold to the Depositor by the Seller, including, but not limited to, any original documents evidencing an assumption or modification of any Mortgage Loan.

For Mortgage Loans (if any) that have been prepaid in full after the Cut-off Date and prior to the Closing Date, in lieu of delivering the above documents, the Master Servicer shall deliver to the Trustee, or to the Custodian on behalf of the Trustee, prior to the first Distribution Date, an Officer’s Certificate, based on information provided to the Master Servicer from the Servicers, which shall include a statement to the effect that all amounts received in connection with such prepayment that are required to be deposited in the Distribution Account have been so deposited.  All original documents that are not delivered to the Trustee on behalf of the Trust shall be held by the Master Servicer or the applicable Servicer in trust for the Trustee, for the benefit of the Trust and the Certificateholders.

The Depositor herewith delivers to the Trustee an executed copy of the Mortgage Loan Purchase Agreement.

SECTION 2.02.  Acceptance by Trustee.

The Trustee hereby accepts its appointment as Custodian hereunder and acknowledges the receipt, subject to the provisions of Section 2.01 and subject to the review described below and any exceptions noted on the exception report described in the next paragraph below, of the documents referred to in Section 2.01 above and all other assets included in the definition of “Trust Fund” and declares that, in its capacity as Custodian, it holds and will hold such documents and the other documents delivered to it constituting a Mortgage File, and that it holds or will hold all such assets and such other assets included in the definition of “Trust Fund” in trust for the exclusive use and benefit of all present and future Certificateholders.

The Trustee further agrees, for the benefit of the Certificateholders, to review each Mortgage File delivered to it and to certify and deliver to the Depositor, the Seller and the Rating Agency an interim certification in substantially the form attached hereto as Exhibit G-2, within 90 days after the Closing Date (or, with respect to any document delivered after the Startup Day, within 45 days of receipt and with respect to any Qualified Substitute Mortgage, within five Business Days after the assignment thereof) that, as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or any Mortgage Loan specifically identified in the exception report annexed thereto as not being covered by such certification), (i) all documents required to be delivered to it pursuant to Section 2.01 of this Agreement are in its possession, (ii) such documents have been reviewed by it and have not been mutilated, damaged or torn and relate to such Mortgage Loan and (iii) based on its examination and only as to the foregoing, the information set forth in the Mortgage Loan Schedule that corresponds to items (i), (ii) and (iii) of the Mortgage Loan Schedule accurately reflects information set forth in the Mortgage File.  It is herein acknowledged that, in conducting such review, the Trustee is under no duty or obligation to inspect, review or examine any such documents, instruments, certificates or other papers to determine that they are genuine, enforceable, or appropriate for the represented purpose or that they have actually been recorded or that they are other than what they purport to be on their face.

No later than 180 days after the Closing Date, the Trustee shall deliver to the Depositor and the Seller a final certification in the form annexed hereto as Exhibit G-3 evidencing the completeness of the Mortgage Files, with any applicable exceptions noted thereon.

Upon the discovery by the Seller or the Depositor (or upon receipt by the Trustee of written notification of such breach) of a breach of any of the representations and warranties made by the Seller in the Mortgage Loan Purchase Agreement in respect of any Mortgage Loan that materially adversely affects such Mortgage Loan or the interests of the related Certificateholders in such Mortgage Loan, the party discovering such breach shall give prompt written notice to the other parties to this Agreement.

The Depositor and the Trustee intend that the assignment and transfer herein contemplated constitute a sale of the Mortgage Loans, the related Mortgage Notes and the related documents, conveying good title thereto free and clear of any liens and encumbrances, from the Depositor to the Trustee and that such property not be part of the Depositor’s estate or property of the Depositor in the event of any insolvency by the Depositor.  In the event that such conveyance is deemed to be, or to be made as security for, a loan, the parties intend that the Depositor shall be deemed to have granted and does hereby grant to the Trustee a first priority perfected security interest in all of the Depositor’s right, title and interest in and to the Mortgage Loans, the related Mortgage Notes and the related documents, and that this Agreement shall constitute a security agreement under applicable law.

SECTION 2.03.  Repurchase or Substitution of Mortgage Loans by the Originators and the Seller.

(a)

Upon its discovery or receipt of written notice of any materially defective document in, or that a document is missing from, a Mortgage File or of the breach by the related Originator of any representation, warranty or covenant under the related Purchase Agreement in respect of any Mortgage Loan which materially adversely affects the value of that Mortgage Loan or the interest therein of the Certificateholders, the Trustee shall promptly notify such Originator of such defect, missing document or breach and request that such Originator deliver such missing document or cure such defect or breach within 90 days from the date that the Seller was notified of such missing document, defect or breach, and if such Originator does not deliver such missing document or cure such defect or breach in all material respects during such period, the Trustee shall enforce such Originator’s obligation under the related Purchase Agreement and cause such Originator to repurchase that Mortgage Loan from the Trust Fund at the Repurchase Price (as defined in the related Purchase Agreement) on or prior to the Determination Date following the expiration of such 90 day period.  It is understood and agreed that the obligation of the related Originator to cure or to repurchase (or to substitute for) any Mortgage Loan as to which a document is missing, a material defect in a constituent document exists or as to which such a breach has occurred and is continuing shall constitute the sole remedy against such Originator respecting such omission, defect or breach available to the Trustee on behalf of the Certificateholders.

(b)

Upon discovery or receipt of written notice of the breach by the Seller of any representation, warranty or covenant under the Mortgage Loan Purchase Agreement or in Section 2.04 or Section 2.08 hereof in respect of any Mortgage Loan which materially adversely affects the value of that Mortgage Loan or the interest therein of the Certificateholders, the Trustee (or the Custodian as its designated agent) shall promptly notify the Seller of such breach and request that the Seller cure such breach within 90 days from the date that the Seller was notified of such breach, and if the Seller does not cure such breach in all material respects during such period, the Trustee shall enforce the Seller’s obligation under the Mortgage Loan Purchase Agreement and cause the Seller to repurchase that Mortgage Loan from the Trust Fund at the Purchase Price on or prior to the Determination Date following the expiration of such 90 day period (subject to Section 2.03(e) below); provided, however, that, in connection with any such breach that could not reasonably have been cured within such 90 day period, if the Seller shall have commenced to cure such breach within such 90 day period, the Seller shall be permitted to proceed thereafter diligently and expeditiously to cure the same within the additional period provided under the Mortgage Loan Purchase Agreement; and, provided further, that, in the case of the breach of any representation, warranty or covenant made by the Seller in Section 2.04 hereof, the Seller shall be obligated to cure such breach or purchase the affected Mortgage Loans for the Purchase Price or, if the Mortgage Loan or the related Mortgaged Property acquired with respect thereto has been sold, then the Seller shall pay, in lieu of the Purchase Price, any excess of the Purchase Price over the Net Liquidation Proceeds received upon such sale.  

(c)

The Purchase Price or Repurchase Price (as defined in the related Purchase Agreement) for a Mortgage Loan purchased or repurchased under this Section 2.03 or such other amount due shall be deposited in the Distribution Account on or prior to the next Determination Date after the Seller’s or the related Originator’s obligation to repurchase such Mortgage Loan arises.  The Trustee, upon receipt of written certification from the Master Servicer of the related deposit in the Distribution Account, shall release to the Seller or the related Originator, as applicable, the related Mortgage File and shall execute and deliver such instruments of transfer or assignment, in each case without recourse, as the Seller or the related Originator, as applicable, shall furnish to it and as shall be necessary to vest in the Seller or the related Originator, as applicable, any Mortgage Loan released pursuant hereto and the Trustee shall have no further responsibility with regard to such Mortgage File (it being understood that the Trustee shall have no responsibility for determining the sufficiency of such assignment for its intended purpose).    

(d)

Notwithstanding anything to the contrary set forth above and subject to (i) below, with respect to any breach by the Seller of a representation or warranty made by the Seller herein or in the Mortgage Loan Purchase Agreement that materially and adversely affects the value of a Mortgage Loan or the Mortgage Loans or the interest therein of the Certificateholders, if the Seller would not be in breach of such representation or warranty but for a breach by an Originator of a representation and warranty made by such Originator in the related Purchase Agreement, then such Originator thereunder, in the manner and to the extent set forth therein, and not the Seller, hereunder shall be required to remedy such breach.

The Trustee shall enforce the obligations of the Seller under the Mortgage Loan Purchase Agreement including, without limitation, any obligation of the Seller to purchase a Mortgage Loan on account of a breach of a representation, warranty or covenant as described in this Section 2.03(b).

(e)

If pursuant to the provisions of Section 2.03(b), the Seller repurchases or otherwise removes from the Trust Fund a Mortgage Loan that is a MERS Mortgage Loan, the Seller shall take (or shall cause the applicable Servicer to take), at the expense of the Seller (with the cooperation of the Depositor, the Master Servicer and the Trustee), such actions as are necessary either (i) cause MERS to execute and deliver an Assignment of Mortgage in recordable form to transfer the Mortgage from MERS to the Seller and shall cause such Mortgage to be removed from registration on the MERS® System in accordance with MERS’ rules and regulations or (ii) cause MERS to designate on the MERS® System the Seller or its designee as the beneficial holder of such Mortgage Loan.

(f)

[Reserved].

(g)

Any substitution of Qualified Substitute Mortgage Loans for Deleted Mortgage Loans made pursuant to Section 2.03(a) above must be effected prior to the last Business Day that is within two years after the Closing Date.  As to any Deleted Mortgage Loan for which the Seller substitutes a Qualified Substitute Mortgage Loan or Loans, such substitution shall be effected by the Seller delivering to the Custodian, on behalf of the Trustee, for such Qualified Substitute Mortgage Loan or Loans, the Mortgage Note, the Mortgage, the Assignment to the Trustee, and such other documents and agreements, with all necessary endorsements thereon, as are required by Section 2.01 hereof, together with an Officers’ Certificate stating that each such Qualified Substitute Mortgage Loan satisfies the definition thereof and specifying the Substitution Adjustment (as described below), if any, in connection with such substitution; provided, however, that, in the case of any Qualified Substitute Mortgage Loan that is a MERS Mortgage Loan, the Seller shall provide such documents and take such other action with respect to such Qualified Substitute Mortgage Loans as are required pursuant to Section 2.01 hereof.  The Custodian, on behalf of the Trustee, shall acknowledge receipt for such Qualified Substitute Mortgage Loan or Loans and, within five Business Days thereafter, shall review such documents as specified in Section 2.02 hereof and deliver to the related Servicer, with respect to such Qualified Substitute Mortgage Loan or Loans, a certification substantially in the form attached hereto as Exhibit G-2, with any exceptions noted thereon.  Within 180 days of the date of substitution, the Custodian, on behalf of the Trustee, shall deliver to the Seller and the Master Servicer a certification substantially in the form of Exhibit G-3 hereto with respect to such Qualified Substitute Mortgage Loan or Loans, with any exceptions noted thereon.  Monthly Payments due with respect to Qualified Substitute Mortgage Loans in the month of substitution are not part of the Trust Fund and will be retained by the Seller.  For the month of substitution, distributions to Certificateholders will reflect the collections and recoveries in respect of such Deleted Mortgage Loan in the Due Period preceding the month of substitution and the Depositor or the Seller, as the case may be, shall thereafter be entitled to retain all amounts subsequently received in respect of such Deleted Mortgage Loan.  The Seller shall give or cause to be given written notice to the Certificateholders that such substitution has taken place, shall amend the Mortgage Loan Schedule to reflect the removal of such Deleted Mortgage Loan from the terms of this Agreement and the substitution of the Qualified Substitute Mortgage Loan or Loans and shall deliver a copy of such amended Mortgage Loan Schedule to the Trustee.  Upon such substitution, such Qualified Substitute Mortgage Loan or Loans shall constitute part of the Trust Fund and shall be subject in all respects to the terms of this Agreement and, in the case of a substitution effected by the Seller, the Mortgage Loan Purchase Agreement, including, in the case of a substitution effected by the Seller all representations and warranties thereof included in the Mortgage Loan Purchase Agreement and all representations and warranties thereof set forth in Section 2.04 hereof, in each case as of the date of substitution.

For any month in which the Seller substitutes one or more Qualified Substitute Mortgage Loans for one or more Deleted Mortgage Loans, the Seller shall determine, and provide written certification to the Trustee and the Seller as to the amount (each, a “Substitution Adjustment”), if any, by which the aggregate Purchase Price of all such Deleted Mortgage Loans exceeds the aggregate, as to each such Qualified Substitute Mortgage Loan, of the principal balance thereof as of the date of substitution, together with one month’s interest on such principal balance at the applicable Net Loan Rate.  On or prior to the next Determination Date after the Seller’s obligation to repurchase the related Deleted Mortgage Loan arises, the Seller will deliver or cause to be delivered to the Master Servicer for deposit in the Distribution Account an amount equal to the related Substitution Adjustment, if any, and the Custodian, on behalf of the Trustee, upon receipt of the related Qualified Substitute Mortgage Loan or Loans, shall release to the Seller the related Mortgage File or Files and shall execute and deliver such instruments of transfer or assignment, in each case without recourse, as the Seller shall deliver to it and as shall be necessary to vest therein any Deleted Mortgage Loan released pursuant hereto.

In addition, the Seller shall obtain at its own expense and deliver to the Trustee and the Securities Administrator an Opinion of Counsel to the effect that such substitution (either specifically or as a class of transactions) will not cause an Adverse REMIC Event.  If such Opinion of Counsel cannot be delivered, then such substitution may only be effected at such time as the required Opinion of Counsel can be given.

(h)

Upon discovery by the Seller, the Depositor or the Trustee that any Mortgage Loan does not constitute a “qualified mortgage” within the meaning of Section 860G(a)(3) of the Code, the party discovering such fact shall within two Business Days give written notice thereof to the other parties.  In connection therewith, the Seller shall repurchase or, subject to the limitations set forth in Section 2.03(e), substitute one or more Qualified Substitute Mortgage Loans for the affected Mortgage Loan within 90 days of the earlier of discovery or receipt of such notice with respect to such affected Mortgage Loan.  Any such repurchase or substitution shall be made in the same manner as set forth in Section 2.03(b) above, if made by the Seller.  The Trustee shall reconvey to the Seller the Mortgage Loan to be released pursuant hereto in the same manner, and on the same terms and conditions, as it would a Mortgage Loan repurchased for breach of a representation or warranty.

(i)

Notwithstanding the foregoing, to the extent that any fact, condition or event with respect to a Mortgage Loan constitutes a breach of both (i) a representation or warranty of an Originator under the applicable Purchase Agreement and (ii) a representation or warranty of the Seller under this Agreement, in each case, which materially adversely affects the value of such Mortgage Loan or the interest therein of the Certificateholders, the Trustee shall first request that the applicable Originator cure such breach or repurchase such Mortgage Loan and if such Originator fails to cure such breach or repurchase such Mortgage Loan within 60 days of receipt of such request from the Trustee, the Trustee shall then request that the Seller cure such breach or repurchase such Mortgage Loans.

In addition to the foregoing, within 120 days of the earlier of discovery by the Seller or receipt of notice by the Seller of (i) the breach of any representation or warranty of any Originator under the applicable Purchase Agreement which materially and adversely affects the interests of the Certificateholders in any of the Mortgage Loans and for which such Originator has failed to cure such breach in accordance with the terms of the related Purchase Agreement and (ii)(a) the fact that such Originator  is no longer an operating company or (b) an Officers’ Certificate certifying to the fact that such Originator is financially unable to cure such breach pursuant to the terms of the Purchase Agreement, the Seller shall repurchase or substitute for such Mortgage Loan in accordance with this Section 2.03 of this Agreement.  Such obligation of the Seller shall continue until such time that the Rating Agencies inform the Depositor and the Seller in writing that such obligation is no longer required in order for the Rating Agencies to maintain their then-current ratings on the Certificates.


SECTION 2.04.  Representations and Warranties of the Seller with Respect to the Mortgage Loans.

The Seller hereby makes the following representations and warranties to the Trustee on behalf of the Certificateholders as of the Closing Date with respect to the Mortgage Loans:

(i)

Each Mortgage Loan at the time it was made complied in all material respects with applicable local, state, and federal laws, including, but not limited to, all applicable predatory and abusive lending laws.

(ii)

No Mortgage Loan is a “High Cost Loan” or “Covered Loan,” as applicable, (as such terms are defined in the then current Standard & Poor’s LEVELS® Glossary, Appendix E, in effect as of the Closing Date) and no Mortgage Loan originated on or after October 1, 2002 through March 6, 2003 is governed by the Georgia Fair Lending Act;

(iii)

With respect to each representation and warranty with respect to any Mortgage Loan made by the related Originator in the related Purchase Agreement that is made as of the related Closing Date (as defined in the related Purchase Agreement), to the Seller’s knowledge, no event has occurred since the related Closing Date (as defined in the related Purchase Agreement) that would render such representations and warranties to be untrue in any material respect; and

(iv)

[Reserved].

With respect to the representations and warranties in this Section 2.04 that are made to the best of the Seller’s knowledge or as to which the Seller has no knowledge, if it is discovered by the Depositor, the Seller or the Trustee that the substance of such representation and warranty is inaccurate and such inaccuracy materially and adversely affects the value of the related Mortgage Loan or the interest therein of the Certificateholders then, notwithstanding the Seller’s lack of knowledge with respect to the substance of such representation and warranty being inaccurate at the time the representation or warranty was made, such inaccuracy shall be deemed a breach of the applicable representation or warranty.

It is understood and agreed that the representations and warranties in this Section 2.04 shall survive delivery of the Mortgage Files to the Trustee and shall inure to the benefit of the Certificateholders notwithstanding any restrictive or qualified endorsement or assignment.  Upon discovery by any of the Depositor, the Seller or the Trustee of a breach of any of the foregoing representations and warranties which materially and adversely affects the value of any Mortgage Loan or the interests therein of the Certificateholders, the party discovering such breach shall give prompt written notice to the other parties, and in no event later than two Business Days from the date of such discovery.  It is understood and agreed that the obligations of the Seller set forth in Section 2.03(b) hereof to cure, substitute for or repurchase a related Mortgage Loan pursuant to the Mortgage Loan Purchase Agreement constitute the sole remedies available to the Certificateholders or to the Trustee on their behalf respecting a breach of the representations and warranties incorporated in this Section 2.04.

SECTION 2.05.  [Reserved].

SECTION 2.06.  Representations and Warranties of the Depositor.

The Depositor represents and warrants to the Trustee, the Master Servicer and the Securities Administrator on behalf of the Certificateholders as follows:

(i)

this agreement constitutes a legal, valid and binding obligation of the Depositor, enforceable against the Depositor in accordance with its terms, except as enforceability may be limited by applicable bankruptcy, insolvency, reorganization, moratorium or other similar laws now or hereafter in effect affecting the enforcement of creditors’ rights in general an except as such enforceability may be limited by general principles of equity (whether considered in a proceeding at law or in equity);

(ii)

immediately prior to the sale and assignment by the Depositor to the Trustee on behalf of the Trust of each Mortgage Loan, the Depositor had good and marketable title to each Mortgage Loan (insofar as such title was conveyed to it by the Seller) subject to no prior lien, claim, participation interest, mortgage, security interest, pledge, charge or other encumbrance or other interest of any nature;

(iii)

as of the Closing Date, the Depositor has transferred all right, title and interest in the Mortgage Loans to the Trustee on behalf of the Trust;

(iv)

the Depositor has not transferred the Mortgage Loans to the Trustee on behalf of the Trust with any intent to hinder, delay or defraud any of its creditors;

(v)

the Depositor has been duly incorporated and is validly existing as a corporation in good standing under the laws of Delaware, with full corporate power and authority to own its assets and conduct its business as presently being conducted;

(vi)

the Depositor is not in violation of its certificate of incorporation or by-laws or in default in the performance or observance of any material obligation, agreement, covenant or condition contained in any contract, indenture, mortgage, loan agreement, note, lease or other instrument to which the Depositor is a party or by which it or its properties may be bound, which default might result in any material adverse changes in the financial condition, earnings, affairs or business of the Depositor or which might materially and adversely affect the properties or assets, taken as a whole, of the Depositor;

(vii)

the execution, delivery and performance of this Agreement by the Depositor, and the consummation of the transactions contemplated hereby, do not and will not result in a material breach or violation of any of the terms or provisions of, or, to the knowledge of the Depositor, constitute a default under, any indenture, mortgage, deed of trust, loan agreement or other agreement or instrument to which the Depositor is a party or by which the Depositor is bound or to which any of the property or assets of the Depositor is subject, nor will such actions result in any violation of the provisions of the certificate of incorporation or by-laws of the Depositor or, to the best of the Depositor’s knowledge without independent investigation, any statute or any order, rule or regulation of any court or governmental agency or body having jurisdiction over the Depositor or any of its properties or assets (except for such conflicts, breaches, violations and defaults as would not have a material adverse effect on the ability of the Depositor to perform its obligations under this Agreement);

(viii)

to the best of the Depositor’s knowledge without any independent investigation, no consent, approval, authorization, order, registration or qualification of or with any court or governmental agency or body of the United States or any other jurisdiction is required for the issuance of the Certificates, or the consummation by the Depositor of the other transactions contemplated by this Agreement, except such consents, approvals, authorizations, registrations or qualifications as (a) may be required under State securities or “blue sky” laws, (b) have been previously obtained or (c) the failure of which to obtain would not have a material adverse effect on the performance by the Depositor of its obligations under, or the validity or enforceability of, this Agreement; and

(ix)

there are no actions, proceedings or investigations pending before or, to the Depositor’s knowledge, threatened by any court, administrative agency or other tribunal to which the Depositor is a party or of which any of its properties is the subject: (a) which if determined adversely to the Depositor would have a material adverse effect on the business, results of operations or financial condition of the Depositor; (b) asserting the invalidity of this Agreement or the Certificates; (c) seeking to prevent the issuance of the Certificates or the consummation by the Depositor of any of the transactions contemplated by this Agreement, as the case may be; or (d) which might materially and adversely affect the performance by the Depositor of its obligations under, or the validity or enforceability of, this Agreement.

SECTION 2.07.  Issuance of Certificates.

The Trustee acknowledges the assignment to it of the Mortgage Loans and the delivery to it of the Mortgage Files, subject to the provisions of Sections 2.01 and 2.02 hereof, together with the assignment to it of all other assets included in the Trust Fund, receipt of which is hereby acknowledged.  Concurrently with such assignment and delivery and in exchange therefor, the Trustee, pursuant to the written request of the Depositor executed by an officer of the Depositor, has caused to be executed, authenticated and delivered to or upon the order of the Depositor, the Certificates in authorized denominations.  The interests evidenced by the Certificates constitute the entire beneficial ownership interest in the Trust Fund.

SECTION 2.08.  Representations and Warranties of the Seller.

The Seller hereby represents and warrants to the Trustee on behalf of the Certificateholders that, as of the Closing Date or as of such date specifically provided herein:

(i)

The Seller is duly organized, validly existing and in good standing and has the power and authority to own its assets and to transact the business in which it is currently engaged.  The Seller is duly qualified to do business and is in good standing in each jurisdiction in which the character of the business transacted by it or properties owned or leased by it requires such qualification and in which the failure to so qualify would have a material adverse effect on (a) its business, properties, assets or condition (financial or other), (b) the performance of its obligations under this Agreement, or (c) the value or marketability of the Mortgage Loans.

(ii)

The Seller has the power and authority to make, execute, deliver and perform this Agreement and to consummate all of the transactions contemplated hereunder and has taken all necessary action to authorize the execution, delivery and performance of this Agreement which is part of its official records.  When executed and delivered, this Agreement will constitute the Seller’s legal, valid and binding obligations enforceable in accordance with its terms, except as enforcement of such terms may be limited by (1) bankruptcy, insolvency, reorganization, receivership, moratorium or similar laws affecting the enforcement of creditors’ rights generally and the rights of creditors of federally insured financial institutions and by the availability of equitable remedies, (2) general equity principles (regardless of whether such enforcement is considered in a proceeding in equity or at law) or (3) public policy considerations underlying the securities laws, to the extent that such policy considerations limit the enforceability of the provisions of this Agreement which purport to provide indemnification from securities laws liabilities.

(iii)

The Seller holds all necessary licenses, certificates and permits from all governmental authorities necessary for conducting its business as it is currently conducted.  It is not required to obtain the consent of any other party or any consent, license, approval or authorization from, or registration or declaration with, any governmental authority, bureau or agency in connection with the execution, delivery, performance, validity or enforceability of this Agreement, except for such consents, licenses, approvals or authorizations, or registrations or declarations as shall have been obtained or filed, as the case may be, prior to the Closing Date.

(iv)

The execution, delivery and performance of this Agreement by the Seller will not conflict with or result in a breach of, or constitute a default under, any provision of any existing law or regulation or any order or decree of any court applicable to the Seller or any of its properties or any provision of its articles of incorporation, charter or by-laws, or constitute a material breach of, or result in the creation or imposition of any lien, charge or encumbrance upon any of its properties pursuant to any mortgage, indenture, contract or other agreement to which it is a party or by which it may be bound.

(v)

No certificate of an officer, written statement or written report delivered pursuant to the terms hereof of the Seller contains any untrue statement of a material fact or omits to state any material fact necessary to make the certificate, statement or report not misleading.

(vi)

The transactions contemplated by this Agreement are in the ordinary course of the Seller’s business.

(vii)

The Seller is not insolvent, nor will the Seller be made insolvent by the transfer of the Mortgage Loans to the Depositor, nor is the Seller aware of any pending insolvency of the Seller.

(viii)

The Seller is not in violation of, and the execution and delivery of this Agreement by the Seller and its performance and compliance with the terms of this Agreement will not constitute a violation with respect to, any order or decree of any court, or any order or regulation of any federal, state, municipal or governmental agency having jurisdiction, which violation would materially and adversely affect the Seller’s financial condition (financial or otherwise) or operations, or materially and adversely affect the performance of any of its duties hereunder.

(ix)

There are no actions or proceedings against the Seller, or pending or, to its knowledge, threatened, before any court, administrative agency or other tribunal; nor, to the Seller’s knowledge, are there any investigations (i) that, if determined adversely, would prohibit the Seller from entering into this Agreement, (ii) seeking to prevent the consummation of any of the transactions contemplated by this Agreement or (iii) that, if determined adversely, would prohibit or materially and adversely affect the Seller’s ability to perform any of its respective obligations under, or the validity or enforceability of, this Agreement.

(x)

The Seller did not transfer the Mortgage Loans to the Depositor with any intent to hinder, delay or defraud any of its creditors.

(xi)

The Seller acquired title to the Mortgage Loans in good faith, without notice of any adverse claims.

(xii)

The transfer, assignment and conveyance of the Mortgage Notes and the Mortgages by the Seller to the Depositor are not subject to the bulk transfer laws or any similar statutory provisions in effect in any applicable jurisdiction.

SECTION 2.09.  Covenants of the Seller.  

The Seller hereby covenants that, except for the transfer hereunder, the Seller will not sell, pledge, assign or transfer to any other Person, or grant, create, incur, assume or suffer to exist any lien on any Mortgage Loan, or any interest therein; the Seller will notify the Trustee, as assignee of the Depositor, and the Master Servicer of the existence of any lien on any Mortgage Loan immediately upon discovery thereof, and the Seller will defend the right, title and interest of the Trustee, as assignee of the Depositor, in, to and under the Mortgage Loans, against all claims of third parties claiming through or under the Seller; provided, however, that nothing in this Section 2.09 shall prevent or be deemed to prohibit the Seller from suffering to exist upon any of the Mortgage Loans any liens for municipal or other local taxes and other governmental charges if such taxes or governmental charges shall not at the time be due and payable or if the Seller shall currently be contesting the validity thereof in good faith by appropriate proceedings and shall have set aside on its books adequate reserves with respect thereto.

ARTICLE III

ADMINISTRATION AND MASTER SERVICING OF THE MORTGAGE LOANS

SECTION 3.01.  Master Servicer to Service and Administer the Mortgage Loans.

The Master Servicer shall supervise, monitor and oversee the obligation of the Servicers to service and administer their respective Mortgage Loans in accordance with the terms of the applicable Servicing Agreement and shall have full power and authority to do any and all things which it may deem necessary or desirable in connection with such master servicing and administration.  In performing its obligations hereunder, the Master Servicer shall act in a manner consistent with Accepted Master Servicing Practices.  Furthermore, the Master Servicer shall oversee and consult with each Servicer as necessary from time-to-time to carry out the Master Servicer’s obligations hereunder, shall receive, review and evaluate all reports, information and other data provided to the Master Servicer by each Servicer and shall cause each Servicer to perform and observe the covenants, obligations and conditions to be performed or observed by such Servicer under the applicable Servicing Agreement.  The Master Servicer shall independently and separately monitor each Servicer’s servicing activities with respect to each related Mortgage Loan, reconcile the results of such monitoring with such information provided in the previous sentence on a monthly basis and coordinate corrective adjustments to the Servicers’ and Master Servicer’s records, and based on such reconciled and corrected information, prepare the Remittance Report and any other information and statements required of the Master Servicer hereunder.  Notwithstanding any provision of this Agreement or any Servicing Agreement to the contrary, the Master Servicer shall have no duty or obligation to supervise, monitor or oversee the activities of, or to enforce the obligations of the Servicer under its Servicing Agreement with respect to any Additional Collateral, including, without limitation, the collection of any amounts owing to the Trust Fund in respect thereof (unless and until the Master Servicer shall have assumed the obligations of such Servicer as successor servicer under the related Servicing Agreement pursuant to this Section 3.01, in which case, as successor servicer, it shall be bound to serve and administer the Additional Collateral in accordance with the provisions of such Servicing Agreement).

The Trustee shall furnish the Servicers and the Master Servicer with any limited powers of attorney and other documents in form acceptable to the Trustee, necessary or appropriate to enable the Servicers and the Master Servicer to service and administer the related Mortgage Loans and REO Property, which limited powers of attorney shall provide that the Trustee will not be liable for the actions or omissions of the Servicers or Master Servicer in exercising such powers.

The Trustee shall provide access to the records and documentation in possession of the Trustee (including in its capacity as Custodian hereunder) regarding the related Mortgage Loans and REO Property and the servicing thereof to the Certificateholders, the FDIC, and the supervisory agents and examiners of the FDIC, such access being afforded only upon reasonable prior written request and during normal business hours at the office of the Trustee; provided, however, that, unless otherwise required by law, the Trustee shall not be required to provide access to such records and documentation if the provision thereof would violate the legal right to privacy of any Mortgagor.  The Trustee shall allow representatives of the above entities to photocopy any of the records and documentation and shall provide equipment for that purpose at a charge that covers the Trustee’s actual costs.

The Trustee shall execute and deliver to the related Servicer and the Master Servicer any court pleadings, requests for trustee’s sale or other documents necessary or desirable to (i) the foreclosure or trustee’s sale with respect to a Mortgaged Property; (ii) any legal action brought to obtain judgment against any Mortgagor on the Mortgage Note or Mortgage; (iii) obtain a deficiency judgment against the Mortgagor; or (iv) enforce any other rights or remedies provided by the Mortgage Note or Mortgage or otherwise available at law or equity.

SECTION 3.02.  REMIC-Related Covenants.

For as long as any REMIC created hereunder shall exist, the Trustee and the Securities Administrator shall act in accordance herewith to assure continuing treatment of such REMIC as a REMIC, and the Trustee and the Securities Administrator shall comply with any directions of the Depositor, the related Servicer or the Master Servicer to assure such continuing treatment.  In particular, the Trustee shall not (a) sell or permit the sale of all or any portion of the Mortgage Loans or of any investment of deposits in an Account unless such sale is as a result of a repurchase of the Mortgage Loans pursuant to this Agreement or the Trustee has received a REMIC Opinion prepared at the expense of the Trust; and (b) other than with respect to a substitution pursuant to the Mortgage Loan Purchase Agreement or Section 2.04 of this Agreement, as applicable, accept any contribution to any REMIC after the Startup Day without receipt of a REMIC Opinion.

SECTION 3.03.  Monitoring of Servicers.

(a)

The Master Servicer shall be responsible for reporting to the Trustee (on behalf of the Trust) and the Depositor the compliance by each Servicer with its duties under the related Servicing Agreement.  In the review of each Servicer’s activities, the Master Servicer may rely upon an officer’s certificate of the Servicer with regard to such Servicer’s compliance with the terms of its Servicing Agreement.  In the event that the Master Servicer, in its judgment, determines that a Servicer should be terminated in accordance with its Servicing Agreement, or that a notice should be sent pursuant to such Servicing Agreement with respect to the occurrence of an event that, unless cured, would constitute grounds for such termination, the Master Servicer shall notify the Depositor and the Trustee thereof and with respect to any SRO Servicer, the Master Servicer shall also notify the Servicing Rights Owner, and the Master Servicer shall issue such notice or take such other action as it deems appropriate and is consistent with Section 3.03(b) or, with respect to any SRO Servicer, Section 3.03(f) below.

(b)

The Master Servicer, for the benefit of the Trust and the Certificateholders, shall enforce the obligations of each Servicer under the related Servicing Agreement, and shall, in the event that a Servicer fails to perform its obligations in accordance with the related Servicing Agreement, subject to the preceding paragraph, (a) for any SRO Servicer, act in accordance with Section 3.03(f) below and (b) for any other Servicer, terminate the rights and obligations of such Servicer thereunder and act as servicer of the related Mortgage Loans or enter into a new Servicing Agreement with a successor Servicer selected by the Master Servicer which the Master Servicer shall cause the Trustee to acknowledge; provided, however, it is understood and acknowledged by the parties hereto that there will be a period of transition (not to exceed 90 days) before the actual servicing functions can be fully transferred to such successor Servicer.  Such enforcement, including, without limitation, the legal prosecution of claims, termination of Servicing Agreements and the pursuit of other appropriate remedies, shall be in such form and carried out to such an extent and at such time as the Master Servicer, in its good faith business judgment, would require were it the owner of the related Mortgage Loans.  Subject to Section 3.03(c) below, the Master Servicer shall pay the costs of such enforcement at its own expense, provided that the Master Servicer shall not be required to prosecute or defend any legal action except to the extent that the Master Servicer shall have received reasonable indemnity for its costs and expenses in pursuing such action from the Trust Fund.

(c)

To the extent that the costs and expenses of the Master Servicer related to any termination of a Servicer, appointment of a successor Servicer or the transfer and assumption of servicing by the Master Servicer or a successor Servicer with respect to any Servicing Agreement (including, without limitation, (i) all legal costs and expenses and all due diligence costs and expenses associated with an evaluation of the potential termination of the Servicer as a result of an event of default by such Servicer and (ii) all costs and expenses associated with the complete transfer of servicing, including all servicing files and all servicing data and the completion, correction or manipulation of such servicing data as may be required by the successor servicer to correct any errors or insufficiencies in the servicing data or otherwise to enable the successor service to service the Mortgage Loans in accordance with the related Servicing Agreement) are not fully and timely reimbursed by the terminated Servicer, or with respect to any terminated SRO Servicer, are not fully and timely reimbursed by the terminated SRO Servicer (or, solely with respect to a termination of any SRO Servicer without cause, the Servicing Rights Owner), the Master Servicer shall be entitled to reimbursement of such costs and expenses from the Distribution Account.

(d)

The Master Servicer shall require each Servicer to comply with the remittance requirements and other obligations set forth in the related Servicing Agreement.

(e)

If the Master Servicer acts as Servicer, it will not assume liability for the representations and warranties of the predecessor Servicer, if any, that it replaces or for any errors, acts or omissions of such predecessor Servicer occurring prior to the termination of such Servicer; provided, however, the Master Servicer shall not be relieved of its liability, if any, as Master Servicer under this Section 3.03(e).

(f)

The Master Servicer, for the benefit of the Trust and the Certificateholders, shall enforce the obligations of each SRO Servicer under the related Servicing Agreement.  In the event that a SRO Servicer fails to perform its obligations in accordance with the related Servicing Agreement, subject to the paragraph (a) above, the Master Servicer shall terminate the rights and obligations of such Servicer thereunder and the Master Servicer shall act as servicer of the related Mortgage Loans or enter into a new Servicing Agreement with a successor Servicer that is an Acceptable Successor Servicer selected by the Master Servicer.  Such successor Servicer shall certify to the Trustee that such successor Servicer is an Acceptable Successor Servicer and the Master Servicer shall cause the Trustee to acknowledge such successor Servicer; provided, however, it is understood and acknowledged by the parties hereto that (i) there will be a period of transition (not to exceed 90 days) before the actual servicing functions can be fully transferred to such successor Servicer and (ii) during the period in which any successor Servicer appointed by the Master Servicer services the related SRO Mortgage Loans, notwithstanding anything to the contrary in this Agreement or the related Servicing Agreement, (a) such successor Servicer, including the Master Servicer if it is the successor Servicer, shall be entitled to retain the full amount of the Servicing Fee for such SRO Mortgage Loans, and the Servicing Rights Owner shall not be entitled to any part of the Servicing Fee with respect to such SRO Mortgage Loans and (b) such successor Servicer must assume all of the obligations of the terminated Servicer under the related Servicing Agreement.  Such enforcement, including, without limitation, the legal prosecution of claims, termination of Servicing Agreements and the pursuit of other appropriate remedies, shall be in such form and carried out to such an extent and at such time as the Master Servicer, in its good faith business judgment, would require were it the owner of the related Mortgage Loans.  The Master Servicer shall pay the costs of such enforcement at its own expense, provided that the Master Servicer shall not be required to prosecute or defend any legal action except to the extent that the Master Servicer shall have received reasonable indemnity for its costs and expenses in pursuing such action from the Trust Fund.  Notwithstanding anything to the contrary herein, upon the termination of any SRO Servicer for any reason whatsoever, the Servicing Rights Owner, as owner of the related Servicing Rights, shall at all times have the right to present the Master Servicer with a successor Servicer which the Master Servicer will not unreasonably fail to select as the successor Servicer, assuming that such servicer is an Acceptable Successor Servicer and that such servicer will assume all of the obligations of the terminated Servicer under the related Servicing Agreement.  The Trustee shall have no duty, and shall not be required, to review the terms of such assumption under the related Servicing Agreement.

(g)

It is understood and acknowledged by the parties hereto that, under the related Servicing Agreement, any SRO Servicer has the right to resign as a SRO Servicer under the related Servicing Agreement, provided that such resignation shall not become effective until (i) the Servicing Rights Owner has consented to such resignation, and (ii) a successor Servicer is appointed which (a) is an Acceptable Successor Servicer and (b) which has assumed all of the obligations of the terminated Servicer under the related Servicing Agreement.

(h)

It is understood and acknowledged by the parties hereto that, subject to the provisions of Section 3.03(f) of this Agreement, under the related Servicing Agreement, the Servicing Rights Owner has the right to terminate any related SRO Servicer, without cause, as provided and subject to the limitations of the related Servicing Agreement; provided that such termination shall not become effective until a successor Servicer is appointed which (a) is an Acceptable Successor Servicer and (b) which has assumed all of the obligations of the terminated Servicer under the related Servicing Agreement.  Any termination fees owed to the terminated SRO Servicer and any reasonable costs and expenses of the Master Servicer incurred in connection with such termination and transfer of servicing shall be paid by the Servicing Rights Owner.

SECTION 3.04.  Fidelity Bond.

The Master Servicer, at its expense, shall maintain in effect a blanket fidelity bond and an errors and omissions insurance policy, affording coverage with respect to all directors, officers, employees and other Persons acting on such Master Servicer’s behalf, and covering errors and omissions in the performance of the Master Servicer’s obligations hereunder.  The errors and omissions insurance policy and the fidelity bond shall be in such form and amount generally acceptable for entities serving as master servicers or trustees.

SECTION 3.05.  Power to Act; Procedures.

The Master Servicer shall master service the Mortgage Loans and shall have full power and authority, subject to the REMIC Provisions and the provisions of Article X hereof, to do any and all things that it may deem necessary or desirable in connection with the master servicing and administration of the Mortgage Loans, including but not limited to the power and authority (i) to execute and deliver, on behalf of the Certificateholders, the Trust and the Trustee, customary consents or waivers and other instruments and documents, (ii) to consent to transfers of any Mortgaged Property and assumptions of the Mortgage Notes and related Mortgages, (iii) to collect any Insurance Proceeds and Liquidation Proceeds, and (iv) to effectuate, either in its own name on behalf of the Trust, or in the name of the Trust, foreclosure or other conversion of the ownership of the Mortgaged Property securing any Mortgage Loan, in each case, in accordance with the provisions of this Agreement and the related Servicing Agreement, as applicable; provided, however, that the Master Servicer shall not (and, consistent with its responsibilities under Section 3.03, shall not permit any Servicer to) knowingly or intentionally take any action, or fail to take (or fail to cause to be taken) any action reasonably within its control and the scope of duties more specifically set forth herein, that, under the REMIC Provisions, if taken or not taken, as the case may be, would cause an Adverse REMIC Event unless the Master Servicer has received an Opinion of Counsel (but not at the expense of the Master Servicer) to the effect that the contemplated action will not cause the REMIC created hereunder to fail to qualify as a REMIC or result in the imposition of a tax upon such REMIC created hereunder.  The Trustee shall furnish the Master Servicer, upon written request from a Servicing Officer, with any limited powers of attorney empowering the Master Servicer or any Servicer to execute and deliver instruments of satisfaction or cancellation, or of partial or full release or discharge, and to foreclose upon or otherwise liquidate Mortgaged Property, and to appeal, prosecute or defend in any court action relating to the Mortgage Loans or the Mortgaged Property, in accordance with the applicable Servicing Agreement and this Agreement, and the Trustee shall execute and deliver such other documents, as the Master Servicer may request, to enable the Master Servicer to master service and administer the Mortgage Loans and carry out its duties hereunder, in each case in accordance with Accepted Master Servicing Practices (and the Trustee shall have no liability for misuse of any such powers of attorney by the Master Servicer or any Servicer).  In instituting foreclosures or similar proceedings, the Master Servicer shall institute such proceedings either in its own name on behalf of the Trust, or in the name of the Trust (or cause the related Servicer, pursuant to the related Servicing Agreement, to institute such proceedings either in the name of such Servicer on behalf of the Trust, or in the name of the Trust), unless otherwise required by law or otherwise appropriate.  If the Master Servicer or the Trustee has been advised that it is likely that the laws of the state in which action is to be taken prohibit such action if taken in the name of the Trust or the Trustee on behalf of the Trust or that the Trust or the Trustee would be adversely affected under the “doing business” or tax laws of such state if such action is taken in its name, the Master Servicer shall join with the Trustee, on behalf of the Trust, in the appointment of a co-trustee pursuant to Section 8.10 hereof.  In the performance of its duties hereunder, the Master Servicer shall be an independent contractor and shall not, except in those instances where it is taking action in the name of the Trustee, be deemed to be the agent of the Trustee.

SECTION 3.06.  Due-on-Sale Clauses; Assumption Agreements.

To the extent provided in the applicable Servicing Agreement and to the extent Mortgage Loans contain enforceable due-on-sale clauses, the Master Servicer shall cause the Servicers to enforce such clauses in accordance with the applicable Servicing Agreement.  If applicable law prohibits the enforcement of a due-on-sale clause or such clause is otherwise not enforced in accordance with the applicable Servicing Agreement, and, as a consequence, a Mortgage Loan is assumed, the original Mortgagor may be released from liability in accordance with the applicable Servicing Agreement.

SECTION 3.07.  Release of Mortgage Files.

(a)

Upon becoming aware of the payment in full of any Mortgage Loan, or the receipt by any Servicer of a notification that payment in full has been escrowed in a manner customary for such purposes for payment to Certificateholders on the next Distribution Date, the Servicer will, if required under the applicable Servicing Agreement, promptly furnish to the Custodian, on behalf of the Trustee, two copies of a certification substantially in the form of Exhibit F hereto signed by a Servicing Officer or in a mutually agreeable electronic format which will, in lieu of a signature on its face, originate from a Servicing Officer (which certification shall include a statement to the effect that all amounts received in connection with such payment that are required to be deposited in the related Servicing Account maintained by the applicable Servicer pursuant to Section 4.01 or by the applicable Servicer pursuant to its Servicing Agreement have been or will be so deposited) and shall request that the Trustee (or the Custodian, on behalf of the Trustee) deliver to the applicable Servicer the related Mortgage File.  Upon receipt of such certification and request, the Trustee (or the Custodian, on behalf of the Trustee), shall promptly release the related Mortgage File to the applicable Servicer and the Trustee (and the Custodian, if applicable) shall have no further responsibility with regard to such Mortgage File.  Upon any such payment in full, each Servicer is authorized, to give, as agent for the Trustee, as the mortgagee under the Mortgage that secured the Mortgage Loan, an instrument of satisfaction (or assignment of mortgage without recourse) regarding the Mortgaged Property subject to the Mortgage, which instrument of satisfaction or assignment, as the case may be, shall be delivered to the Person or Persons entitled thereto against receipt therefor of such payment, it being understood and agreed that no expenses incurred in connection with such instrument of satisfaction or assignment, as the case may be, shall be chargeable to the related Servicing Account.

(b)

From time to time and as appropriate for the servicing or foreclosure of any Mortgage Loan and in accordance with the applicable Servicing Agreement, the Trustee shall execute such documents as shall be prepared and furnished to the Trustee by a Servicer or the Master Servicer (in form reasonably acceptable to the Trustee) and as are necessary to the prosecution of any such proceedings.  The Trustee (or the Custodian, on behalf of the Trustee), shall, upon the request of a Servicer or the Master Servicer, and upon delivery to the Trustee (or the Custodian, on behalf of the Trustee) of two copies of a request for release signed by a Servicing Officer substantially in the form of Exhibit F (or in a mutually agreeable electronic format which will, in lieu of a signature on its face, originate from a Servicing Officer), release the related Mortgage File held in its possession or control to the Servicer or the Master Servicer, as applicable.  Such trust receipt shall obligate the Servicer or the Master Servicer to return the Mortgage File to the Trustee (or the Custodian on behalf of the Trustee) when the need therefor by the Servicer or the Master Servicer no longer exists unless the Mortgage Loan shall be liquidated, in which case, upon receipt of a certificate of a Servicing Officer similar to that hereinabove specified, the Mortgage File shall be released by the Trustee (or the Custodian, on behalf of the Trustee), to the Servicer or the Master Servicer.

SECTION 3.08.  Documents, Records and Funds in Possession of Master Servicer to be Held for Trust.

(a)

The Master Servicer shall transmit and each Servicer (to the extent required by the related Servicing Agreement) shall transmit to the Trustee (or Custodian) such documents and instruments coming into the possession of the Master Servicer or such Servicer from time to time as are required by the terms hereof or, in the case of the Servicers, by the applicable Servicing Agreement, to be delivered to the Trustee (or Custodian).  Any funds received by the Master Servicer or by a Servicer in respect of any Mortgage Loan or which otherwise are collected by the Master Servicer or by a Servicer as Liquidation Proceeds or Insurance Proceeds in respect of any Mortgage Loan shall be held for the benefit of the Trust and the Certificateholders, subject to the Master Servicer’s right to retain or withdraw from the Distribution Account the Master Servicing Fee, any additional compensation pursuant to Section 3.14 and any other amounts provided in this Agreement, and to the right of each Servicer to retain its Servicing Fee and any other amounts as provided in the applicable Servicing Agreement.  The Master Servicer shall, and (to the extent provided in the applicable Servicing Agreement) shall cause each Servicer to, provide access to information and documentation regarding the Mortgage Loans to the Trustee, its agents and accountants at any time upon reasonable request and during normal business hours, and to Certificateholders that are savings and loan associations, banks or insurance companies, the Office of Thrift Supervision, the FDIC and the supervisory agents and examiners of such Office and Corporation or examiners of any other federal or state banking or insurance regulatory authority if so required by applicable regulations of the Office of Thrift Supervision or other regulatory authority, such access to be afforded without charge but only upon reasonable request in writing and during normal business hours at the offices of the Master Servicer designated by it.  In fulfilling such a request the Master Servicer shall not be responsible for determining the sufficiency of such information.

(b)

All Mortgage Files and funds collected or held by, or under the control of, the Master Servicer, in respect of any Mortgage Loans shall be held by the Master Servicer for and on behalf of the Trust and the Certificateholders and shall be and remain the sole and exclusive property of the Trust; provided, however, that the Master Servicer and each Servicer shall be entitled to setoff against, and deduct from, any such funds any amounts that are properly due and payable to the Master Servicer or such Servicer under this Agreement or the applicable Servicing Agreement.

SECTION 3.09.  Standard Hazard Insurance and Flood Insurance Policies

(a)

For each Mortgage Loan (other than a Cooperative Loan), the Master Servicer shall enforce any obligation of the Servicers under the related Servicing Agreements to maintain or cause to be maintained standard fire and casualty insurance and, where applicable, flood insurance, all in accordance with the provisions of the related Servicing Agreements.  It is understood and agreed that such insurance shall be with insurers meeting the eligibility requirements set forth in the applicable Servicing Agreement and that no earthquake or other additional insurance is to be required of any Mortgagor or to be maintained on property acquired in respect of a defaulted loan, other than pursuant to such applicable laws and regulations as shall at any time be in force and as shall require such additional insurance.

(b)

Pursuant to Sections 4.01 and 4.02, any amounts collected by any Servicer or the Master Servicer under any insurance policies (other than amounts to be applied to the restoration or repair of the property subject to the related Mortgage or released to the Mortgagor in accordance with the applicable Servicing Agreement) shall be deposited into the Distribution Account, subject to withdrawal pursuant to Sections 4.02 and 4.03.  Any cost incurred by the Master Servicer or any Servicer in maintaining any such insurance if the Mortgagor defaults in its obligation to do so shall be added to the amount owing under the Mortgage Loan where the terms of the Mortgage Loan so permit; provided, however, that the addition of any such cost shall not be taken into account for purposes of calculating the distributions to be made to Certificateholders and shall be recoverable by the Master Servicer or such Servicer pursuant to Sections 4.02 and 4.03.

SECTION 3.10.  Presentment of Claims and Collection of Proceeds.

The Master Servicer shall (to the extent provided in the applicable Servicing Agreement) cause the related Servicer to prepare and present on behalf of the Trustee, the Trust and the Certificateholders all claims under the Insurance Policies and take such actions (including the negotiation, settlement, compromise or enforcement of the insured’s claim) as shall be necessary to realize recovery under such policies.  Any proceeds disbursed to the Master Servicer (or disbursed to a Servicer and remitted to the Master Servicer) in respect of such policies, bonds or contracts shall be promptly deposited in the Distribution Account upon receipt, except that any amounts realized that are to be applied to the repair or restoration of the related Mortgaged Property as a condition precedent to the presentation of claims on the related Mortgage Loan to the insurer under any applicable Insurance Policy need not be so deposited (or remitted).

SECTION 3.11.  Maintenance of the Primary Insurance Policies.

(a)

The Master Servicer shall not take, or permit any Servicer (to the extent such action is prohibited under the applicable Servicing Agreement) to take, any action that would result in noncoverage under any applicable Primary Insurance Policy of any loss which, but for the actions of such Master Servicer or Servicer, would have been covered thereunder.  The Master Servicer shall use its best reasonable efforts to cause each Servicer (to the extent required under the related Servicing Agreement) to keep in force and effect (to the extent that the Mortgage Loan requires the Mortgagor to maintain such insurance), primary mortgage insurance applicable to each Mortgage Loan (including any lender-paid Primary Insurance Policy) in accordance with the provisions of this Agreement and the related Servicing Agreement, as applicable.  The Master Servicer shall not, and shall not permit any Servicer (to the extent required under the related Servicing Agreement) to, cancel or refuse to renew any such Primary Insurance Policy that is in effect at the date of the initial issuance of the Mortgage Note and is required to be kept in force hereunder except in accordance with the provisions of this Agreement and the related Servicing Agreement, as applicable.

(b)

The Master Servicer agrees to cause each Servicer (to the extent required under the related Servicing Agreement) to present, on behalf of the Trustee, the Trust and the Certificateholders, claims to the insurer under any Primary Insurance Policies and, in this regard, to take such reasonable action as shall be necessary to permit recovery under any Primary Insurance Policies respecting defaulted Mortgage Loans.  Pursuant to Section 4.01, any amounts collected by the Servicer under any Primary Insurance Policies shall be remitted to the Master Servicer for deposit in the Distribution Account, subject to withdrawal pursuant to Section 4.03.

SECTION 3.12.  Trustee to Retain Possession of Certain Insurance Policies and Documents.

The Trustee (or the Custodian, as directed by the Trustee), shall retain possession and custody of the originals (to the extent available) of any Primary Insurance Policies or certificate of insurance if applicable, and any certificates of renewal as to the foregoing as may be issued from time to time as contemplated by this Agreement.  Until all amounts distributable in respect of the Certificates have been distributed in full and the Master Servicer otherwise has fulfilled its obligations under this Agreement, the Trustee (or the Custodian, as directed by the Trustee) shall also retain possession and custody of each Mortgage File in accordance with and subject to the terms and conditions of this Agreement.  The Master Servicer shall promptly deliver or cause to be delivered to the Trustee (or the Custodian, as directed by the Trustee), upon the execution or receipt thereof the originals of any Primary Insurance Policies, any certificates of renewal, and such other documents or instruments that constitute portions of the Mortgage File that come into the possession of the Master Servicer from time to time.

SECTION 3.13.  Realization Upon Defaulted Mortgage Loans.

The Master Servicer shall cause each Servicer (to the extent required under the related Servicing Agreement) to foreclose upon, repossess or otherwise comparably convert the ownership of Mortgaged Properties securing such of the Mortgage Loans as come into and continue in default and as to which no satisfactory arrangements can be made for collection of delinquent payments, all in accordance with the applicable Servicing Agreement.

SECTION 3.14.  Additional Compensation to the Master Servicer.

Pursuant to Article IV, all income and gain realized from any investment of funds in the Distribution Account shall be for the benefit of the Master Servicer as additional compensation.  Servicing compensation in the form of assumption fees, if any, late payment charges, as collected, if any, or otherwise (but not including any Prepayment Penalty Amounts) shall be retained by the applicable Servicer, or the Master Servicer, and shall not be deposited in the related Servicing Account or the Distribution Account.  The Master Servicer shall be required to pay all expenses incurred by it in connection with its activities hereunder and shall not be entitled to reimbursement therefor except as provided in this Agreement.  The amount of the aggregate compensation payable as set forth in this Section 3.14 plus the Master Servicing Fee due to the Master Servicer in respect of any Distribution Date shall be reduced in accordance with Section 5.06.

SECTION 3.15.  REO Property.

(a)

In the event the Trust (or the Trustee, on behalf of the Trust), acquires ownership of any REO Property in respect of any related Mortgage Loan, the deed or certificate of sale shall be issued to the Trust, or if required under applicable law, to the Trustee, or to its nominee, on behalf of the Trust.  The Master Servicer shall, to the extent provided in the applicable Servicing Agreement, cause the applicable Servicer to sell any REO Property as expeditiously as possible (and in no event later than three years after acquisition) and in accordance with the provisions of this Agreement and the related Servicing Agreement, as applicable.  Pursuant to its efforts to sell such REO Property, the Master Servicer shall cause the applicable Servicer to protect and conserve such REO Property in the manner and to the extent required by the applicable Servicing Agreement, in accordance with the REMIC Provisions and in a manner that does not result in a tax on “net income from foreclosure property” or cause such REO Property to fail to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code.

(b)

The Master Servicer shall, to the extent required by the related Servicing Agreement, cause the applicable Servicer to deposit all funds collected and received in connection with the operation of any REO Property in the related Servicing Account.

(c)

The Master Servicer and the applicable Servicer, upon the final disposition of any REO Property, shall be entitled to reimbursement for any related unreimbursed Advances and other unreimbursed advances as well as any unpaid Servicing Fees from Liquidation Proceeds received in connection with the final disposition of such REO Property; provided, that any such unreimbursed Advances as well as any unpaid Servicing Fees may be reimbursed or paid, as the case may be, prior to final disposition, out of any net rental income or other net amounts derived from such REO Property.

(d)

To the extent provided in the related Servicing Agreement, the Liquidation Proceeds from the final disposition of the REO Property, net of any payment to the Master Servicer and the applicable Servicer as provided above shall be deposited in the related Servicing Account on or prior to the applicable Determination Date in the month following receipt thereof and be remitted by wire transfer in immediately available funds to the Master Servicer for deposit into the Distribution Account on the next succeeding Servicer Remittance Date.

SECTION 3.16.  Annual Officer’s Certificate as to Compliance.

(a)

The Master Servicer shall deliver to the Trustee and the Rating Agency on or before March 1 of each year, commencing on March 1, 2006, an Officer’s Certificate, certifying that with respect to the period ending December 31 of the prior year: (i) such Servicing Officer has reviewed the activities of such Master Servicer during the preceding calendar year or portion thereof and its performance under this Agreement, (ii) to the best of such Servicing Officer’s knowledge, based on such review, such Master Servicer has performed and fulfilled its duties, responsibilities and obligations under this Agreement in all material respects throughout such year, or, if there has been a default in the fulfillment of any such duties, responsibilities or obligations, specifying each such default known to such Servicing Officer and the nature and status thereof, (iii) nothing has come to the attention of such Servicing Officer to lead such Servicing Officer to believe that any Servicer has failed to perform any of its duties, responsibilities and obligations under its Servicing Agreement in all material respects throughout such year, or, if there has been a material default in the performance or fulfillment of any such duties, responsibilities or obligations, specifying each such default known to such Servicing Officer and the nature and status thereof.

(b)

Copies of such statements shall be provided to any Certificateholder upon request by the Master Servicer or, by the Trustee at the Master Servicer’s expense, if the Master Servicer failed to provide such copies (unless (i) the Master Servicer shall have failed to provide the Trustee with such statement or (ii) the Trustee shall be unaware of the Master Servicer’s failure to provide such statement).

SECTION 3.17.  Annual Independent Accountant’s Servicing Report.

If the Master Servicer has, during the course of any fiscal year, directly serviced any of the Mortgage Loans, then the Master Servicer at its expense shall cause a nationally recognized firm of independent certified public accountants to furnish a statement to the Trustee, the Rating Agency and the Depositor on or before March 1 of each year, commencing on March 1, 2006 to the effect that, with respect to the most recently ended fiscal year, such firm has examined certain records and documents relating to the Master Servicer’s performance of its servicing obligations under this Agreement and pooling and servicing and trust agreements in material respects similar to this Agreement and to each other and that, on the basis of such examination conducted substantially in compliance with the audit program for mortgages serviced for Freddie Mac or the Uniform Single Attestation Program for Mortgage Bankers, such firm is of the opinion that the Master Servicer’s activities have been conducted in compliance with this Agreement, or that such examination has disclosed no material items of noncompliance except for (i) such exceptions as such firm believes to be immaterial, (ii) such other exceptions as are set forth in such statement and (iii) such exceptions that the Uniform Single Attestation Program for Mortgage Bankers or the Audit Program for Mortgages Serviced by Freddie Mac requires it to report.  Copies of such statements shall be provided to any Certificateholder upon request by the Master Servicer, or by the Trustee at the expense of the Master Servicer if the Master Servicer shall fail to provide such copies.  If such report discloses exceptions that are material, the Master Servicer shall advise the Trustee whether such exceptions have been or are susceptible of cure, and will take prompt action to do so.

SECTION 3.18.  Reports Filed with Securities and Exchange Commission.

Within 10 days after each Distribution Date, the Securities Administrator shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“EDGAR”), a Form 8-K (or other comparable Form containing the same or comparable information or other information mutually agreed upon) with a copy of the statement to the Trustee who shall furnish a copy of the statement to the Certificateholders for such Distribution Date as an exhibit thereto.  Prior to January 30, 2006, the Securities Administrator shall, in accordance with industry standards, file a Form 15 Suspension Notice with respect to the Trust, if applicable.  Prior to (i) March 31, 2006, or such earlier date as such filing may be required under the rules of the Commission, and (ii) unless and until a Form 15 Suspension Notice shall have been filed, prior to March 31 of each year thereafter, or such earlier date as such filing may be required under the rules of the Commission, the Master Servicer shall provide the Securities Administrator with a Sarbanes-Oxley Certification, together with a copy of the annual independent accountant’s servicing report and annual statement of compliance of each Servicer, in each case, required to be delivered pursuant to its Servicing Agreement, and, if applicable, the annual independent accountant’s servicing report and annual statement of compliance to be delivered by the Master Servicer pursuant to Sections 3.16 and 3.17.  Prior to (i) March 31, 2006 and (ii) unless and until a Form 15 Suspension Notice shall have been filed, March 31 of each year thereafter, the Securities Administrator shall file a Form 10-K, in substance conforming to industry standards, with respect to the Trust.  Such Form 10-K shall include the Sarbanes-Oxley Certification and other documentation provided by the Master Servicer pursuant to the second preceding sentence.  The Depositor hereby grants to the Securities Administrator a limited power of attorney to execute and file each such 8-K on behalf of the Depositor; provided, that notwithstanding anything to the contrary provided herein, the Master Servicer shall be responsible for signing on its own behalf, and shall sign on its own behalf, the Sarbanes-Oxley Certification and each form 10-K.  Such power of attorney shall continue until the earlier of either (i) receipt by the Securities Administrator from the Depositor of written termination of such power of attorney or (ii) the termination of the Trust.  The Depositor agrees to promptly furnish to the Securities Administrator, from time to time upon request, such further information, reports and financial statements within its control related to this Agreement and the Mortgage Loans as the Securities Administrator reasonably deems appropriate to prepare and file all necessary reports with the Commission.  The Securities Administrator shall have no responsibility to file any items other than those specified in this Section 3.18; provided, however, the Securities Administrator will cooperate with the Depositor in connection with any additional filings with respect to the Trust as the Depositor deems necessary under the Securities Exchange Act of 1934, as amended (the “Exchange Act”).  Copies of all reports filed by the Securities Administrator under the Exchange Act shall be sent to the Depositor.  Fees and expenses incurred by the Securities Administrator in connection with this Section 3.18 shall not be reimbursable from the Trust.

SECTION 3.19.  [Reserved].

SECTION 3.20.  [Reserved].

SECTION 3.21.  [Reserved].

SECTION 3.22.  [Reserved].

SECTION 3.23.  Closing Opinion of Counsel.

On or before the Closing Date, the Master Servicer shall cause to be delivered to the Depositor, the Seller, the Trustee, and Greenwich Capital Markets, Inc. an Opinion of Counsel, dated the Closing Date, in form and substance reasonably satisfactory to the Depositor, Greenwich Capital Markets, Inc., and the Seller as to the due authorization, execution and delivery of this Agreement by the Master Servicer and the enforceability thereof.  

SECTION 3.24.  Liabilities of the Master Servicer.

The Master Servicer shall be liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by it herein.

SECTION 3.25.  Merger or Consolidation of the Master Servicer.

(a)

The Master Servicer will keep in full force and effect its existence, rights and franchises as a national banking association under the laws of the jurisdiction of its incorporation, and will obtain and preserve its qualification to do business as a foreign corporation in each jurisdiction in which such qualification is or shall be necessary to protect the validity and enforceability of this Agreement, the Certificates or any of the Mortgage Loans and to perform its duties under this Agreement.

(b)

Any Person into which the Master Servicer may be merged or consolidated, or any corporation resulting from any merger or consolidation to which the Master Servicer shall be a party, or any Person succeeding to the business of the Master Servicer, shall be the successor of the Master Servicer hereunder, without the execution or filing of any paper or further act on the part of any of the parties hereto, anything herein to the contrary notwithstanding.

SECTION 3.26.  Indemnification of the Trustee, the Master Servicer and the Securities Administrator.

(a)

The Master Servicer agrees to indemnify the Indemnified Persons for, and to hold them harmless against, any loss, liability or expense (except as otherwise provided herein with respect to expenses) (including reasonable legal fees and disbursements of counsel) incurred on their part that may be sustained in connection with, arising out of, or relating to this Agreement or the Certificates (i) related to the Master Servicer’s failure to perform its duties in compliance with this Agreement (except as any such loss, liability or expense shall be otherwise reimbursable pursuant to this Agreement) or (ii) incurred by reason of the Master Servicer’s willful misfeasance, bad faith or gross negligence in the performance of duties hereunder or by reason of reckless disregard of obligations and duties hereunder, provided, in each case, that with respect to any such claim or legal action (or pending or threatened claim or legal action), an Indemnified Person shall have given the Master Servicer and the Depositor written notice thereof promptly after such Indemnified Person shall have with respect to such claim or legal action knowledge thereof.  The Indemnified Person’s failure to give such notice shall not affect the Indemnified Person’s right to indemnification hereunder.  This indemnity shall survive the resignation or removal of the Trustee, the Master Servicer or the Securities Administrator and the termination of this Agreement.

(b)

The Trust will indemnify any Indemnified Person for any loss, liability or expense of any Indemnified Person not otherwise referred to in Subsection (a) above or Subsection (c) below.

(c)

The Securities Administrator agrees to indemnify the Indemnified Persons (other than the Securities Administrator) for, and to hold them harmless against, any loss, liability or expense (except as otherwise provided herein with respect to expenses) (including reasonable legal fees and disbursements of counsel) incurred on their part (i) in connection with, arising out of, or relating to the Securities Administrator’s failure to file a Form 10-K in accordance with Section 3.18, (ii) by reason of the Securities Administrator’s willful misfeasance, bad faith or gross negligence in the performance of such obligations pursuant to Section 3.18 or (iii) by reason of the Securities Administrator’s reckless disregard of such obligations pursuant to Section 3.18, provided, in each case, that with respect to any such claim or legal action (or pending or threatened claim or legal action), an Indemnified Person shall have given the Securities Administrator written notice thereof promptly after such Indemnified Person shall have with respect to such claim or legal action knowledge thereof.  The Indemnified Person’s failure to give such notice shall not affect the Indemnified Person’s right to indemnification hereunder.  This indemnity shall survive the resignation or removal of the Trustee, the Master Servicer or the Securities Administrator and the termination of this Agreement.

SECTION 3.27.  Limitations on Liability of the Master Servicer and Others.

Subject to the obligation of the Master Servicer to indemnify the Indemnified Persons pursuant to Section 3.26:

(a)

Neither the Master Servicer nor any of the directors, officers, employees or agents of the Master Servicer shall be under any liability to the Indemnified Persons, the Depositor, the Trust or the Certificateholders for taking any action or for refraining from taking any action in good faith pursuant to this Agreement, or for errors in judgment; provided, however, that this provision shall not protect the Master Servicer or any such Person against any breach of warranties or representations made herein or any liability which would otherwise be imposed by reason of such Person’s willful misfeasance, bad faith or gross negligence in the performance of duties or by reason of reckless disregard of obligations and duties hereunder.

(b)

The Master Servicer and any director, officer, employee or agent of the Master Servicer may rely in good faith on any document of any kind prima facie properly executed and submitted by any Person respecting any matters arising hereunder.

(c)

The Master Servicer, the Trustee, the Custodian (including for such purpose, the Trustee acting in its capacity as Custodian) and any director, officer, employee or agent of the Master Servicer, the Trustee or the Custodian shall be indemnified by the Trust and held harmless thereby against any loss, liability or expense (except as otherwise provided herein with respect to expenses) (including reasonable legal fees and disbursements of counsel) incurred on their part that may be sustained in connection with, arising out of, or relating to, this Agreement, the Certificates or any Servicing Agreement or the transactions contemplated hereby or thereby (except to the extent that the Master Servicer is indemnified by the Servicer thereunder), other than (i) with respect to the Master Servicer or Custodian only, any such loss, liability or expense related to the Master Servicer’s failure to perform its duties in compliance with this Agreement or, if applicable, to the Custodian’s failure to perform its duties under this Agreement, or (ii) with respect to the Master Servicer or Custodian only, any such loss, liability or expense incurred by reason of the Master Servicer’s or the Custodian’s willful misfeasance, bad faith or gross negligence in the performance of duties hereunder or by reason of reckless disregard of obligations and duties hereunder or under a custodial agreement.

(d)

The Master Servicer shall not be under any obligation to appear in, prosecute or defend any legal action that is not incidental to its duties under this Agreement and that in its opinion may involve it in any expense or liability; provided, however, the Master Servicer may in its discretion, undertake any such action which it may deem necessary or desirable with respect to this Agreement and the rights and duties of the parties hereto and the interests of the Trust and the Certificateholders hereunder.  In such event, the legal expenses and costs of such action and any liability resulting therefrom shall be expenses, costs and liabilities of the Trust, and the Master Servicer shall be entitled to be reimbursed therefor out of the Distribution Account as provided by Section 4.03.  Nothing in this Section 3.27(d) shall affect the Master Servicer’s obligation to supervise, or to take such actions as are necessary to enforce, the servicing and administration of the Mortgage Loans pursuant to Sections 3.01 and 3.03.

(e)

In taking or recommending any course of action pursuant to this Agreement, unless specifically required to do so pursuant to this Agreement, the Master Servicer shall not be required to investigate or make recommendations concerning potential liabilities which the Trust might incur as a result of such course of action by reason of the condition of the Mortgaged Properties but shall give notice to the Trustee if it has notice of such potential liabilities.

(f)

The Master Servicer shall not be liable for any acts or omissions of any Servicer, except as otherwise expressly provided herein.

SECTION 3.28.  Master Servicer Not to Resign.  

Except as provided in Section 3.30, the Master Servicer shall not resign from the obligations and duties hereby imposed on it except upon a determination that any such duties hereunder are no longer permissible under applicable law and such impermissibility cannot be cured.  Any such determination permitting the resignation of the Master Servicer shall be evidenced by an Independent Opinion of Counsel (delivered at the expense of the Master Servicer) to such effect delivered to the Trustee.  No such resignation by the Master Servicer shall become effective until the Trustee or a successor to the Master Servicer reasonably satisfactory to the Trustee shall have assumed the responsibilities and obligations of the Master Servicer in accordance with Section 7.02 hereof.  The Trustee shall notify the Rating Agency of the resignation of the Master Servicer.

If, at any time, Wells Fargo Bank, N.A., as Master Servicer resigns under this Section 3.28, or sells or assigns its rights and obligations under Section 3.30, or is removed as Master Servicer pursuant to Section 7.01, then at such time Wells Fargo Bank, N.A. also shall resign (and shall be entitled to resign) as Securities Administrator, Paying Agent and Certificate Registrar under this Agreement.

SECTION 3.29.  Successor Master Servicer.

In connection with the appointment of any successor Master Servicer or the assumption of the duties of the Master Servicer, the Trustee may make such arrangements for the compensation of such successor Master Servicer out of payments on the Mortgage Loans as the Trustee and such successor Master Servicer shall agree which in no case shall exceed the Master Servicing Fee.  If the successor Master Servicer does not agree that the proposed compensation is fair, such successor Master Servicer shall obtain two quotations of market compensation from third parties actively engaged in the servicing of single-family mortgage loans; provided, however, that the Rating Agency shall confirm in writing that any appointment of a successor Master Servicer (other than the Trustee) will not result in a downgrade in the then current rating of any Class of Certificates.

SECTION 3.30.  Sale and Assignment of Master Servicing.

The Master Servicer may sell and assign its rights and delegate its duties and obligations in their entirety as Master Servicer under this Agreement, provided that: (i) the purchaser or transferee accepting such assignment and delegation (a) shall be a Person which shall be qualified to service mortgage loans for Fannie Mae or Freddie Mac; (b) shall have a net worth of not less than $10,000,000 (unless otherwise approved by the Rating Agency pursuant to clause (ii) below); (c) shall be reasonably satisfactory to the Trustee and the Depositor; and (d) shall execute and deliver to the Trustee and the Depositor an agreement, in form and substance reasonably satisfactory to the Trustee, which contains an assumption by such Person of the due and punctual performance and observance of each covenant and condition to be performed or observed by it as master servicer under this Agreement or any custodial agreement from and after the effective date of such agreement; (ii) the Rating Agency shall be given prior written notice of the identity of the proposed successor to the Master Servicer and the Rating Agency’s ratings of the Certificates in effect immediately prior to such assignment, sale and delegation will not be downgraded, qualified or withdrawn as a result of such assignment, sale and delegation, as evidenced by a letter to such effect delivered to the Master Servicer, the Trustee and the Depositor; and (iii) the Master Servicer assigning and selling the master servicing shall deliver to the Trustee and the Depositor an Officer’s Certificate and an Independent Opinion of Counsel, (delivered at the Master Servicer’s expense) each stating that all conditions precedent to such action under this Agreement have been completed and such action is permitted by and complies with the terms of this Agreement.  No such assignment or delegation shall affect any liability of the Master Servicer arising prior to the effective date thereof.


ARTICLE IV

ACCOUNTS

SECTION 4.01.  Servicing Accounts

(a)

The Master Servicer shall enforce the obligation of each Servicer to establish and maintain one or more custodial accounts (the “Servicing Accounts”) in accordance with the applicable Servicing Agreement, with records to be kept with respect thereto on a Mortgage Loan by Mortgage Loan basis, into which accounts shall be deposited within 48 hours (or as of such other time specified in the related Servicing Agreement) of receipt all collections of principal and interest on any Mortgage Loan and with respect to any REO Property received by a Servicer, including Principal Prepayments, Insurance Proceeds, Liquidation Proceeds, Recoveries and advances made from the Servicer’s own funds (less, in the case of each Servicer, the applicable servicing compensation, in whatever form and amounts as permitted by the applicable Servicing Agreement) and all other amounts to be deposited in each such Servicing Account.  The Servicer is hereby authorized to make withdrawals from and deposits to the related Servicing Account for purposes required or permitted by this Agreement and the applicable Servicing Agreement.  For the purposes of this Agreement, Servicing Accounts shall also include such other accounts as the Servicer maintains for the escrow of certain payments, such as taxes and insurance, with respect to certain Mortgaged Properties. Each Servicing Agreement sets forth the criteria for the segregation, maintenance and investment of each related Servicing Account, the contents of which are acceptable to the parties hereto as of the date hereof and changes to which shall not be made unless such changes are made in accordance with the provisions of Section 12.01 hereof.    

(b)

[Reserved];

(c)

To the extent provided in the related Servicing Agreement and subject to this Article IV, on or before each Servicer Remittance Date, each Servicer shall withdraw or shall cause to be withdrawn from the related Servicing Account and shall immediately remit or cause to be remitted to the Master Servicer for deposit into the Distribution Account, amounts representing the following collections and payments (other than with respect to principal of or interest on the Mortgage Loans due on or before the Cut-off Date) with respect to each of the Mortgage Loans it is servicing:

(i)

Monthly Payments on the Mortgage Loans received or any related portion thereof advanced by the Servicers pursuant to the Servicing Agreements which were due on or before the related Due Date, net of the amount thereof comprising the Servicing Fees and Lender-Paid Mortgage Insurance Fees, if any;

(ii)

Principal Prepayments in full and any Liquidation Proceeds received by the Servicers with respect to such Mortgage Loans in the related Prepayment Period, with interest to the date of prepayment or liquidation, net of the amount thereof comprising the Servicing Fees;

(iii)

Principal Prepayments in part received by the Servicers for such Mortgage Loans in the related Prepayment Period;

(iv)

Recoveries received by the Servicers with respect to such Mortgage Loans; and

(v)

any amount to be used as a delinquency advance or to pay any Interest Shortfalls, in each case, as required to be paid under the related Servicing Agreement.

(d)

Withdrawals may be made from a Servicing Account only to make remittances as provided in Section 4.01(c), to reimburse a Servicer for advances which have been recovered by subsequent collection from the related Mortgagor, to remove amounts deposited in error, to remove fees, charges or other such amounts deposited on a temporary basis, or to clear and terminate the account at the termination of this Agreement in accordance with Section 10.01.  As provided in Section 4.01(c), certain amounts otherwise due to the Servicers may be retained by them and need not be remitted to the Master Servicer.

SECTION 4.02.  Distribution Account.

(a)

The Master Servicer shall establish and maintain an account, in the name of the Trustee, for the benefit of the Securities Administrator, as Paying Agent for the Trustee, and the Certificateholders, as a segregated account which shall be an Eligible Account (the “Distribution Account”).  The Master Servicer shall, promptly upon receipt from the Servicers on the Servicer Remittance Date, deposit into the Distribution Account and retain on deposit until the related Distribution Date, the following amounts:

(i)

any amounts withdrawn from a Servicing Account pursuant to Section 4.01(c);

(ii)

any amounts required to be deposited by the Master Servicer with respect to the Mortgage Loans pursuant to this Agreement including (a) Advances and any Compensating Interest Payments required to be made by the Master Servicer to the extent required but not made by a Servicer and (b) the amount of any Insurance Proceeds or Liquidation Proceeds received by or on behalf of the Master Servicer which were not deposited in a Servicing Account;

(iii)

the Purchase Price with respect to any Mortgage Loans purchased by the Seller or the an Originator under this Agreement or the related Purchase Agreement, as applicable, any Substitution Adjustments pursuant to Section 2.03 of this Agreement and all proceeds of any Mortgage Loans or property acquired with respect thereto repurchased by the Call Option Holder pursuant to Section 10.01 and the Servicing Agreement;

(iv)

any amounts required to be deposited by the Master Servicer with respect to losses on investments of deposits in the Distribution Account;

(v)

[reserved]; and

(vi)

any other amounts so required to be deposited in the Distribution Account pursuant to this Agreement.

(b)

All amounts deposited to the Distribution Account shall be held by the Master Servicer in the name of the Trustee in trust for the benefit of the Securities Administrator, as Paying Agent for the Trustee, and the Certificateholders in accordance with the terms and provisions of this Agreement.  The requirements for crediting the Distribution Account shall be exclusive, it being understood and agreed that, without limiting the generality of the foregoing, payments in the nature of (i) late payment charges or assumption fees, tax service fees, statement account charges or payoff charges, substitution, satisfaction, release and other like fees and charges and (ii) the items enumerated in Subsections 4.03(a)(i), (ii), (iii), (iv), (vi), (vii), (x) and (xi) with respect to the Servicer, need not be remitted by the related Servicer to the Master Servicer or, with respect to the Master Servicer, be deposited by the Master Servicer to the Distribution Account.  In the event that a Servicer has remitted to the Master Servicer any amount not required to be credited to the Distribution Account, such Servicer may at any time, by delivery of a written request signed by a Servicing Officer of such Servicer, which describes the amount deposited in error, direct the Master Servicer to withdraw such amount from the Distribution Account for repayment to such Servicer.  In the event that the Master Servicer has deposited to the Distribution Account any amount not required to be credited thereto, it may at any time, withdraw such amount from the Distribution Account.

(c)

Funds in the Distribution Account shall, if invested, be invested, in the name of the Trustee, or its nominee, for the benefit of the Trust, in Permitted Investments as directed by the Master Servicer.  All Permitted Investments shall mature or be subject to redemption or withdrawal no later than one Business Day prior to the next succeeding Distribution Date (except that if such Permitted Investment is an obligation of the Master Servicer, then such Permitted Investment shall mature not later than such applicable Distribution Date).  Any and all investment earnings from any such Permitted Investment shall be for the benefit of the Master Servicer and shall be subject to its withdrawal or order from time to time, and shall not be part of the Trust Fund.  The risk of loss of moneys required to be distributed to the Certificateholders resulting from such investments shall be borne by and be the risk of the Master Servicer.  The Master Servicer shall deposit the amount of any such loss in the Distribution Account immediately as realized, but in no event later than the related Distribution Date.

SECTION 4.03.  Permitted Withdrawals and Transfers from the Distribution Account.  

(a)

The Securities Administrator shall, from time to time, withdraw or transfer funds from the Distribution Account to a Servicer, to the Master Servicer, to the Trustee or to itself for the following purposes:

(i)

to reimburse the Master Servicer or any Servicer for any Advance or advance, respectively, of its own funds or of such Servicer’s own funds, the right of the Master Servicer or a Servicer to reimbursement pursuant to this subclause (i) being limited to amounts received on a particular Mortgage Loan (including, for this purpose, the Purchase Price therefor, Insurance Proceeds and Liquidation Proceeds) which represent late payments or recoveries of the principal of or interest on such Mortgage Loan respecting which such Advance was made;

(ii)

to reimburse the Master Servicer or any Servicer from Insurance Proceeds or Liquidation Proceeds relating to a particular Mortgage Loan for amounts expended by the Master Servicer or such Servicer in good faith in connection with the restoration of the related Mortgaged Property which was damaged by an Uninsured Cause or in connection with the liquidation of such Mortgage Loan;

(iii)

to reimburse the Master Servicer or any Servicer from Insurance Proceeds relating to a particular Mortgage Loan for insured expenses incurred with respect to such Mortgage Loan and to reimburse the Master Servicer or such Servicer from Liquidation Proceeds from a particular Mortgage Loan for Liquidation Expenses incurred with respect to such Mortgage Loan;

(iv)

to pay the Master Servicer or any Servicer, as appropriate, from Liquidation Proceeds or Insurance Proceeds received in connection with the liquidation of any Mortgage Loan, the amount which it or such Servicer would have been entitled to receive under subclause (x) of this Subsection 4.03(a) as servicing compensation on account of each defaulted scheduled payment on such Mortgage Loan if paid in a timely manner by the related Mortgagor;

(v)

to pay the Master Servicer or any Servicer from the Purchase Price for any Mortgage Loan, the amount which the Master Servicer or such Servicer would have been entitled to receive under subclause (x) of this Subsection 4.03(a) as servicing compensation;

(vi)

to reimburse the Master Servicer or any Servicer for servicing related advances of funds, the right to reimbursement pursuant to this subclause being limited to amounts received on the related Mortgage Loan (including, for this purpose, the Purchase Price therefor, Insurance Proceeds and Liquidation Proceeds) which represent late recoveries of the payments for which such servicing advances were made;

(vii)

to reimburse the Master Servicer or any Servicer for any Advance or advance, after a Realized Loss has been allocated with respect to the related Mortgage Loan if the Advance or advance has not been reimbursed pursuant to clauses (i) and (vi);

(viii)

to pay the Master Servicer its monthly Master Servicing Fee and any other servicing compensation payable pursuant to Section 3.14;

(ix)

to pay the Master Servicer any investment income;

(x)

to reimburse the Master Servicer for any expenses recoverable by it pursuant to Sections 3.03 and 3.27;

(xi)

to reimburse or pay any Servicer any such amounts as are due thereto under the applicable Servicing Agreement and have not been retained by or paid to the Servicer, to the extent provided in the related Servicing Agreement;

(xii)

to reimburse the Trustee (including in its role as a Custodian) and the Securities Administrator for expenses, costs and liabilities incurred by or reimbursable to it pursuant to Sections 3.27, 8.05 or 8.10 hereof and the expenses of the Custodians under the Custodial Agreements (including those related the BONY Custodial Agreement, to pay any expenses or other amounts payable to the Bank of New York as Custodian);

(xiii)

[reserved];

(xiv)

to remove amounts deposited in error; and

(xv)

to clear and terminate the Distribution Account pursuant to Section 10.01.  

(b)

The Master Servicer shall keep and maintain separate accounting, on a Mortgage Loan by Mortgage Loan basis, for the purpose of accounting for any payments or reimbursements from the Distribution Account pursuant to subclauses (i) through (vii), inclusive and subclause (x) or with respect to any such amounts which would have been covered by such subclauses had the amounts not been retained by the Master Servicer without being deposited in the Distribution Account under Section 4.02(b).

(c)

On each Distribution Date, the Securities Administrator, as Paying Agent, shall withdraw funds on deposit in the Distribution Account to the extent of the aggregate Available Funds and distribute such funds to the Holders of the Certificates and any other parties entitled thereto, in accordance with Section 5.01.

SECTION 4.04.  Yield Maintenance Account.

On or prior to the Closing Date, the Securities Administrator, on behalf of the Trustee, shall cause to be established and maintained the Yield Maintenance Account, into which Yield Maintenance Payments received by the Securities Administrator pursuant to the Yield Maintenance Agreement shall be deposited for the benefit of the Class 2-A1, Class 2-A2A, Class 2-A2B and Class 2-X Certificates.  Amounts on deposit in the Yield Maintenance Account shall not be invested and shall not be held in an interest-bearing account.

The Securities Administrator shall deposit all amounts received from the Yield Maintenance Provider under the Yield Maintenance Agreement into the Yield Maintenance Account immediately upon receipt.  On each Distribution Date, the Securities Administrator, as Paying Agent for the Trustee, shall withdraw from the Yield Maintenance Account (i) the Yield Maintenance Distributable Amount with respect to the Yield Maintenance Agreement related to the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates then on deposit therein and distribute such amounts in respect of any Basis Risk Shortfalls for such Class on such Distribution Date, pro rata, based on amounts due and (ii) any amounts remaining on deposit therein after distributions made pursuant to (i) above, and distribute such amounts to the Class 2-X Certificates.  

If the Seller or its affiliate is the Holder of a Class 2-A1, Class 2-A2A or Class 2-A2B Certificate, the Seller or its affiliate shall remit to the Securities Administrator the portion of Yield Maintenance Distributable Amounts received by the Holder of such Certificate on any Distribution Date, and the Securities Administrator will remit such amounts to the Yield Maintenance Provider.  For purposes of this Agreement, the Securities Administrator shall have no duty to confirm that each amount received by it from the Seller or its affiliate with respect to the preceding sentence is the correct amount.

To the extent that it constitutes a “reserve fund” for purposes of the REMIC Provisions, the Yield Maintenance Account established hereunder shall be an “outside reserve fund” as defined in Treasury Regulation 1.860G-2(h), and in that regard (i) such fund shall be an outside reserve fund and not an asset of any REMIC, (ii) such fund shall be owned for federal tax purposes by the Holder of the Class 2-X Certificates, and the Holder of the Class 2-X Certificates shall report all amounts of income, reduction, gain or loss accruing therefrom and (iii) amounts transferred by the REMIC to the fund shall be treated as distributed by the REMIC to the Holder of the Class 2-X Certificates.

The Securities Administrator shall terminate the Yield Maintenance Agreement upon the occurrence of an event of default or termination event under the Yield Maintenance Agreement of which a Responsible Officer of the Securities Administrator has actual knowledge.  In the event that a Yield Maintenance Agreement is canceled or otherwise terminated for any reason (other than the exhaustion of the interest rate protection provided thereby), the Securities Administrator shall, at the direction of Certificateholders evidencing Voting Rights not less than 50% of the Certificates related to the Yield Maintenance Agreement, and to the extent a replacement contract is available (from a counterparty designated by the Depositor and acceptable to Certificateholders evidencing Voting Rights not less than 50% of the related Certificates), execute a replacement contract comparable to the Yield Maintenance Agreement providing interest rate protection which is equal to the then-existing protection provided by the Yield Maintenance Agreement as certified to the Securities Administrator by the Depositor; provided, however, that the cost of any such replacement contract providing the same interest rate protection may be reduced to a level such that the cost of such replacement contract shall not exceed the amount of any early termination payment received from the Yield Maintenance Provider.

On any Distribution Date on or prior to the Distribution Date in November 2013, if the aggregate Class Certificate Principal Balance of the Certificates related to the Yield Maintenance Agreement equals zero (but not including the Distribution Date on which such aggregate Class Certificate Principal Balance is reduced to zero), all amounts received by the Securities Administrator with respect to the Yield Maintenance Agreement shall be distributed directly to the Class 2-X Certificateholder.  On the Distribution Date in November 2013 or upon the termination of the Trust, the Yield Maintenance Agreement shall be terminated.



ARTICLE V

FLOW OF FUNDS

SECTION 5.01.  Distributions.

(a)

On each Distribution Date and after making any withdrawals from the Distribution Account pursuant to Section 4.03(a), the Securities Administrator, as Paying Agent, shall withdraw funds on deposit in the Distribution Account to the extent of Available Funds for each Loan Group for such Distribution Date and, based on the Distribution Date Statement provided by the Securities Administrator, make the following disbursements and transfers as set forth below:

(i)

(A)

the Available Funds for Loan Group 1 shall be distributed on each Distribution Date (other than on the Distribution Date following the optional purchase of the Mortgage Loans by the Call Option Holder) in the following order of priority:

(1)

to the Class A-R, Class 1-A1, Class 1-A2 and Class 1-X Certificates, the related Interest Distributable Amounts for that date, pro rata (based on the Interest Distributable Amounts to which each such Class is entitled); provided, however, that on each Distribution Date, the related Interest Distributable Amount up to the 1-X Required Reserve Fund Deposit shall be deposited in the Group 1 Basis Risk Reserve Fund and shall not be distributed to the Class 1-X Certificate; and

(2)

an amount equal to the Senior Principal Distribution Amount for Loan Group 1 for that date, as follows:

first, to the Holder of Class A-R Certificate, until the Class Certificate Principal Balance of such Class is reduced to zero;

second, to the Class 1-A1 and Class 1-A2 Certificates, pro rata  based on Class Certificate Principal Balance, until the Class Certificate Principal Balances of such respective Classes are reduced to zero; and

third, to the Class 1-PO Certificates, until the Class Certificate Principal Balance is reduced to zero;


(B)

from the Group 1 Basis Risk Reserve Fund, for distribution to the Class 1-A1 and Class 1-A2 Certificates, any Basis Risk Shortfall for such Distribution Date in the order and priority set forth in Section 5.07 below;


(C)

the Available Funds for Loan Group 1 remaining after giving effect to the distributions specified in subsection (i)(A) above will be distributed to the Certificateholders in the following order of priority:


(1)

to the Class 1-B1 Certificates, the related Interest Distributable Amount for that date;

(2)

to the Class 1-B1 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(3)

to the Class 1-B2 Certificates, the related Interest Distributable Amount for that date;

(4)

to the Class 1-B2 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(5)

to the Class 1-B3 Certificates, the related Interest Distributable Amount for that date;

(6)

to the Class 1-B3 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(7)

to the Class 1-B4 Certificates, the related Interest Distributable Amount for that date;

(8)

to the Class 1-B4 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(9)

to the Class 1-B5 Certificates, the related Interest Distributable Amount for that date;

(10)

to the Class 1-B5 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(11)

to the Class 1-B6 Certificates, the related Interest Distributable Amount for that date;

(12)

to the Class 1-B6 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(13)

to the Holder of the Class A-R Certificate, any Available Funds for Loan Group 1, other than any portion thereof in respect of Premium Proceeds, then remaining; and


(14)

on the final Distribution Date, to the Holder of the Class A-R-II Certificate the Premium Proceeds.


On the Distribution Date following the optional purchase of the Mortgage Loans by the Call Option Holder, Available Funds for Loan Group 1 will be applied in the amounts and in the order specified above, except, no amounts will distributed pursuant to Section 5.01(a)(i)(B) above and the portion of Available Funds remaining after the distribution pursuant to Section 5.01(a)(i)(A) will be applied in the order specified in clause (C) of Section 5.01(a)(i).


(ii)

(A)

the Available Funds for Loan Group 2 shall be distributed on each Distribution Date (other than the Distribution Date following the optional purchase of the Mortgage Loans by the Call Option Holder) in the following order of priority:

(1)

to the Class 2-A1, Class 2-A2A, 2-A2B and Class 2-X Certificates, the related Interest Distributable Amounts for that date, pro rata (based on the Interest Distributable Amounts to which each such Class is entitled); provided, however, that on each Distribution Date, the related Interest Distributable Amount up to the 2-X Required Reserve Fund Deposit shall be deposited in the Group 2 Basis Risk Reserve Fund and shall not be distributed to the Class 2-X Certificate; and

(2)

an amount equal to the Senior Principal Distribution Amount for Loan Group 1 for that date, as follows:

first, to the Holders of the Class 2-A1, Class 2-A2A and 2-A2B Certificates, pro rata based on Class Certificate Principal Balances, until the Class Certificate Principal Balances of such respective Classes are reduced to zero; provided, however, that for as long as the Group 2 Subordinate Certificates are still outstanding, the portion otherwise distributable to the Class 2-A2B Certificates will be distributed to the Class 2-A2A Certificates until the Class Certificate Principal Balance of the Class 2-A2A Certificates has been reduced to zero; and

second, to the Class 2-PO Certificates, until its Class Certificate Principal Balance is reduced to zero;

(B)

first, from the Yield Maintenance Account, to the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates, any related Yield Maintenance Distributable Amount for such Distribution Date in the order and priority set forth in Section 4.04 above and second, from the Group 2 Basis Risk Reserve Fund, to the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates, any related Basis Risk Shortfall for such Distribution Date remaining after giving effect to the distributions specified in clause first above in the order and priority set forth in Section 5.07 below;


(C)

the Available Funds for Loan Group 2 remaining after giving effect to the distributions specified in subsection (iii)(A) above will be distributed to the Certificateholders in the following order of priority:


(1)

to the Class 2-B1 Certificates, the related Interest Distributable Amount for that date;

(2)

to the Class 2-B1 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(3)

to the Class 2-B2 Certificates, the related Interest Distributable Amount for that date;

(4)

to the Class 2-B2 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(5)

to the Class 2-B3 Certificates, the related Interest Distributable Amount for that date;

(6)

to the Class 2-B3 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(7)

to the Class 2-B4 Certificates, the related Interest Distributable Amount for that date;

(8)

to the Class 2-B4 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(9)

to the Class 2-B5 Certificates, the related Interest Distributable Amount for that date;

(10)

to the Class 2-B5 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(11)

to the Class 2-B6 Certificates, the related Interest Distributable Amount for that date; and

(12)

to the Class 2-B6 Certificates, an amount allocable to principal equal to its Pro Rata Share for such Distribution Date until the Class Certificate Principal Balance of such Class is reduced to zero;

(D)

from the Group 2 Basis Risk Reserve Fund, to the Class 2-B-1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates, any related Basis Risk Shortfall for such Distribution Date in the order and priority set forth in Section 5.07 below;


(E)

the Available Funds for Loan Group 2 remaining after giving effect to the distributions specified in subsections (iii)(A) and (iii)(C) above will be distributed to the Certificateholders in the following order of priority:


(1)

to the Holder of the Class A-R Certificate, any Available Funds for Loan Group 2, other than any portion thereof in respect of Premium Proceeds, then remaining; and


(2)

on the final Distribution Date, to the Holder of the Class A-R-II Certificate, the Premium Proceeds.


On the Distribution Date following the optional purchase of the Mortgage Loans by the Call Option Holder, Available Funds for Loan Group 2 will be applied in the amounts and in the order specified above, except, no amounts will distributed pursuant to Section 5.01(a)(ii)(B) above and the portion of Available Funds remaining after the distribution pursuant to Section 5.01(a)(ii)(A) will be applied in the order specified in clause (C) of Section 5.01(a)(ii).


(b)

Amounts to be paid to the Holders of a Class of Certificates shall be payable with respect to all Certificates of that Class, pro rata, based on the Certificate Principal Balance or Certificate Notional Balance, as applicable, of each Certificate of that Class.

(c)

On each Distribution Date, the Monthly Interest Distributable Amounts for the Classes of Senior Certificates (other than the Class 1-PO and Class 2-PO Certificates) and Subordinate Certificates on such Distribution Date shall be reduced proportionately, based on the Monthly Interest Distributable Amount to which they would otherwise be entitled, by Net Interest Shortfalls with respect to the related Loan Group.

(d)

Notwithstanding the priority and allocation set forth in Sections 5.01(a)(i)(C) and (a)(ii)(C) above, if with respect to any Class of Group 1 or Group 2 Subordinate Certificates, as applicable, on any Distribution Date the sum of the related Class Subordination Percentages of such Class and of all other Classes of related Subordinate Certificates which have a higher numerical Class designation than such Class (the “Applicable Credit Support Percentage”) is less than the Original Applicable Credit Support Percentage for such Class, no distribution of Principal Prepayments will be made to any such Classes (the “Restricted Classes”) and the amount of such Principal Prepayment otherwise distributable to the Restricted Classes shall be distributed to any Classes of Subordinate Certificates related to the same Group having lower numerical Class designations than such Class, pro rata, based on the Class Certificate Principal Balances of the respective Classes immediately prior to such Distribution Date and shall be distributed in the sequential order provided in Sections 5.01(a)(i)(C) and (a)(ii)(C) above.

(e)

On each Distribution Date, the Paying Agent shall distribute to the Holder of the Class P Certificate, the Class P Distributable Amount.

(f)

Distributions on Physical Certificates.  The Paying Agent shall make distributions in respect of a Distribution Date to each Certificateholder of record on the related Record Date (other than as provided in Section 10.01 hereof respecting the final distribution), in the case of Certificateholders of the Physical Certificates, by check or money order mailed to such Certificateholder at the address appearing in the Certificate Register, or by wire transfer.  Distributions among Certificateholders of a Class shall be made in proportion to the Percentage Interests evidenced by the Certificates of that Class held by such Certificateholders.

(g)

Distributions on Book-Entry Certificates.  Each distribution with respect to a Book-Entry Certificate shall be paid to the Depository, which shall credit the amount of such distribution to the accounts of its Depository Participants in accordance with its normal procedures.  Each Depository Participant shall be responsible for disbursing such distribution to the Certificate Owners that it represents and to each indirect participating brokerage firm (a “brokerage firm” or “indirect participating firm”) for which it acts as agent.  Each brokerage firm shall be responsible for disbursing funds to the Certificate Owners that it represents.  All such credits and disbursements with respect to a Book-Entry Certificate are to be made by the Depository and the Depository Participants in accordance with the provisions of the Certificates.  None of the Trustee, the Paying Agent, the Depositor or the Seller shall have any responsibility therefor.

SECTION 5.02.  Allocation of Net Deferred Interest.

For any Distribution Date, the Net Deferred Interest on the Group 1 Mortgage Loans and Group 2 Mortgage Loans will be allocated among the Classes of Group 1 Certificates and Group 2 Certificates, respectively, (or, with respect to the Class 1-X Certificates, the Class 1-PO Certificates and with respect to the Class 2-X Certificates, the Class 2-PO Certificates) in proportion to the excess, if any, for each such Class of (i) the Monthly Interest Distributable Amount accrued at the Pass-Through Rate for such Class, over (ii) the amount of the Monthly Interest Distributable Amount for such Class calculated at the applicable Adjusted Cap Rate for such Class.

On each Distribution Date, any amount of Net Deferred Interest allocable to a Class of Certificates (other than the Class 1-X and Class 2-X Certificates) on such Distribution Date will be added as Principal to the outstanding Class Certificate Principal Balance of such Class of Certificates.  With respect to the Class 1-X Certificates and each Distribution Date, any amount of Net Deferred Interest added to the Principal Balances of the Group 1 Mortgage Loans that is allocated to the Class 1-X Certificates on such Distribution Date will be added as principal to the outstanding Class Certificates Principal Balance of the Class 1-PO Certificates.  With respect to the Class 2-X Certificates and each Distribution Date, any amount of Net Deferred Interest added to the Principal Balances of the Group 2 Mortgage Loans that is allocated to the Class 2-X Certificates on such Distribution Date will be added as principal to the outstanding Class Certificate Principal Balances of the Class 2-PO Certificates.

SECTION 5.03.  Allocation of Realized Losses.

(a)

On or prior to each Distribution Date, the Securities Administrator shall aggregate the loan-level information provided by the Master Servicer with respect to the total amount of Realized Losses with respect to the Mortgage Loans in each Loan Group for the related Distribution Date and include such information in the Distribution Date Statement.

(b)

(i)

On each Distribution Date, Realized Losses on the Group 1 Mortgage Loans that occurred during the related prepayment period shall be allocated as follows:

first, to the Group 1 Subordinate Certificates in reverse order of their respective numerical Class designations (beginning with the Class of Group 1 Subordinate Certificates with the highest numerical Class designation) until the Class Certificate Principal Balance of each such Class is reduced to zero; and

second, to the Class 1-A1, Class 1-A2, Class 1-PO and Class A-R Certificates, pro rata, until the Class Certificate Principal Balance of each such Class is reduced to zero; provided, however, the Class 1-A2 Certificates will bear the principal portion of all Realized Losses allocable to the Class 1-A1 Certificates for so long as the Class 1-A2 Certificates are outstanding.

(ii)

On each Distribution Date, Realized Losses on the Group 2 Mortgage Loans that occurred during the related prepayment period shall be allocated as follows:

first, to the Group 2 Subordinate Certificates in reverse order of their respective numerical Class designations (beginning with the Class of Group 2 Subordinate Certificates with the highest numerical Class designation) until the Class Certificate Principal Balance of each such Class is reduced to zero; and

second, to the Class 2-A1, Class 2-A2A, Class 2-A2B and Class 2-PO Certificates, pro rata, until the Class Certificate Principal Balance of each such Class is reduced to zero; provided, however, the Class 2-A2A and Class 2-A2B Certificates will bear the principal portion of all Realized Losses allocable to the Class 2-A1 Certificates, pro rata based on Class Certificate Principal Balance, for so long as the Class 2-A2A and Class 2-A2B Certificates are outstanding.

(c)

(i)  The Class Certificate Principal Balance of the Class of Group 1 Subordinate Certificates then outstanding with the highest numerical Class designation shall be reduced on each Distribution Date by the amount, if any, by which the aggregate of the Class Certificate Principal Balances of all outstanding Classes of Group 1 Certificates (after giving effect to the distribution of principal and the allocation of Realized Losses on such Distribution Date) exceeds the aggregate of the Stated Principal Balances of all the Group 1 Mortgage Loans for the following Distribution Date.

(ii)

The Class Certificate Principal Balance of the Class of Group 2 Subordinate Certificates then outstanding with the highest numerical Class designation shall be reduced on each Distribution Date by the amount, if any, by which the aggregate of the Class Certificate Principal Balances of all outstanding Classes of Group 2 Certificates (after giving effect to the distribution of principal and the allocation of Realized Losses on such Distribution Date) exceeds the aggregate of the Stated Principal Balances of all the Group 2 Mortgage Loans for the following Distribution Date.


(d)

Any Realized Loss allocated to a Class of Certificates or any reduction in the Class Certificate Principal Balance of a Class of Certificates pursuant to Section 5.03(b) or (c) shall be allocated among the Certificates of such Class, pro rata, in proportion to their respective Certificate Principal Balances.

(e)

Any allocation of Realized Losses to a Certificate or any reduction in the Certificate Principal Balance of a Certificate pursuant to Section 5.03(b) or (c) shall be accomplished by reducing the Certificate Principal Balance thereof immediately following the distributions made on the related Distribution Date in accordance with the definition of “Certificate Principal Balance.”

SECTION 5.04.  Statements.

(a)

On each Distribution Date, the Securities Administrator shall make available to the Trustee, each Certificateholder, the Seller, the Master Servicer and the Rating Agency, a statement based, as applicable, on loan-level information obtained from the Master Servicer and the Servicers (the “Distribution Date Statement”) as to the distributions to be made or made, as applicable, on such Distribution Date:

(i)

the amount of the distribution made on such Distribution Date to the Holders of each Class of Certificates allocable to principal;

(ii)

the amount of the distribution made on such Distribution Date to the Holders of each Class of Certificates allocable to interest;

(iii)

the Senior Percentage, Senior Prepayment Percentage, Group 1 Subordinate Percentage, Group 2 Subordinate Percentage and Subordinate Prepayment Percentage with respect to each Loan Group for the following Distribution Date;

(iv)

the aggregate amount of servicing compensation received by each Servicer during the related Due Period and such other customary information as the Trustee deems necessary or desirable, or which a Certificateholder reasonably requests, to enable Certificateholders to prepare their tax returns;

(v)

the aggregate amount of Advances for the related Due Period and the amount of unreimbursed Advances;

(vi)

[reserved];

(vii)

the Loan Group Balance and related Net WAC and applicable Net WAC Cap for each Loan Group at the Close of Business at the end of the related Due Period;

(viii)

for each Loan Group, the aggregate Principal Balance of the One-Month LIBOR Indexed Mortgage Loans and the COFI Indexed Mortgage Loans at the Close of Business at the end of the related Due Period;

(ix)

Reserved;

(x)

Reserved;

(xi)

for each Loan Group, the number, weighted average remaining term to maturity and weighted average Loan Rate of the related Mortgage Loans as of the related Due Date;

(xii)

the number and aggregate unpaid principal balance of Mortgage Loans for each Loan Group, (a) 30 to 59 days Delinquent, (b) 60 to 89 days Delinquent, (c) 90 or more days Delinquent, (d) as to which foreclosure proceedings have been commenced and (e) in bankruptcy, in each case as of the close of business on the last day of the preceding calendar month;

(xiii)

the book value of any REO Property as of the Close of Business on the last Business Day of the calendar month preceding the Distribution Date, and, cumulatively, the total number and cumulative principal balance of all REO Properties in each Loan Group as of the Close of Business of the last day of the preceding Due Period;

(xiv)

the aggregate amount of Principal Prepayments with respect to each Loan Group made during the related Prepayment Period;

(xv)

the aggregate amount of Realized Losses incurred during the related Due Period for each Loan Group and the cumulative amount of Realized Losses and the amount of Realized Losses, if any, allocated to each Class of Certificates;

(xvi)

the Class Certificate Principal Balance or Class Certificate Notional Balance, as applicable, of each Class of Certificates and the Apportioned Principal Balances of the Subordinate Certificates after giving effect to any distributions made thereon, on such Distribution Date;

(xvii)

the Interest Distributable Amount in respect of each Class of Certificates, for such Distribution Date and the respective portions thereof, if any, remaining unpaid following the distributions made in respect of such Certificates on such Distribution Date;

(xviii)

the aggregate amount of any Net Interest Shortfalls and the Unpaid Interest Shortfall Amount for such Distribution Date;

(xix)

the Available Funds with respect to each Loan Group;

(xx)

the Pass-Through Rate for each Class of Certificates for such Distribution Date;

(xxi)

the aggregate Principal Balance of Mortgage Loans purchased hereunder by the Seller during the related Due Period, and indicating the relevant section of the related Servicing Agreement, or the Section of this Agreement, as applicable, requiring or allowing the purchase of each such Mortgage Loan;

(xxii)

[reserved;

(xxiii)

current Recoveries allocable to each Loan Group;

(xxiv)

cumulative Recoveries allocable to each Loan Group;

(xxv)

the amount of any Basis Risk Shortfall, if any, and the related accrued interest thereon;

(xxvi)

for each Loan Group, the amount of Deferred Interest and Net Deferred Interest, if any, for such Loan Group;

(xxvii)

payments made under the Yield Maintenance Agreement, if any; and

(xxviii)

the amount of Net Deferred Interest, if any, added to the Class Certificate Principal Balance of the related Certificates.

The Securities Administrator will make the Distribution Date Statement (and, at its option, any additional files containing the same information in an alternative format) available each month to Certificateholders and the other parties to this Agreement via the Securities Administrator’s internet website. The Securities Administrator’s internet website shall initially be located at “www.ctslink.com.”  Assistance in using the website can be obtained by calling the Securities Administrator’s customer service desk at (301) 815-6600.  Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail by calling the customer service desk and indicating such.  The Securities Administrator shall have the right to change the way such reports are distributed in order to make such distribution more convenient and/or more accessible to the parties, and the Securities Administrator shall provide timely and adequate notification to all parties regarding any such change.

In the case of information furnished pursuant to subclauses (i) and (ii) above, the amounts shall be expressed in a separate section of the report as a dollar amount for each Class for each $1,000 original dollar amount as of the Cut-Off Date.

(b)

Within a reasonable period of time after the end of each calendar year, the Securities Administrator shall, upon written request, furnish to each Person who at any time during the calendar year was a Certificateholder of a Regular Certificate, if requested in writing by such Person, such information as is reasonably necessary to provide to such Person a statement containing the information set forth in subclauses (i) through (iii) and (xxi) above, aggregated for such calendar year or applicable portion thereof during which such Person was a Certificateholder.  Such obligation of the Securities Administrator shall be deemed to have been satisfied to the extent that substantially comparable information shall be prepared and furnished by the Securities Administrator to Certificateholders pursuant to any requirements of the Code as are in force from time to time.

(c)

On each Distribution Date, the Securities Administrator shall supply an electronic tape to Bloomberg Financial Markets, Inc. in a format acceptable to Bloomberg Financial Markets, Inc. on a monthly basis, and shall supply an electronic tape to Loan Performance and Intex Solutions in a format acceptable to Loan Performance and Intex Solutions on a monthly basis.

SECTION 5.05.  Remittance Reports; Advances.

(a)

No later than the 15th calendar day of each month, the Master Servicer shall deliver to the Securities Administrator by telecopy or electronic mail (or by such other means as the Master Servicer and the Securities Administrator may agree from time to time) the Remittance Report with respect to the Distribution Date.  No later than the Close of Business New York time on the  Business Day prior to such Distribution Date, the Master Servicer shall deliver or cause to be delivered to the Securities Administrator in addition to the information provided on the Remittance Report, such other loan-level information reasonably available to it with respect to the Mortgage Loans as the Securities Administrator may reasonably require to perform the calculations necessary to make the distributions contemplated by Section 5.01.

(b)

If the Monthly Payment on a Mortgage Loan that was due on a related Due Date and is delinquent, other than as a result of application of the Relief Act, and for which the related Servicer was required to make an advance pursuant to the related Servicing Agreement, exceeds the amount on deposit in the Distribution Account which will be used for an advance with respect to such Mortgage Loan, the Master Servicer shall, on the Business Day preceding the Distribution Date, deposit in the Distribution Account an amount equal to such deficiency, net of the Servicing Fee and the Master Servicing Fee, for such Mortgage Loan except to the extent the Master Servicer determines any such Advance to be Nonrecoverable from Liquidation Proceeds, Insurance Proceeds or future payments on the Mortgage Loan for which such Advance was made.  Subject to the foregoing, the Master Servicer shall continue to make such Advances through the date that the related Servicer is required to do so under its Servicing Agreement.  If the Master Servicer determines that an Advance is Nonrecoverable, it shall, on or prior to the related Distribution Date, present an Officer’s Certificate to the Trustee and the Securities Administrator (i) stating that the Master Servicer elects not to make a Advance in a stated amount and (ii) detailing the reason it deems the advance to be Nonrecoverable.

SECTION 5.06.  Compensating Interest Payments.

The amount of the Master Servicing Fee payable to the Master Servicer in respect of any Distribution Date shall be reduced (but not below zero) by the amount of any Compensating Interest Payment for such Distribution Date, but only to the extent that Interest Shortfalls relating to such Distribution Date are required to be paid but are not actually paid by the related Servicers on the applicable Servicer Remittance Date.  Such amount shall not be treated as an Advance and shall not be reimbursable to the Master Servicer

SECTION 5.07.  Basis Risk Reserve Fund.

(a)

On the Closing Date, the Securities Administrator shall establish and maintain in its name, in trust for the benefit of the holders of the COFI Certificates and the LIBOR Certificates, the Group 1 Basis Risk Reserve Fund and the Group 2 Basis Risk Reserve Fund, respectively; the Depositor shall deposit $225,000 into the Group 1 Basis Risk Reserve Fund, which amount is intended to cover the amount of Basis Risk Shortfalls, if any, on the first, second and third Distribution Dates.  On the third Distribution Date after the Closing Date, any interest accrued on such initial deposit and any amounts remaining from such initial deposit will be distributed to the Seller.

Each of the Group 1 Basis Risk Reserve Fund and Group 2 Basis Risk Reserve Fund shall be an Eligible Account, and funds on deposit therein shall be held separate and apart from, and shall not be commingled with, any other moneys, including, without limitation, other moneys of the Trustee held pursuant to this Agreement.  Neither the Group 1 Basis Risk Reserve Fund nor the Group 2 Basis Risk Reserve Fund shall be an asset of any REMIC established hereby.

(b)

(i)

On each Distribution Date, the Monthly Interest Distributable Amounts that would otherwise be distributable with respect to the Class 1-X Certificates shall instead be deposited in the Group 1 Basis Risk Reserve Fund to the extent of the 1-X Required Reserve Fund Deposit.

(ii)

On each Distribution Date, the Monthly Interest Distributable Amounts that would otherwise be distributable with respect to the Class 2-X Certificates shall instead be deposited in the Group 2 Basis Risk Reserve Fund to the extent of the 2-X Required Reserve Fund Deposit.


(c)

(i)

On any Distribution Date for which a Basis Risk Shortfall exists with respect to the Class 1-A1 and Class 1-A2 Certificates, the Securities Administrator, as Paying Agent, shall withdraw from Group 1 Basis Risk Reserve Fund the amount of any Basis Risk Shortfall for such Classes of Certificates, pursuant to Section 5.01(a)(i)(B).  If on any Distribution Date the amount on deposit in the Group 1 Basis Risk Reserve Fund is not sufficient to make a full distribution of the Basis Risk Shortfall with respect to the Class 1-A1 and Class 1-A2 Certificates, the Securities Administrator, as Paying Agent, shall withdraw the entire amount on deposit in the Group 1 Basis Risk Reserve Fund and distribute such amount to such Classes of Certificates on a pro rata basis.

Funds remaining in the Group 1 Basis Risk Reserve Fund on any Distribution Date after funding the payment of Basis Risk Shortfalls for such Distribution Date will be allocated to the Class 1-X Certificates, up to the amount of the 1-X Required Reserve Fund Deposit for such Distribution Date.

(ii)

On any Distribution Date for which a Basis Risk Shortfall exists with respect to the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates, the Securities Administrator, as Paying Agent, shall withdraw first from the Yield Maintenance Account, the amount of such Basis Risk Shortfall for distribution on such Distribution Date pursuant to Section 4.04 and Section 5.01(a)(iii)(B), and then from Group 2 Basis Risk Reserve Fund the amount of any remaining Basis Risk Shortfall for such Classes of Certificates, pursuant to Section 5.01(a)(iii)(B).  If on any Distribution Date the amount on deposit in the Group 2 Basis Risk Reserve Fund is not sufficient to make a full distribution of the Basis Risk Shortfall with respect to the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates remaining after application of funds available therefor in the Yield Maintenance Account, the Securities Administrator, as Paying Agent, shall withdraw the entire amount on deposit in the Group 2 Basis Risk Reserve Fund and distribute such amount to such Classes of Certificates on a pro rata basis.

On any Distribution Date for which a Basis Risk Shortfall exists with respect to the Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates, the Securities Administrator, as Paying Agent, after making the distributions described in the immediately preceding paragraph to the Class 2-A1, Class 2-A2A and Class 2-A2B Certificates, distribute the lesser of any amounts remaining on deposit in the Group 2 Basis Risk Reserve Fund and such Basis Risk Shortfall to the Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates, sequentially, in that order.

Funds remaining in the Group 2 Basis Risk Reserve Fund on any Distribution Date after funding the payment of Basis Risk Shortfalls for such Distribution Date will be allocated to the Class 2-X Certificates, up to the amount of the 2-X Required Reserve Fund Deposit for such Distribution Date.

(d)

(i)

Funds in the Group 1 Basis Risk Reserve Fund shall be invested in Permitted Investments.  Any earnings on amounts in the Group 1 Basis Risk Reserve Fund shall be for the benefit of the Class 1-X Certificateholders.  The Class 1-X Certificates shall evidence ownership of the Group 1 Basis Risk Reserve Fund for federal income tax purposes and the Holders thereof shall direct the Securities Administrator, in writing, as to investment of amounts on deposit therein.  The Class 1-X Certificateholder(s) shall be liable for any losses incurred on such investments.  In the absence of written instructions from the Class 1-X Certificateholder as to investment of funds on deposit in the Group 1 Basis Risk Reserve Fund, such funds shall be invested in money market funds as specified by the Depositor and as described in clause (vi) of the definition of Permitted Investments in Article I.  For all Federal income tax purposes, amounts transferred by the Upper-Tier REMIC to the Group 1 Basis Risk Reserve Fund shall be treated as amounts distributed by the Upper-Tier REMIC to the Class 1-X Certificateholders.

(ii)

Funds in the Group 2 Basis Risk Reserve Fund shall be invested in Permitted Investments.  Any earnings on amounts in the Group 2 Basis Risk Reserve Fund shall be for the benefit of the Class 2-X Certificateholders.  The Class 2-X Certificates shall evidence ownership of the Group 2 Basis Risk Reserve Fund for federal income tax purposes and the Holders thereof shall direct the Securities Administrator, in writing, as to investment of amounts on deposit therein.  The Class 2-X Certificateholder(s) shall be liable for any losses incurred on such investments.  In the absence of written instructions from the Class 2-X Certificateholder as to investment of funds on deposit in the Group 2 Basis Risk Reserve Fund, such funds shall be invested in money market funds as specified by the Depositor and as described in clause (vi) of the definition of Permitted Investments in Article I.  For all Federal income tax purposes, amounts transferred by the Upper-Tier REMIC to the Group 2 Basis Risk Reserve Fund shall be treated as amounts distributed by the Upper-Tier REMIC to the Class 2-X Certificateholders.

(e)

[Reserved].

(f)

[Reserved].

(g) Upon termination of the Trust Fund any amounts remaining in the Group 1 Basis Risk Reserve Fund and Group 2 Basis Risk Reserve Fund shall be distributed to the Class 1-X and Class 2-X Certificateholders, respectively.

SECTION 5.08.  Recoveries.

(a)

With respect to any Class of Certificates to which a Realized Loss has been allocated (including any such Class for which the related Class Certificate Principal Balance has been reduced to zero), the Class Certificate Principal Balance of such Class will be increased, up to the amount of related Recoveries for the related Loan Group for such Distribution Date as follows:

(i)

first, the Class Certificate Principal Balance of each Class of Senior Certificates related to the Loan Group from which the Recovery was collected will be increased pro rata, up to the amount by which Net Realized Losses previously allocated to each such Class exceeds the amount of Recoveries for such Distribution Date previously distributed to such Class, and

(ii)

second, the Class Certificate Principal Balance of each Class of Subordinate Certificates related to the Loan Group from which the Recover was collected will be increased in order of seniority, up to the amount by which Net Realized Losses previously allocated to each such Class exceeds the amount of Recoveries for such Distribution Date previously distributed to such Class.

(b)

Any increase to the Class Certificate Principal Balance of a Class of Certificates shall increase the Certificate Principal Balance of each Certificate of the related Class pro rata in accordance with each Percentage Interest.

ARTICLE VI

THE CERTIFICATES

SECTION 6.01.  The Certificates.

The Certificates shall be substantially in the form annexed hereto as Exhibit A-1 through E.  Each of the Certificates shall, on original issue, be executed by the Trustee and authenticated and delivered by the Certificate Registrar upon the written order of the Depositor concurrently with the sale and assignment to the Trustee of the Trust Fund.  Each Class of the Regular Certificates shall be initially evidenced by one or more Certificates representing a Percentage Interest with a minimum dollar denomination of $25,000 and integral dollar multiples of $1 in excess thereof, in the case of the Class 1-A1, Class 1-A2, Class 2-A1, Class 2-A2A, Class 2-A2B, Class 1-B1, Class 1-B2, Class 1-B3, Class 2-B1, Class 2-B2 and Class 2-B3 Certificates and $100,000 and integral dollar multiples of $1 in excess thereof, in the case of the Class 1-X, Class 2-X, Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates except that one Certificate of each of the Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates may be in a different denomination so that the sum of the denominations of all outstanding Certificates of such Class shall equal the Class Certificate Principal Balance of such Class on the Closing Date.  The Class 1-PO and Class 2-PO Certificates will be offered in minimum percentage interests of 0.01%.  The Class P, Class A-R and Class A-R-II Certificates are issuable only in a Percentage Interest of 100%.

The Certificates shall be executed on behalf of the Trust by manual or facsimile signature on behalf of the Trustee by a Responsible Officer.  Certificates bearing the manual or facsimile signatures of individuals who were, at the time when such signatures were affixed, authorized to sign on behalf of the Trustee shall be binding, notwithstanding that such individuals or any of them have ceased to be so authorized prior to the authentication and delivery of such Certificates or did not hold such offices at the date of such Certificate.  Each Certificate shall, on original issue, be authenticated by the Certificate Registrar upon the order of the Depositor.  No Certificate shall be entitled to any benefit under this Agreement or be valid for any purpose, unless such Certificate shall have been manually authenticated by the Certificate Registrar substantially in the form provided for herein, and such authentication upon any Certificate shall be conclusive evidence, and the only evidence, that such Certificate has been duly authenticated and delivered hereunder.  All Certificates shall be dated the date of their authentication.  At any time and from time to time after the execution and delivery of this Agreement, the Depositor may deliver Certificates executed by the Trustee to the Certificate Registrar for authentication and the Certificate Registrar shall authenticate and deliver such Certificates as provided in this Agreement and not otherwise.  Subject to Section 6.02(c), the Senior Certificates (other than the Class P and the Residual Certificates) and the Class 1-B1, Class 1-B2, Class 1-B3, Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B1, Class 2-B2, Class 2-B3, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates shall be Book-Entry Certificates.  The Class P and Residual Certificates shall be Physical Certificates.

The Private Certificates shall be offered and sold in reliance either on (i) the exemption from registration under Rule 144A of the 1933 Act and shall be issued initially in the form of one or more permanent global Certificates in definitive, fully registered form with the applicable legends set forth in Exhibit C (each, a “Restricted Global Security”) or (ii) Regulation S and shall be issued initially in the form of one or more permanent global Certificates in definitive, fully registered form without interest coupons with the applicable legends set forth in Exhibit C hereto (each, a “Regulation S Global Security”), which shall be deposited on behalf of the subscribers for such Certificates represented thereby with the Trustee, as custodian for DTC and registered in the name of a nominee of DTC, duly executed by the Trustee and authenticated by the Certificate Registrar as hereinafter provided.  The aggregate principal amounts of the Restricted Global Securities or Regulation S Global Securities, as applicable, may from time to time be increased or decreased by adjustments made on the records of the Certificate Registrar and DTC or its nominee, as the case may be, as hereinafter provided.

SECTION 6.02.  Registration of Transfer and Exchange of Certificates.  

(a)

The Certificate Registrar shall cause to be kept a Certificate Register in which, subject to such reasonable regulations as it may prescribe, the Certificate Registrar shall provide for the registration of Certificates and of transfers and exchanges of Certificates as herein provided.  The Securities Administrator is hereby appointed, and the Securities Administrator hereby accepts its appointment as, initial Certificate Registrar on behalf of the Trustee, for the purpose of registering Certificates and transfers and exchanges of Certificates as herein provided.

Upon surrender for registration of transfer of any Certificate at the Corporate Trust Office of the Certificate Registrar maintained for such purpose pursuant to the foregoing paragraph, the Trustee on behalf of the Trust shall execute, and the Certificate Registrar shall authenticate and deliver, in the name of the designated transferee or transferees, one or more new Certificates of the same aggregate Percentage Interest.

At the option of the Certificateholders, Certificates may be exchanged for other Certificates in authorized denominations and the same aggregate Percentage Interests, upon surrender of the Certificates to be exchanged at any such office or agency.  Whenever any Certificates are so surrendered for exchange, the Trustee shall execute on behalf of the Trust, and the Certificate Registrar shall authenticate and deliver the Certificates which the Certificateholder making the exchange is entitled to receive.  Every Certificate presented or surrendered for registration of transfer or exchange shall (if so required by the Certificate Registrar) be duly endorsed by, or be accompanied by a written instrument of transfer satisfactory to the Certificate Registrar duly executed by, the Holder thereof or his attorney duly authorized in writing.

(b)

Except as provided in paragraph (c) or (d) below, the Book-Entry Certificates shall at all times remain registered in the name of the Depository or its nominee and at all times: (i) registration of such Certificates may not be transferred by the Trustee or the Certificate Registrar except to another Depository; (ii) the Depository shall maintain book-entry records with respect to the Certificate Owners and with respect to ownership and transfers of such Certificates; (iii) ownership and transfers of registration of such Certificates on the books of the Depository shall be governed by applicable rules established by the Depository; (iv) the Depository may collect its usual and customary fees, charges and expenses from its Depository Participants; (v) the Certificate Registrar, the Paying Agent and the Trustee shall for all purposes deal with the Depository as representative of the Certificate Owners of the Certificates for purposes of exercising the rights of Holders under this Agreement, and requests and directions for and votes of such representative shall not be deemed to be inconsistent if they are made with respect to different Certificate Owners; (vi) the Trustee, the Paying Agent and the Certificate Registrar may rely and shall be fully protected in relying upon information furnished by the Depository with respect to its Depository Participants and furnished by the Depository Participants with respect to indirect participating firms and Persons shown on the books of such indirect participating firms as direct or indirect Certificate Owners; and (vii) the direct participants of the Depository shall have no rights under this Agreement under or with respect to any of the Certificates held on their behalf by the Depository, and the Depository may be treated by the Trustee, the Paying Agent, the Certificate Registrar and their respective agents, employees, officers and directors as the absolute owner of the Certificates for all purposes whatsoever.

All transfers by Certificate Owners of Book-Entry Certificates shall be made in accordance with the procedures established by the Depository Participant or brokerage firm representing such Certificate Owners.  Each Depository Participant shall only transfer Book-Entry Certificates of Certificate Owners that it represents or of brokerage firms for which it acts as agent in accordance with the Depository’s normal procedures.  The parties hereto are hereby authorized to execute one or more Letter of Representations with the Depository or take such other action as may be necessary or desirable to register a Book-Entry Certificate to the Depository.  In the event of any conflict between the terms of any such Letter of Representation and this Agreement, the terms of this Agreement shall control.

(c)

If (x) the Depository or the Depositor advises the Certificate Registrar in writing that the Depository is no longer willing or able to discharge properly its responsibilities as Depository and (y) the Certificate Registrar or the Depositor is unable to locate a qualified successor, upon surrender to the Certificate Registrar of the Book-Entry Certificates by the Depository, accompanied by registration instructions from the Depository for registration, the Trustee shall at the Seller’s expense execute on behalf of the Trust and authenticate definitive, fully registered certificates (the “Definitive Certificates”).  Neither the Depositor nor the Certificate Registrar shall be liable for any delay in delivery of such instructions and may conclusively rely on, and shall be protected in relying on, such instructions.  Upon the issuance of Definitive Certificates, the Trustee, the Certificate Registrar, the Paying Agent and the Depositor shall recognize the Holders of the Definitive Certificates as Certificateholders hereunder.

(d)

No transfer, sale, pledge or other disposition of any Private Certificate, other than a Private Certificate sold in an offshore transaction in reliance on Regulation S, shall be made unless such disposition is exempt from the registration requirements of the 1933 Act, and any applicable state securities laws or is made in accordance with the 1933 Act and laws.  Any Private Certificates (other than a Class P Certificate) sold to an “accredited investor” under Rule 501(a)(1), (2), (3) or (7) under the 1933 Act shall be issued only in the form of one or more Definitive Certificates and the records of the Certificate Registrar and DTC or its nominee shall be adjusted to reflect the transfer of such Definitive Certificates.  In the event of any transfer of any Private Certificate (other than a Class P Certificate) in the form of a Definitive Certificate, (i) the transferee shall certify (A) such transfer is made to a Qualified Institutional Buyer in reliance upon Rule 144A (as evidenced by an investment letter delivered to the Certificate Registrar, in substantially the form attached hereto as Exhibit J-2) under the 1933 Act, or (B) such transfer is made to an “accredited investor” under Rule 501(c)(1), (2), (3) or (7) under the 1933 Act (as evidenced by an investment letter delivered to the Certificate Registrar, in substantially the form attached hereto as Exhibit J-1, and, if so required by the Certificate Registrar and the Depositor, a written Opinion of Counsel (which may be in-house counsel) acceptable to and in form and substance reasonably satisfactory to the Certificate Registrar and the Depositor, delivered to the Certificate Registrar and the Depositor stating that such transfer may be made pursuant to an exemption, including a description of the applicable exemption and the basis therefor, from the 1933 Act or is being made pursuant to the 1933 Act, which Opinion of Counsel shall not be an expense of the Trust, the Trustee, the Certificate Registrar, the Master Servicer, the Securities Administrator or the Depositor) or (ii) the Certificate Registrar shall require the transferor to execute a transferor certificate and the transferee to execute an investment letter acceptable to and in form and substance reasonably satisfactory to the Depositor and the Certificate Registrar certifying to the Depositor and the Certificate Registrar the facts surrounding such transfer, which investment letter shall not be an expense of the Trust, the Trustee, the Certificate Registrar, the Master Servicer, the Securities Administrator or the Depositor.  The Class P Certificate shall only be issued as a Definitive Certificate and shall only be transferred pursuant to clauses (i)(A) and (ii) above.  Each Holder of a Private Certificate desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Certificate Registrar, the Securities Administrator, the Seller and the Depositor against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.

In the case of a Private Certificate that is a Book-Entry Certificate, for purposes of the preceding paragraph, the representations set forth in the investment letter in clause (i) shall be deemed to have been made to the Certificate Registrar by the transferee’s acceptance of such Private Certificate that is also a Book-Entry Certificate (or the acceptance by a Certificate Owner of the beneficial interest in such Certificate).

If any Certificate Owner that is required under this Section 6.02(d) to transfer its Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 or Class 2-B6 Certificates that are Book-Entry Certificates in the form of Definitive Certificates, (i) notifies the Certificate Registrar of such transfer or exchange and (ii) transfers such Book-Entry Certificates to the Certificate Registrar, in its capacity as such, through the book-entry facilities of the Depository, then the Certificate Registrar shall decrease the balance of such Book-Entry Certificates, or the Certificate Registrar shall use reasonable efforts to cause the surrender to the Certificate Registrar of such Book-Entry Certificates by the Depository, and thereupon, the Trustee, on behalf of the Trust, shall execute and the Certificate Registrar shall authenticate and deliver to such Certificate Owner or its designee one or more Definitive Certificates in authorized denominations and with a like aggregate Certificate Principal Balance.

Subject to the provisions of this Section 6.02(d) governing registration of transfer and exchange Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates (i) held as Definitive Certificates may be transferred in the form of Book-Entry Certificates in reliance on Rule 144A (to one or more Qualified Institutional Buyers) or Regulation S under the 1933 Act that are acquiring such Definitive Certificates, their own accounts for or for the accounts of other Qualified Institutional Buyers and (ii) held as Definitive Certificates by a Qualified Institutional Buyer or an investor under Regulation S for its own account or for the account of another Qualified Institutional Buyer or Regulation S investor may be exchanged for Book-Entry Certificates, in each case upon surrender of such Certificates for registration of transfer or exchange at the offices of the Certificate Registrar maintained for such purpose.  Whenever any such Certificates are so surrendered for transfer or exchange, either the Certificate Registrar shall increase the balance of the related Book-Entry Certificates ,or the Trustee on behalf of the Trust shall execute, and the Certificate Registrar shall authenticate and deliver, the Book-Entry Certificates for which such Certificates were transferred or exchanged, as necessary and appropriate.  No Holder of any such Definitive Certificates other than a Qualified Institutional Buyer or a Regulation S investor holding such Certificates for its own account or for the account of another Qualified Institutional Buyer or Regulation S investor may exchange such Certificates for Book-Entry Certificates.  Further, any Certificate Owner of such Book-Entry Certificates other than any such Qualified Institutional Buyers or Regulation S investors shall notify the Certificate Registrar of its status as such and shall transfer such Book-Entry Certificate to the Certificate Registrar, through the book-entry facilities of the Depository, whereupon, and also upon surrender to the Certificate Registrar of such Book-Entry Certificates by the Depository, (which surrender the Certificate Registrar shall use reasonable efforts to cause to occur), the Trustee on behalf of the Trust shall execute, and the Certificate Registrar shall authenticate and deliver, to such Certificate Owner or such Certificate Owner’s nominee one or more Definitive Certificates in authorized denominations and with a like aggregate Certificate Principal Balance.

None of the Depositor, the Seller, the Securities Administrator, the Certificate Registrar or the Trustee is obligated to register or qualify the Private Certificates under the 1933 Act or any other securities laws or to take any action not otherwise required under this Agreement to permit the transfer of such Certificates without registration or qualification.  Any Certificateholder desiring to effect the transfer of a Private Certificate shall, and does hereby agree to, indemnify the Trustee, the Seller, the Securities Administrator, the Depositor and the Certificate Registrar against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.

No transfer of an ERISA-Restricted Certificate in the form of a Definitive Certificate shall be made unless the Certificate Registrar shall have received either (i) a representation from the transferee of such Certificate, acceptable to and in form and substance satisfactory to the Certificate Registrar and the Depositor (such requirement is satisfied only by the Certificate Registrar’s receipt of a representation letter from the transferee substantially in the form of Exhibit I-1 or I-2, as applicable, hereto), to the effect that such transferee is not an employee benefit plan subject to Section 406 of ERISA or a plan or arrangement subject to Section 4975 of the Code, nor a person acting on behalf of any such plan or arrangement nor using the assets of any such plan or arrangement to effect such transfer or (ii) if such Certificate has been the subject of an ERISA-Qualifying Underwriting, and the purchaser is an insurance company, a representation that the purchaser is an insurance company which is purchasing such Certificates with funds contained in an “insurance company general account” (as such term is defined in Section V(e) of Prohibited Transaction Class Exemption 95-60 (“PTCE 95-60”) and that the purchase and holding of such Certificates are covered under Sections I and III of PTCE 95-60 or (iii) an Opinion of Counsel satisfactory to the Certificate Registrar, which Opinion of Counsel shall not be an expense of the Trustee, the Certificate Registrar, the Master Servicer, the Securities Administrator, the Depositor or the Trust, addressed to the Certificate Registrar, to the effect that the purchase and holding of such ERISA-Restricted Certificate in the form of a Definitive Certificate will not result in a non-exempt prohibited transaction under Section 406 of ERISA or Section 4975 of the Code and will not subject the Trustee, the Certificate Registrar, the Master Servicer, any Servicer, the Securities Administrator or the Depositor to any obligation in addition to those expressly undertaken in this Agreement or to any liability.  Notwithstanding anything else to the contrary herein, any purported transfer of an ERISA-Restricted Certificate in the form of a Definitive Certificate to an employee benefit plan subject to ERISA or Section 4975 of the Code without the delivery to the Certificate Registrar of an Opinion of Counsel satisfactory to the Certificate Registrar as described above shall be void and of no effect.  

In the case of an ERISA-Restricted Certificate that is a Book-Entry Certificate, for purposes of clauses (i) or (ii) of the first sentence of the preceding paragraph, such representations shall be deemed to have been made to the Certificate Registrar by the transferee’s acceptance of such ERISA-Restricted Certificate that is also a Book-Entry Certificate (or the acceptance by a Certificate Owner of the beneficial interest in such Certificate).

To the extent permitted under applicable law (including, but not limited to, ERISA), none of the Trustee, the Certificate Registrar or the Depositor shall have any liability to any Person for any registration of transfer of any ERISA-Restricted Certificate that is in fact not permitted by this Section 6.02(d) or for the Paying Agent making any payments due on such Certificate to the Holder thereof or taking any other action with respect to such Holder under the provisions of this Agreement so long as the transfer was registered by the Certificate Registrar in accordance with the foregoing requirements.  In addition, none of the Trustee, the Certificate Registrar or the Depositor shall be required to monitor, determine or inquire as to compliance with the transfer restrictions with respect to any ERISA-Restricted Certificate in the form of a Book-Entry Certificate, and none of the Trustee, the Certificate Registrar or the Depositor shall have any liability for transfers of Book-Entry Certificates or any interests therein made in violation of the restrictions on transfer described in the Prospectus Supplement and this Agreement.

(e)

Each Person who has or who acquires any Ownership Interest in a Residual Certificate shall be deemed by the acceptance or acquisition of such Ownership Interest to have agreed to be bound by the following provisions and to have irrevocably appointed the Depositor or its designee as its attorney-in-fact to negotiate the terms of any mandatory sale under clause (v) below and to execute all instruments of transfer and to do all other things necessary in connection with any such sale, and the rights of each Person acquiring any Ownership Interest in  a Residual Certificate are expressly subject to the following provisions:

(i)

Each Person holding or acquiring any Ownership Interest in a Residual Certificate shall be a Permitted Transferee who acquires such Ownership Interest in a Residual Certificate for its own account and not in the capacity as trustee, nominee or agent for another Person and shall promptly notify the Certificate Registrar and the Trustee of any change or impending change in its status as such a Permitted Transferee.

(ii)

No Ownership Interest in a Residual Certificate may be registered on the Closing Date and no Ownership Interest in a Residual Certificate may thereafter be transferred, and the Certificate Registrar shall not register the Transfer of a Residual Certificate unless, in addition to the certificates required to be delivered under subsection (d) above, the Trustee and the Certificate Registrar shall have been furnished with an affidavit (“Transfer Affidavit”) of the initial owner of such Residual Certificate or proposed transferee of a Residual Certificate in the form attached hereto as Exhibit L.

(iii)

In connection with any proposed transfer of any Ownership Interest in a Residual Certificate, the Trustee and the Certificate Registrar shall as a condition to registration of the transfer, require delivery to them of a Transferor Certificate in the form of Exhibit K hereto from the proposed transferor to the effect that the transferor (a) has no knowledge the proposed Transferee is not a Permitted Transferee acquiring an Ownership Interest in such Residual Certificate for its own account and not in a capacity as trustee, nominee, or agent for another Person, and (b) has not undertaken the proposed transfer in whole or in part to impede the assessment or collection of tax.

(iv)

Any attempted or purported Transfer of any Ownership Interest in a Residual Certificate in violation of the provisions of this Section shall be absolutely null and void and shall vest no rights in the purported transferee.  If any purported transferee shall, in violation of the provisions of this Section, become a Holder of such Residual Certificate, then the prior Holder of such Residual Certificate that is a Permitted Transferee shall, upon discovery that the registration of Transfer of such Residual Certificate was not in fact permitted by this Section, be restored to all rights as Holder thereof retroactive to the date of registration of transfer of such Residual Certificate.  None of the Trustee, the Certificate Registrar or the Depositor shall have any liability to any Person for any registration of Transfer of a Residual Certificate that is in fact not permitted by this Section or for the Paying Agent making any distributions due on a Residual Certificate to the Holder thereof or taking any other action with respect to such Holder win the provisions of this Agreement so long as the Trustee and the Certificate Registrar received the documents specified in clause (iii).  The Certificate Registrar shall be entitled to recover from any Holder of such Residual Certificate that was in fact not a Permitted Transferee at the time such distributions were made all distributions made on such Residual Certificate.  Any such distributions so recovered by the Certificate Registrar shall be distributed and delivered by the Certificate Registrar to the last Holder of such Residual Certificate that is a Permitted Transferee.

(v)

If any Person other than a Permitted Transferee acquires any Ownership Interest in a Residual Certificate in violation of the restrictions in this Section, then the Certificate Registrar shall have the right but not the obligation, without notice to the Holder of such Residual Certificate or any other Person having an Ownership Interest therein, to notify the Depositor to arrange for the sale of such Residual Certificate.  The proceeds of such sale, net of commissions (which may include commissions payable to the Depositor or its affiliates in connection with such sale), expenses and taxes due, if any, will be remitted by the Certificate Registrar to the previous Holder of such Residual Certificate that is a Permitted Transferee, except that in the event that the Certificate Registrar determines that the Holder of such Residual Certificate may be liable for any amount due under this Section or any other provisions of this Agreement, the Certificate Registrar may withhold a corresponding amount from such remittance as security for such claim.  The terms and conditions of any sale under this clause (v) shall be determined in the sole discretion of the Trustee and the Certificate Registrar and they shall not be liable to any Person having an Ownership Interest in such Residual Certificate as a result of its exercise of such discretion.

(vi)

If any Person other than a Permitted Transferee acquires any Ownership Interest in a Residual Certificate in violation of the restrictions in this Section, then the Securities Administrator upon receipt of reasonable compensation will provide to the Internal Revenue Service, and to the persons specified in Sections 860E(e)(3) and (6) of the Code, information needed to compute the tax imposed under Section 860E(e)(5) of the Code on transfers of residual interests to disqualified organizations.

The foregoing provisions of this Section shall cease to apply to transfers occurring on or after the date on which there shall have been delivered to the Certificate Registrar and the Servicer, in form and substance satisfactory to the Certificate Registrar, (i) written notification from the Rating Agency that the removal of the restrictions on Transfer set forth in this Section will not cause the Rating Agency to downgrade its ratings of the Certificates and (ii) an Opinion of Counsel to the effect that such removal will not cause the REMIC created hereunder to fail to qualify as a REMIC.

(f)

Notwithstanding any provision to the contrary herein, so long as a Restricted Global Security or Regulation S Global Security, as applicable, representing the Certificates remains outstanding and is held by or on behalf of the Depository, transfers of a Restricted Global Security or Regulation S Global Security, as applicable, representing the Certificates, in whole or in part, shall only be made in accordance with Section 6.01 and this Section 6.02(f).

(i)

Subject to clauses (ii) and (iii) of this Section 6.02(f), transfers of a Restricted Global Security or Regulation S Global Security, as applicable, representing the Certificates shall be limited to transfers of such a Restricted Global Security or Regulation S Global Security, as applicable, in whole, but not in part, to nominees of the Depository or to a successor of the Depository or such successor’s nominee.

(ii)

Restricted Global Security to Regulation S Global Security.  If a holder of a beneficial interest in a Restricted Global Security deposited with or on behalf of the Depository wishes at any time to exchange its interest in such Restricted Global Security for an interest in a Regulation S Global Security, or to transfer its interest in such Restricted Global Security to a Person who wishes to take delivery thereof in the form of an interest in a Regulation S Global Security, such holder, provided such holder is not a U.S. Person, may, subject to the rules and procedures of the Depository, exchange or cause the exchange of such interest for an equivalent beneficial interest in the Regulation S Global Security.  Upon receipt by the Certificate Registrar of (A) instructions from the Depository directing the Certificate Registrar to cause to be credited a beneficial interest in a Regulation S Global Security in an amount equal to the beneficial interest in such Restricted Global Security to be exchanged but not less than the minimum denomination applicable to such Certificateholders’ held through a Regulation S Global Security, (B) a written order given in accordance with the Depository’s procedures containing information regarding the participant account of the Depository and, in the case of a transfer pursuant to and in accordance with Regulation S, the Euroclear or Clearstream account to be credited with such increase and (C) a certificate in the form of Exhibit N-1 hereto given by the holder of such beneficial interest stating that the exchange or transfer of such interest has been made in compliance with the transfer restrictions applicable to the Global Securities, including that the holder is not a U.S. Person and pursuant to and in accordance with Regulation S, the Certificate Registrar shall reduce the principal amount of the Restricted Global Security and increase the principal amount of the Regulation S Global Security by the aggregate principal amount of the beneficial interest in the Restricted Global Security to be exchanged, and shall instruct Euroclear or Clearstream, as applicable, concurrently with such reduction, to credit or cause to be credited to the account of the Person specified in such instructions a beneficial interest in the Regulation S Global Security equal to the reduction in the principal amount of the Restricted Global Security.

(iii)

Regulation S Global Security to Restricted Global Security.  If a holder of a beneficial interest in a Regulation S Global Security deposited with or on behalf of the Depository wishes at any time to transfer its interest in such Regulation S Global Security to a Person who wishes to take delivery thereof in the form of an interest in a Restricted Global Security, such holder may, subject to the rules and procedures of the Depository, exchange or cause the exchange of such interest for an equivalent beneficial interest in a Restricted Global Security.  Upon receipt by the Certificate Registrar of (A) instructions from the Depository directing the Certificate Registrar to cause to be credited a beneficial interest in a Restricted Global Security in an amount equal to the beneficial interest in such Regulation S Global Security to be exchanged but not less than the minimum denomination applicable to such Certificateholder’s Certificates held through a Restricted Global Security, to be exchanged, such instructions to contain information regarding the participant account with the Depository to be credited with such increase, and (B) a certificate in the form of Exhibit N-2 hereto given by the holder of such beneficial interest and stating, among other things, that the Person transferring such interest in such Regulation S Global Security reasonably believes that the Person acquiring such interest in a Restricted Global Security is a qualified institutional buyer within the meaning of Rule 144A, is obtaining such beneficial interest in a transaction meeting the requirements of Rule 144A and in accordance with any applicable securities laws of any State of the United States or any other jurisdiction, then the Certificate Registrar will reduce the principal amount of the Regulation S Global Security and increase the principal amount of the Restricted Global Security by the aggregate principal amount of the beneficial interest in the Regulation S Global Security to be transferred and the Certificate Registrar shall instruct the Depository, concurrently with such reduction, to credit or cause to be credited to the account of the Person specified in such instructions a beneficial interest in the Restricted Global Security equal to the reduction in the principal amount of the Regulation S Global Security.

(iv)

Other Exchanges.  In the event that a Restricted Global Security or Regulation S Global Security, as applicable, is exchanged for Certificates in definitive registered form without interest coupons, such Certificates may be exchanged for one another only in accordance with such procedures as are substantially consistent with the provisions above (including certification requirements intended to insure that such transfers comply with Rule 144A or are to non-U.S. Persons, or otherwise comply with Regulation S under the Securities Act, as the case may be, and as may be from time to time adopted by the Depositor and the Certificate Registrar.

(v)

Restrictions on U.S. Transfers.  Transfers of interests in the Regulation S Global Security to U.S. persons (as defined in Regulation S) shall be limited to transfers made pursuant to the provisions of Section 6.02(f)(iii).

(g)

No service charge shall be made for any registration of transfer or exchange of Certificates of any Class, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or governmental charge that may be imposed in connection with any transfer or exchange of Certificates.

All Certificates surrendered for registration of transfer or exchange shall be cancelled by the Certificate Registrar and disposed of pursuant to its standard procedures.

SECTION 6.03.  Mutilated, Destroyed, Lost or Stolen Certificates.

If (i) any mutilated Certificate is surrendered to the Trustee or the Certificate Registrar or the Trustee or the Certificate Registrar receives evidence to its satisfaction of the destruction, loss or theft of any Certificate and (ii) there is delivered to the Trustee, the Certificate Registrar and the Depositor such security or indemnity as may be required by them to save each of them harmless, then, in the absence of notice to the Trustee, the Depositor or the Certificate Registrar that such Certificate has been acquired by a bona fide purchaser, the Trustee shall execute on behalf of the Trust and the Certificate Registrar shall authenticate and deliver, in exchange for or in lieu of any such mutilated, destroyed, lost or stolen Certificate, a new Certificate of like tenor and Percentage Interest.  Upon the issuance of any new Certificate under this Section, the Trustee, the Depositor or the Certificate Registrar may require the payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in relation thereto and any other expenses (including the fees and expenses of the Trustee, the Depositor and the Certificate Registrar) in connection therewith.  Any duplicate Certificate issued pursuant to this Section, shall constitute complete and indefeasible evidence of ownership in the Trust Fund, as if originally issued, whether or not the lost, stolen or destroyed Certificate shall be found at any time.

SECTION 6.04.  Persons Deemed Owners.

The Depositor, the Trustee, the Certificate Registrar, the Paying Agent and any agent of the Depositor, the Trustee, the Certificate Registrar or the Paying Agent may treat the Person, including a Depository, in whose name any Certificate is registered as the owner of such Certificate for the purpose of receiving distributions pursuant to Section 5.01 hereof and for all other purposes whatsoever, and none of the Trust, the Depositor, the Trustee, the Certificate Registrar, the Paying Agent or any agent of any of them shall be affected by notice to the contrary.

SECTION 6.05.  Appointment of Paying Agent.

(a)

The Trustee may appoint a Paying Agent (which may be the Trustee) for the purpose of making distributions to Certificateholders hereunder.  The Trustee hereby appoints the Securities Administrator as the initial Paying Agent.  The duties of the Paying Agent may include the obligation (i) to withdraw funds from the Distribution Account pursuant to Section 4.03 hereof and (ii) to distribute statements and provide information to Certificateholders as required hereunder.  The Paying Agent hereunder shall at all times be an entity duly incorporated and validly existing under the laws of the United States of America or any state thereof, authorized under such laws to exercise corporate trust powers and subject to supervision or examination by federal or state authorities.  

The Securities Administrator, as Paying Agent, shall hold all sums, if any, held by it for payment to the Certificateholders in trust for the benefit of the Certificateholders entitled thereto until such sums shall be paid to such Certificateholders and shall comply with all requirements of the Code regarding the withholding of payments in respect of federal income taxes due from Certificate Owners and otherwise comply with the provisions of this Agreement applicable to it.


ARTICLE VII

DEFAULT

SECTION 7.01.  Event of Default.

(a)

If any one of the following events (each, an “Event of Default”) shall occur and be continuing:

(i)

the failure by the Master Servicer to make any Advance or to deposit in the Distribution Account any deposit required to be made under the terms of this Agreement, and such failure continues unremedied for a period of one Business Day after the date upon which written notice of such failure, requiring the same to be remedied, shall have been given to the Master Servicer; or

(ii)

the failure by the Master Servicer duly to observe or perform, in any material respect, any other covenants, obligations or agreements of the Master Servicer as set forth in this Agreement, which failure continues unremedied for a period of 60 days (or, in the case of a breach of its obligation to provide a Sarbanes-Oxley Certification pursuant to Section 3.18, 30 days) after the date (A) on which written notice of such failure, requiring the same to be remedied, shall have been given to the Master Servicer by the Trustee or to the Master Servicer and the Trustee by Holders of Certificates evidencing at least 25% of the Voting Rights or (B) on which a Servicing Officer of the Master Servicer has actual knowledge of such failure; or

(iii)

the entry against the Master Servicer of a decree or order by a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a trustee, conservator, receiver or liquidator in any insolvency, conservatorship, receivership, readjustment of debt, marshalling of assets and liabilities or similar proceedings, or for the winding up or liquidation of its affairs, and the continuance of any such decree or order unstayed and in effect for a period of 60 days; or

(iv)

the Master Servicer shall voluntarily go into liquidation, consent to the appointment of a conservator or receiver or liquidator or similar person in any insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings of or relating to the Master Servicer or of or relating to all or substantially all of its property; or a decree or order of a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a conservator, receiver, liquidator or similar person in any insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings, or for the winding-up or liquidation of its affairs, shall have been entered against the Master Servicer and such decree or order shall have remained in force undischarged, unbonded or unstayed for a period of 60 days; or the Master Servicer shall admit in writing its inability to pay its debts generally as they become due, file a petition to take advantage of any applicable insolvency or reorganization statute, make an assignment for the benefit of its creditors or voluntarily suspend payment of its obligations;

(b)

then, and in each and every such case, so long as an Event of Default shall not have been remedied within the applicable grace period, the Trustee shall, at the written direction of the Holders of Certificates evidencing Voting Rights aggregating not less than 51%, by notice then given in writing to the Master Servicer, terminate all of the rights and obligations of the Master Servicer as servicer under this Agreement.  Any such notice to the Master Servicer shall also be given to the Rating Agency, the Depositor and the Seller.  On or after the receipt by the Master Servicer (and by the Trustee if such notice is given by the Holders) of such written notice, all authority and power of the Master Servicer under this Agreement, whether with respect to the Certificates or the Mortgage Loans or otherwise, shall pass to and be vested in the Trustee and the Trustee is hereby authorized and empowered to execute and deliver, on behalf of the Master Servicer, as attorney-in-fact or otherwise, any and all documents and other instruments, and to do or accomplish all other acts or things necessary or appropriate to effect the purposes of such notice of termination, whether to complete the transfer and endorsement of each Mortgage Loan and related documents or otherwise.  The Master Servicer agrees to cooperate with the Trustee in effecting the termination of the responsibilities and rights of the Master Servicer hereunder, including, without limitation, the delivery to the Trustee of all documents and records requested by it to enable it to assume the Master Servicer's functions under this Agreement within ten Business Days subsequent to such notice and the transfer within one Business Day subsequent to such notice to the Trustee for the administration by it of all cash amounts that shall at the time be held by the Master Servicer to be deposited by it in the Distribution Account, any REO Account or any Servicing Account or that have been deposited by the Master Servicer in such accounts or thereafter received by the Master Servicer with respect to the Mortgage Loans or any REO Property received by the Master Servicer. All reasonable costs and expenses (including attorneys' fees) incurred in connection with transferring the Master Servicer's duties and the Mortgage Files to the successor Master Servicer and amending this Agreement to reflect such succession as Master Servicer pursuant to this Section shall be paid by the predecessor Master Servicer (or if the predecessor Master Servicer is the Trustee, the initial Master Servicer) upon presentation of reasonable documentation of such costs and expenses.  The termination of the rights and obligations of the Master Servicer shall not affect any liability it may have incurred prior to such termination.

(c)

Notwithstanding the foregoing, if an Event of Default described in clause (i) of Section 7.01(a) shall occur, the Trustee shall, by notice in writing to the Master Servicer, which may be delivered by telecopy, immediately suspend all of the rights and obligations of the Master Servicer thereafter arising under this Agreement, but without prejudice to any rights it may have as a Certificateholder or to reimbursement of outstanding Advances or other amounts for which the Master Servicer was entitled to reimbursement as of the date of termination, and the Trustee shall act as provided in Section 7.02 to carry out the duties of the Master Servicer, including the obligation to make any Advance the nonpayment of which was an Event of Default described in clause (i) of Section 7.01(a).  Any such action taken by the Trustee must be prior to the distribution on the relevant Distribution Date.  If the Master Servicer shall within two Business Days following such suspension remit to the Trustee the amount of any Advance the nonpayment of which by the Master Servicer was an Event of Default described in clause (i) of Section 7.01(a), the Trustee may, in its sole discretion, permit the Master Servicer to resume its rights and obligations as Master Servicer hereunder.  The Master Servicer agrees that it will reimburse the Trustee for actual, necessary and reasonable costs incurred by the Trustee because of action taken pursuant to this subsection.

SECTION 7.02.  Trustee to Act.

(a)

From and after the date the Master Servicer (and the Trustee, if notice is sent by the Holders) receives a notice of termination pursuant to Section 7.01, the Trustee shall be the successor in all respects to the Master Servicer in its capacity as servicer under this Agreement and the transactions set forth or provided for herein and shall be subject to all the responsibilities, duties and liabilities relating thereto placed on the Master Servicer by the terms and provisions hereof arising on and after its succession. As compensation therefor, the Trustee shall be entitled to such compensation as the Master Servicer would have been entitled to hereunder if no such notice of termination had been given. Notwithstanding the above, (i) if the Trustee is unwilling to act as successor Master Servicer or (ii) if the Trustee is legally unable so to act, the Trustee shall appoint or petition a court of competent jurisdiction to appoint, any established housing and home finance institution, bank or other mortgage loan or home equity loan servicer having a net worth of not less than $15,000,000 as the successor to the Master Servicer hereunder in the assumption of all or any part of the responsibilities, duties or liabilities of the Master Servicer hereunder; provided, that the appointment of any such successor Master Servicer shall not result in the qualification, reduction or withdrawal of the ratings assigned to the Certificates by the Rating Agency as evidenced by a letter to such effect from the Rating Agency. Pending appointment of a successor to the Master Servicer hereunder, unless the Trustee is prohibited by law from so acting, the Trustee shall act in such capacity as hereinabove provided. In connection with such appointment and assumption, the successor shall be entitled to receive compensation out of payments on Mortgage Loans in an amount equal to the compensation which the Master Servicer would otherwise have received hereunder.  The appointment of a successor Master Servicer shall not affect any liability of the predecessor Master Servicer which may have arisen under this Agreement prior to its termination as Master Servicer to pay any deductible under an insurance policy pursuant to Section 3.09 or to indemnify the Trustee pursuant to Section 3.26), nor shall any successor Master Servicer be liable for any acts or omissions of the predecessor Master Servicer or for any breach by such Master Servicer of any of its representations or warranties contained herein or in any related document or agreement.  The Trustee and such successor shall take such action, consistent with this Agreement, as shall be necessary to effectuate any such succession.

(b)

Any successor, including the Trustee, to the Master Servicer as Master Servicer shall during the term of its service as Master Servicer continue to service and administer the Mortgage Loans for the benefit of Certificateholders, and maintain in force a policy or policies of insurance covering errors and omissions in the performance of its obligations as Master Servicer hereunder and a Fidelity Bond in respect of its officers, employees and agents to the same extent as the Master Servicer is so required pursuant to Section 3.04.

(c)

Notwithstanding anything else herein to the contrary, in no event shall the Trustee be liable for any servicing fee or for any differential in the amount of the servicing fee paid hereunder and the amount necessary to induce any successor Master Servicer to act as successor Master Servicer under this Agreement and the transactions set forth or provided for herein.

SECTION 7.03.  Waiver of Event of Default.

The Majority Certificateholders may, on behalf of all Certificateholders, by notice in writing to the Trustee, direct the Trustee to waive any events permitting removal of any Master Servicer under this Agreement, provided, however, that the Majority Certificateholders may not waive an event that results in a failure to make any required distribution on a Certificate without the consent of the Holder of such Certificate.  Upon any waiver of an Event of Default, such event shall cease to exist and any Event of Default arising therefrom shall be deemed to have been remedied for every purpose of this Agreement.  No such waiver shall extend to any subsequent or other event or impair any right consequent thereto except to the extent expressly so waived.  Notice of any such waiver shall be given by the Trustee to the Rating Agency.

SECTION 7.04.  Notification to Certificateholders.

(a)

Upon any termination or appointment of a successor to any Master Servicer pursuant to this Article VII or Section 3.30, the Trustee shall give prompt written notice thereof to the Securities Administrator and the Certificateholders at their respective addresses appearing in the Certificate Register and to the Rating Agency.

(b)

No later than 60 days after the occurrence of any event which constitutes or which, with notice or a lapse of time or both, would constitute an Event of Default of which a Responsible Officer of the Trustee becomes aware of the occurrence of such an event, the Trustee shall transmit by mail to the Securities Administrator and all Certificateholders notice of such occurrence unless such Event of Default shall have been waived or cured.

ARTICLE VIII

THE TRUSTEE AND THE SECURITIES ADMINISTRATOR

SECTION 8.01.  Duties of the Trustee and the Securities Administrator.

The Trustee, prior to the occurrence of an Event of Default and after the curing or waiver of all Events of Default which may have occurred, and the Securities Administrator each undertake to perform such duties and only such duties as are specifically set forth in this Agreement.  If an Event of Default has occurred (which has not been cured or waived) of which a Responsible Officer has actual knowledge, the Trustee shall exercise such of the rights and powers vested in it by this Agreement, and use the same degree of care and skill in their exercise, as a prudent man would exercise or use under the circumstances in the conduct of his own affairs unless the Trustee is acting as successor Master Servicer, in which case it shall use the same degree of care and skill as the Master Servicer hereunder.

Each of the Trustee and the Securities Administrator, upon receipt of all resolutions, certificates, statements, opinions, reports, documents, orders or other instruments furnished to the Trustee and the Securities Administrator, which are specifically required to be furnished pursuant to any provision of this Agreement, shall examine them to determine whether they conform to the requirements of this Agreement; provided, however, that neither the Trustee nor the Securities Administrator will be responsible for the accuracy or content of any such resolutions, certificates, statements, opinions, reports, documents or other instruments.  If any such instrument is found not to conform to the requirements of this Agreement in a material manner, the Trustee and the Securities Administrator shall take such action as it deems appropriate to have the instrument corrected.

On each Distribution Date, the Securities Administrator, as Paying Agent, shall make monthly distributions and the final distribution to the Certificateholders from funds in the Distribution Account as provided in Sections 5.01 and 10.01 herein.

No provision of this Agreement shall be construed to relieve the Trustee or the Securities Administrator from liability for its own negligent action, its own negligent failure to act or its own willful misconduct; provided, however, that:

(i)

prior to the occurrence of an Event of Default, and after the curing of all such Events of Default which may have occurred, the duties and obligations of the Trustee and the Securities Administrator shall be determined solely by the express provisions of this Agreement, neither the Trustee nor the Securities Administrator shall be liable except for the performance of such duties and obligations as are specifically set forth in this Agreement, no implied covenants or obligations shall be read into this Agreement against the Trustee or the Securities Administrator and, in the absence of bad faith on the part of the Trustee or the Securities Administrator, the Trustee or the Securities Administrator may conclusively rely, as to the truth of the statements and the correctness of the opinions expressed therein, upon any certificates or opinions furnished to the Trustee or the Securities Administrator, respectively, and conforming to the requirements of this Agreement;

(ii)

neither the Trustee nor the Securities Administrator shall be liable for an error of judgment made in good faith by a Responsible Officer of the Trustee or the Securities Administrator, respectively, unless it shall be proved that the Trustee or the Securities Administrator, respectively, was negligent in ascertaining or investigating the facts related thereto;

(iii)

neither the Trustee nor the Securities Administrator shall be personally liable with respect to any action taken, suffered or omitted to be taken by it in good faith in accordance with the consent or at the direction of Holders of Certificates as provided herein relating to the time, method and place of conducting any remedy pursuant to this Agreement, or exercising or omitting to exercise any trust or power conferred upon the Trustee or the Securities Administrator, respectively, under this Agreement; and

(iv)

the Trustee shall not be charged with knowledge of any Event of Default unless a Responsible Officer of the Trustee at the Corporate Trust Office obtains actual knowledge of such failure or the Trustee receives written notice of such Event of Default.

Neither the Trustee nor the Securities Administrator shall be required to expend or risk its own funds or otherwise incur financial or other liability in the performance of any of its duties hereunder, or in the exercise of any of its rights or powers, if there is reasonable ground for believing that the repayment of such funds or indemnity satisfactory to it against such risk or liability is not assured to it, and none of the provisions contained in this Agreement shall in any event require the Trustee or the Securities Administrator to perform, or be responsible for the manner of performance of, any of the obligations of the Master Servicer under this Agreement, except during such time, if any, as the Trustee shall be the successor to, and be vested with the rights, duties, powers and privileges of, the Master Servicer in accordance with the terms of this Agreement.

SECTION 8.02.  Certain Matters Affecting the Trustee and the Securities Administrator.

Except as otherwise provided in Section 8.01 hereof:

(i)

the Trustee and the Securities Administrator may request and conclusively rely upon, and shall be fully protected in acting or refraining from acting upon, any resolution, Officers’ Certificate, certificate of auditors or any other certificate, statement, instrument, opinion, report, notice, request, consent, order, appraisal, bond or other paper or document reasonably believed by it to be genuine and to have been signed or presented by the proper party or parties, and the manner of obtaining consents and of evidencing the authorization of the execution thereof by Certificateholders shall be subject to such reasonable regulations as the Trustee and the Securities Administrator may prescribe;

(ii)

the Trustee and the Securities Administrator may consult with counsel and any advice of its counsel or any Opinion of Counsel shall be full and complete authorization and protection in respect of any action taken or suffered or omitted by it hereunder in good faith and in accordance with such advice or Opinion of Counsel;

(iii)

neither the Trustee nor the Securities Administrator shall be under any obligation to exercise any of the rights or powers vested in it by this Agreement, or to institute, conduct or defend any litigation hereunder or in relation hereto, at the request, order or direction of any of the Certificateholders, pursuant to the provisions of this Agreement, unless such Certificateholders shall have offered to the Trustee or the Securities Administrator, respectively, reasonable security or indemnity satisfactory to it against the costs, expenses and liabilities which may be incurred therein or thereby; the right of the Trustee to perform any discretionary act enumerated in this Agreement shall not be construed as a duty, and the Trustee shall not be answerable for other than its negligence or willful misconduct in the performance of any such act;

(iv)

neither the Trustee nor the Securities Administrator shall be personally liable for any action taken, suffered or omitted by it in good faith and believed by it to be authorized or within the discretion or rights or powers conferred upon it by this Agreement;

(v)

neither the Securities Administrator nor, prior to the occurrence of an Event of Default and after the curing or waiver of all Events of Default which may have occurred, the Trustee shall be bound to make any investigation into the facts or matters stated in any resolution, certificate, statement, instrument, opinion, report, notice, request, consent, order, approval, bond or other paper or documents, unless requested in writing to do so by the Majority Certificateholder; provided, however, that if the payment within a reasonable time to the Trustee or the Securities Administrator of the costs, expenses or liabilities likely to be incurred by it in the making of such investigation is, in the opinion of the Trustee or the Securities Administrator, as applicable, not reasonably assured to the Trustee or the Securities Administrator by the security afforded to it by the terms of this Agreement, the Trustee or the Securities Administrator, as applicable, may require reasonable indemnity against such cost, expense or liability as a condition to such proceeding.  If the Master Servicer fails to reimburse the Trustee or the Securities Administrator in respect of the reasonable expense of every such examination relating to the Master Servicer, the Trustee or the Securities Administrator shall be reimbursed by the Trust Fund;

(vi)

the Trustee shall not be accountable, shall have no liability and makes no representation as to any acts or omissions hereunder of the Master Servicer until such time as the Trustee may be required to act as the Master Servicer pursuant to Section 7.02 hereof and thereupon only for the acts or omissions of the Trustee as a successor Master Servicer;

(vii)

the Trustee and the Securities Administrator may execute any of the trusts or powers hereunder or perform any duties hereunder either directly or by or through agents, nominees, attorneys or a custodian, and shall not be responsible for any willful misconduct or negligence on the part of any agent, nominee, attorney or custodian appointed by the Trustee or the Securities Administrator in good faith; and

(viii)

the right of the Trustee or the Securities Administrator to perform any discretionary act enumerated in this Agreement shall not be construed as a duty, and neither the Trustee nor the Securities Administrator shall be answerable for other than its negligence or willful misconduct in the performance of such act.

In order to comply with its duties under the USA PATRIOT Act, the Trustee shall obtain and verify certain information and documentation from the other parties hereto including but not limited to such parties’ name, address, and other identifying information.

SECTION 8.03.  Trustee and Securities Administrator Not Liable for Certificates or Mortgage Loans.

The recitals contained herein and in the Certificates (other than the authentication and countersignature on the Certificates) shall be taken as the statements of the Seller, and neither the Trustee nor the Securities Administrator assumes any responsibility for the correctness of the same.  Neither the Trustee nor the Securities Administrator makes any representations or warranties as to the validity or sufficiency of this Agreement or of the Certificates (other than the signature and countersignature on the Certificates) or of any Mortgage Loan or related document or of MERS or the MERS System.  Neither the Trustee nor the Securities Administrator shall at any time have any responsibility or liability for or with respect to the legality, validity and enforceability of any Yield Maintenance Agreement, any Mortgage or any Mortgage Loan, or the perfection and priority of any Mortgage or the maintenance of any such perfection and priority, or for or with respect to the sufficiency of the Trust or the ability to generate the payments to be distributed to Certificateholders under this Agreement, including, without limitation:  the existence, condition and ownership of any Mortgaged Property; the existence and enforceability of any hazard insurance thereon (other than if the Trustee shall assume the duties of the Master Servicer pursuant to Section 7.02 hereof); the validity of the assignment of any Mortgage Loan to the Trustee or of any intervening assignment; the completeness of any Mortgage Loan; the performance or enforcement of any Mortgage Loan (other than if the Trustee shall assume the duties of the Master Servicer pursuant to Section 7.02 hereof); the compliance by the Depositor or the Seller with any warranty or representation made under this Agreement or in any related document or the accuracy of any such warranty or representation prior to the Trustee’s receipt of notice or other discovery of any non-compliance therewith or any breach thereof; the acts or omissions of the Master Servicer (other than if the Trustee shall assume the duties of the Master Servicer pursuant to Section 7.02 hereof, and then only for the acts or omissions of the Trustee as the successor Master Servicer), any Servicer or any Mortgagor; any action of the Master Servicer (other than if the Trustee shall assume the duties of the Master Servicer pursuant to Section 7.02 hereof), or any Servicer taken in the name of the Trustee; the failure of the Master Servicer or any Servicer to act or perform any duties required of it as agent of the Trustee hereunder; or any action by the Trustee taken at the instruction of the Master Servicer (other than if the Trustee shall assume the duties of the Master Servicer pursuant to Section 7.02 hereof, and then only for the actions of the Trustee as the successor Master Servicer); provided, however, that the foregoing shall not relieve the Trustee of its obligation to perform its duties under this Agreement, including, without limitation, the Trustee’s duty to review the Mortgage Files, if so required pursuant to Section 2.01 of this Agreement.

SECTION 8.04.  Trustee, Custodian, Master Servicer and Securities Administrator May Own Certificates.

The Trustee, the Custodian, the Master Servicer and the Securities Administrator in their respective individual capacities, or in any capacity other than as Trustee, Custodian, Master Servicer or Securities Administrator hereunder, may become the owner or pledgee of any Certificates with the same rights as they would have if they were not Trustee, Custodian, Master Servicer or Securities Administrator, as applicable, and may otherwise deal with the parties hereto.

SECTION 8.05.  Trustee’s and Securities Administrator’s Fees and Expenses.

The Trustee (including in its capacity as a Custodian hereunder) and the Securities Administrator shall each be compensated by the Master Servicer for its services hereunder from a portion of the Master Servicing Fee.  In addition, the Trustee and the Securities Administrator will be entitled to recover from the Distribution Account pursuant to Section 4.03(a) all reasonable out-of-pocket expenses, disbursements and advances, including without limitation, in connection with any filing that the Trustee is required to make under Section 3.20 hereof, any Event of Default, any breach of this Agreement or any claim or legal action (including any pending or threatened claim or legal action) incurred or made by the Trustee or the Securities Administrator, respectively, in the performance of its duties or the administration of the trusts hereunder (including, but not limited to, the performance of its duties under Section 2.03 hereof) or under the Yield Maintenance Agreement (including the reasonable compensation, expenses and disbursements of its counsel) except any such expense, disbursement or advance as may arise from its negligence or intentional misconduct or which is specifically designated herein as the responsibility of the Depositor, the Seller, the Master Servicer or the Certificateholders hereunder.  If funds in the Distribution Account are insufficient therefor, the Trustee and the Securities Administrator shall recover such expenses from future collections on the Mortgage Loans or as otherwise agreed by the Certificateholders.  Such compensation and reimbursement obligation shall not be limited by any provision of law in regard to the compensation of a trustee of an express trust.  

SECTION 8.06.  Eligibility Requirements for Trustee and Securities Administrator.

The Trustee and the Securities Administrator hereunder shall each at all times be an entity duly organized and validly existing under the laws of the United States of America or any state thereof, authorized under such laws to exercise corporate trust powers, and shall each have a combined capital and surplus of at least $50,000,000, a minimum long-term debt rating in the third highest rating category by the Rating Agency, a minimum short-term debt rating in the second highest rating category by the Rating Agency, and shall each be subject to supervision or examination by federal or state authority.  If such entity publishes reports of condition at least annually, pursuant to law or to the requirements of the aforesaid supervising or examining authority, then for the purposes of this Section 8.06, the combined capital and surplus of such entity shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so published.  The principal office of the Trustee (other than the initial Trustee) shall be in a state with respect to which an Opinion of Counsel has been delivered to such Trustee at the time such Trustee is appointed Trustee to the effect that the Trust will not be a taxable entity under the laws of such state.  In case at any time the Trustee or the Securities Administrator shall cease to be eligible in accordance with the provisions of this Section 8.06, the Trustee or the Securities Administrator, as applicable, shall resign immediately in the manner and with the effect specified in Section 8.07 hereof.

SECTION 8.07.  Resignation or Removal of Trustee and Securities Administrator.

Each of the Trustee and Securities Administrator (including the Securities Administrator as Paying Agent and as Certificate Registrar) may at any time resign and be discharged from the trust hereby created by giving written notice thereof to the Trustee or the Securities Administrator, as applicable, the Depositor, the Seller, the Master Servicer and the Rating Agency.  Upon receiving such notice of resignation of the Trustee, the Depositor shall promptly appoint a successor Trustee that meets the requirements in Section 8.06 or, in the case of notice of resignation of the Securities Administrator, the Trustee (in consultation with the Depositor) shall promptly appoint a successor Securities Administrator that meets the requirements in Section 8.06, in each case, by written instrument, in duplicate, one copy of which instrument shall be delivered to each of the resigning Trustee or Securities Administrator, as applicable, and one copy to the successor Trustee or successor Securities Administrator, as applicable.  If no successor Trustee or successor Securities Administrator, as applicable, shall have been so appointed and having accepted appointment within 30 days after the giving of such notice of resignation, the resigning Trustee or Securities Administrator may petition any court of competent jurisdiction for the appointment of a successor Trustee or Securities Administrator, as applicable.

If at any time the Trustee or the Securities Administrator shall cease to be eligible in accordance with the provisions of Section 8.06 hereof or if at any time the Trustee or the Securities Administrator shall be legally unable to act, or shall be adjudged a bankrupt or insolvent, or a receiver of the Trustee or the Securities Administrator, as applicable, or of its property shall be appointed, or any public officer shall take charge or control of the Trustee or the Securities Administrator, as applicable, or of its property or affairs for the purpose of rehabilitation, conservation or liquidation, then the Depositor may remove the Trustee or the Trustee may remove the Securities Administrator, as applicable. If the Depositor or the Trustee removes the Trustee or the Securities Administrator, respectively under the authority of the immediately preceding sentence, the Depositor or the Trustee shall promptly appoint a successor Trustee or successor Securities Administrator, as applicable, that meets the requirements of Section 8.06, by written instrument, in triplicate, one copy of which instrument shall be delivered to the Trustee or the Securities Administrator, as applicable, so removed, one copy to the successor Trustee or successor Securities Administrator, as applicable, and one copy to the Master Servicer.

The Majority Certificateholders may at any time remove the Trustee or the Securities Administrator by written instrument or instruments delivered to the Depositor and the Trustee; the Depositor or the Trustee shall thereupon use its best efforts to appoint a successor Trustee or successor Securities Administrator, as applicable, in accordance with this Section.

Any resignation or removal of the Trustee or the Securities Administrator and appointment of a successor Trustee or a successor Securities Administrator, pursuant to any of the provisions of this Section 8.07 shall not become effective until acceptance of appointment by the successor Trustee or successor Securities Administrator, as applicable, as provided in Section 8.08 hereof.

Notwithstanding anything to the contrary contained herein, in the event that the Master Servicer resigns or is removed as Master Servicer hereunder, the Securities Administrator shall have the right to resign immediately as Securities Administrator by giving written notice to the Depositor and the Trustee, with a copy to the Rating Agency.

SECTION 8.08.  Successor Trustee and Successor Securities Administrator.

Any successor Trustee or successor Securities Administrator appointed as provided in Section 8.07 hereof shall execute, acknowledge and deliver to the Depositor, the Seller and the Master Servicer and to its predecessor Trustee or predecessor Securities Administrator, as applicable, an instrument accepting such appointment hereunder, and thereupon the resignation or removal of the predecessor Trustee or predecessor Securities Administrator, as applicable, shall become effective, and such successor Trustee or successor Securities Administrator, without any further act, deed or conveyance, shall become fully vested with all the rights, powers, duties and obligations of its predecessor hereunder, with like effect as if originally named as Trustee or Securities Administrator.  The Depositor, the Seller, the Master Servicer and the predecessor Trustee or predecessor Securities Administrator, as applicable, shall execute and deliver such instruments and do such other things as may reasonably be required for fully and certainly vesting and confirming in the successor Trustee or successor Securities Administrator, as applicable, all such rights, powers, duties and obligations.

No successor Trustee or successor Securities Administrator shall accept appointment as provided in this Section 8.08 unless at the time of such acceptance such successor Trustee or successor Securities Administrator shall be eligible under the provisions of Section 8.06 hereof and the appointment of such successor Trustee or successor Securities Administrator shall not result in a downgrading of the Senior Certificates by the Rating Agency, as evidenced by a letter from the Rating Agency.

Upon acceptance of appointment by a successor Trustee or successor Securities Administrator, as applicable, as provided in this Section 8.08, the successor Trustee or successor Securities Administrator shall mail notice of such appointment hereunder to all Holders of Certificates at their addresses as shown in the Certificate Register and to the Rating Agency.

SECTION 8.09.  Merger or Consolidation of Trustee or Securities Administrator.

Any entity into which the Trustee or the Securities Administrator may be merged or converted or with which it may be consolidated, or any entity resulting from any merger, conversion or consolidation to which the Trustee or the Securities Administrator shall be a party, or any entity succeeding to the business of the Trustee or the Securities Administrator, shall be the successor of the Trustee or the Securities Administrator, as applicable, hereunder, provided such entity shall be eligible under the provisions of Section 8.06 and 8.08 hereof, without the execution or filing of any paper or any further act on the part of any of the parties hereto, anything herein to the contrary notwithstanding.

SECTION 8.10.  Appointment of Co-Trustee or Separate Trustee.

Notwithstanding any other provisions of this Agreement, at any time, for the purpose of meeting any legal requirements of any jurisdiction in which any part of the Trust or any Mortgaged Property may at the time be located, the Depositor and the Trustee acting jointly shall have the power, and the Trustee shall, and shall instruct the Depositor to, at the expense of the Trust Fund, execute and deliver all instruments to appoint one or more Persons approved by the Trustee to act as co-trustee or co-trustees, jointly with the Trustee, or separate trustee or separate trustees, of all or any part of the Trust, and to vest in such Person or Persons, in such capacity and for the benefit of the Certificateholders, such title to the Trust, or any part thereof, and, subject to the other provisions of this Section 8.10, such powers, duties, obligations, rights and trusts as the Depositor and the Trustee may consider necessary or desirable.  No co-trustee or separate trustee hereunder shall be required to meet the terms of eligibility as a successor Trustee under Section 8.06 hereof, and no notice to Certificateholders of the appointment of any co-trustee or separate trustee shall be required under Section 8.08 hereof.

Every separate trustee and co-trustee shall, to the extent permitted by law, be appointed and act subject to the following provisions and conditions:

(i)

all rights, powers, duties and obligations conferred or imposed upon the Trustee shall be conferred or imposed upon and exercised or performed by the Trustee and such separate trustee or co-trustee jointly (it being understood that such separate trustee or co-trustee is not authorized to act separately without the Trustee joining in such act), except to the extent that under any law of any jurisdiction in which any particular act or acts are to be performed (whether as Trustee hereunder or as successor to the Master Servicer hereunder), the Trustee shall be incompetent or unqualified to perform such act or acts, in which event such rights, powers, duties and obligations (including the holding of title to the Trust or any portion thereof in any such jurisdiction) shall be exercised and performed singly by such separate trustee or co-trustee, but solely at the direction of the Trustee;

(ii)

no trustee hereunder shall be held personally liable by reason of any act or omission of any other trustee hereunder; and

(iii)

the Depositor and the Trustee, acting jointly may at any time accept the resignation of or remove any separate trustee or co-trustee.

Any notice, request or other writing given to the Trustee shall be deemed to have been given to each of the then separate trustees and co-trustees, as effectively as if given to each of them.  Every instrument appointing any separate trustee or co-trustee shall refer to this Agreement and the conditions of this Article VIII.  Each separate trustee and co-trustee, upon its acceptance of the trusts conferred, shall be vested with the estates or property specified in its instrument of appointment, either jointly with the Trustee or separately, as may be provided therein, subject to all the provisions of this Agreement, specifically including every provision of this Agreement relating to the conduct of, affecting the liability of, or affording protection to, the Trustee.  Every such instrument shall be filed with the Trustee and a copy thereof given to the Depositor.

Any separate trustee or co-trustee may, at any time, constitute the Trustee, its agent or attorney-in-fact, with full power and authority, to the extent not prohibited by law, to do any lawful act under or in respect of this Agreement on its behalf and in its name.  If any separate trustee or co-trustee shall die, become incapable of acting, resign or be removed, all of its estates, properties, rights, remedies and trusts shall vest in and be exercised by the Trustee, to the extent permitted by law, without the appointment of a new or successor Trustee.

SECTION 8.11.  Limitation of Liability.

The Certificates are executed by the Trustee, not in its individual capacity but solely as Trustee of the Trust, in the exercise of the powers and authority conferred and vested in it by this Agreement.  Each of the undertakings and agreements made on the part of the Trustee in the Certificates is made and intended not as a personal undertaking or agreement by the Trustee but is made and intended for the purpose of binding only the Trust.

SECTION 8.12.  Trustee May Enforce Claims Without Possession of Certificates.

(a)

All rights of action and claims under this Agreement or the Certificates may be prosecuted and enforced by the Trustee without the possession of any of the Certificates or the production thereof in any proceeding relating thereto, and such proceeding instituted by the Trustee shall be brought in its own name or in its capacity as Trustee for the benefit of all Holders of such Certificates, subject to the provisions of this Agreement.  Any recovery of judgment shall, after provision for the payment of the reasonable compensation, expenses, disbursement and advances of the Trustee, its agents and counsel, be for the ratable benefit or the Certificateholders in respect of which such judgment has been recovered.

(b)

The Trustee shall afford the Seller, the Depositor and each Certificateholder upon reasonable notice during normal business hours at its Corporate Trust Office or other office designated by the Trustee, access to all records maintained by the Trustee in respect of its duties hereunder and access to officers of the Trustee responsible for performing such duties.  Upon request, the Trustee shall furnish the Depositor and any requesting Certificateholder with its most recent audited financial statements.  The Trustee shall cooperate fully with the Seller, the Depositor and such Certificateholder and shall, subject to the first sentence of this Section 8.12(b), make available to the Seller, the Depositor and such Certificateholder for review and copying such books, documents or records as may be requested with respect to the Trustee’s duties hereunder.  The Seller, the Depositor and the Certificateholders shall not have any responsibility or liability for any action or failure to act by the Trustee and are not obligated to supervise the performance of the Trustee under this Agreement or otherwise.

SECTION 8.13.  Suits for Enforcement.

In case an Event of Default or a default by the Depositor hereunder shall occur and be continuing, the Trustee may proceed to protect and enforce its rights and the rights of the Certificateholders under this Agreement, as the case may be, by a suit, action or proceeding in equity or at law or otherwise, whether for the specific performance of any covenant or agreement contained in this Agreement or in aid of the execution of any power granted in this Agreement or for the enforcement of any other legal, equitable or other remedy, as the Trustee, being advised by counsel, and subject to the foregoing, shall deem most effectual to protect and enforce any of the rights of the Trustee and the Certificateholders.

SECTION 8.14.  Waiver of Bond Requirement.

The Trustee shall be relieved of, and each Certificateholder hereby waives, any requirement of any jurisdiction in which the Trust, or any part thereof, may be located that the Trustee post a bond or other surety with any court, agency or body whatsoever.

SECTION 8.15.  Waiver of Inventory, Accounting and Appraisal Requirement.

The Trustee shall be relieved of, and each Certificateholder hereby waives, any requirement of any jurisdiction in which the Trust, or any part thereof, may be located that the Trustee file any inventory, accounting or appraisal of the Trust with any court, agency or body at any time or in any manner whatsoever.

SECTION 8.16.  Appointment of Custodians.

The Trustee may, and at the direction of the Depositor shall, appoint one or more custodians to hold all or a portion of the related Mortgage Files as agent for the Trustee, by entering into a custodial agreement.  The custodian may at any time be terminated and a substitute custodian appointed therefor by the Trustee.  Subject to this Article VIII, the Trustee agrees to comply with the terms of each custodial agreement and to enforce the terms and provisions thereof against the custodian for the benefit of the Certificateholders having an interest in any Mortgage File held by such custodian.  Each custodian shall be a depository institution or trust company subject to supervision by federal or state authority, shall have combined capital and surplus of at least $15,000,000 and shall be qualified to do business in the jurisdiction in which it holds any Mortgage File.  The Master Servicer shall pay from its own funds, without any right to reimbursement, the fees, and any ordinary and routine costs and expenses of each Custodian.  Each Custodian shall also be entitled to the benefits of Section 3.26 hereof.  The initial Custodians of the Mortgage Loans shall be Deutsche Bank National Trust Company and The Bank of New York.

  

ARTICLE IX

REMIC ADMINISTRATION

SECTION 9.01.  REMIC Administration.

(a)

As set forth in the Preliminary Statement to this Agreement, the Trustee shall elect to treat each REMIC created hereby as a REMIC for federal tax purposes.  The Trustee shall sign and the Securities Administrator shall file such elections on Form 1066 or other appropriate federal tax or information return for the taxable year ending on the last day of the calendar year in which the Certificates are issued.  The regular interests in each REMIC created hereunder and the related residual interest shall be as designated in the Preliminary Statement.  Following the Closing Date, the Securities Administrator shall apply to the Internal Revenue Service for an employer identification number for each REMIC created hereunder by means of a Form SS-4 or other acceptable method and shall file a Form 8811 with the Internal Revenue Service.

(b)

The Closing Date is hereby designated as the “Startup Day” of each REMIC created hereunder within the meaning of section 860G(a)(9) of the Code.  The latest possible maturity date for purposes of Treasury Regulation 1.860G-1(a)(4) will be the Latest Possible Maturity Date.

(c)

Except as provided in subsection (d) of this Section 9.01, the Seller shall pay any and all tax related expenses (not including taxes) of each REMIC created hereunder, including but not limited to any professional fees or expenses related to audits or any administrative or judicial proceedings with respect to any such REMIC that involve the Internal Revenue Service or state tax authorities, but only to the extent that (i) such expenses are ordinary or routine expenses, including expenses of a routine audit but not expenses of litigation (except as described in (ii)); or (ii) such expenses or liabilities (including taxes and penalties) are attributable to the negligence or willful misconduct of the Trustee or the Securities Administrator in fulfilling its respective duties hereunder (including the Securities Administrator’s duties as tax return preparer).

(d)

The Securities Administrator shall prepare and file, and the Trustee shall sign all of the federal and state tax and information returns of each REMIC created hereunder (collectively, the “Tax Returns”) as the direct representative.  The expenses of preparing and filing such Tax Returns shall be borne by the Securities Administrator.  Notwithstanding the foregoing, the Securities Administrator shall have no obligation to prepare, file or otherwise deal with partnership tax information or returns.  In the event that partnership tax information or returns are required by the Internal Revenue Service, the Seller, at its own cost and expense, will prepare and file all necessary returns.    

(e)

The Securities Administrator shall perform on behalf of each REMIC created hereunder all reporting and other tax compliance duties that are the responsibility of each such REMIC under the Code, the REMIC Provisions or other compliance guidance issued by the Internal Revenue Service or any state or local taxing authority.  Among its other duties, if required by the Code, the REMIC Provisions or other such guidance, the Securities Administrator, shall provide (i) to the Treasury or other governmental authority such information as is necessary for the application of any tax relating to the transfer of a Residual Certificate to any disqualified organization and (ii) to the Certificateholders such information or reports as are required by the Code or REMIC Provisions.

(f)

Each of the Master Servicer, the Trustee and the Securities Administrator (to the extent that the affairs of the REMICs are within such Person’s control and the scope of its specific responsibilities under the Agreement) and the Holders of Certificates shall take any action or cause any REMIC created hereunder to take any action necessary to create or maintain the status of any REMIC created hereunder as a REMIC under the REMIC Provisions and shall assist each other as necessary to create or maintain such status.  None of the Trustee, the Master Servicer, the Securities Administrator or the Holder a Residual Certificate shall take any action, cause any REMIC created hereunder to take any action or fail to take (or fail to cause to be taken) any action that, under the REMIC Provisions, if taken or not taken, as the case may be, could result in an Adverse REMIC Event unless the Trustee and the Securities Administrator have received an Opinion of Counsel (at the expense of the party seeking to take such action) to the effect that the contemplated action will not result in an Adverse REMIC Event.  In addition, prior to taking any action with respect to any REMIC created hereunder or the assets therein, or causing any such REMIC to take any action which is not expressly permitted under the terms of this Agreement, any Holder of a Residual Certificate will consult with the Trustee, the Master Servicer, the Securities Administrator or their designees, in writing, with respect to whether such action could cause an Adverse REMIC Event to occur with respect to any such REMIC, and no such Person shall take any such action or cause any REMIC created hereunder to take any such action as to which the Trustee or the Securities Administrator has advised it in writing that an Adverse REMIC Event could occur.

(g)

Each Holder of a Residual Certificate shall pay when due any and all taxes imposed on any REMIC created hereunder by federal or state governmental authorities.  To the extent that such Trust taxes are not paid by a Residual Certificateholder, the Paying Agent shall pay any remaining REMIC taxes out of current or future amounts otherwise distributable to the Holder of a Residual Certificate or, if no such amounts are available, out of other amounts held in the Distribution Account, and shall reduce amounts otherwise payable to holders of regular interests in such REMIC, as the case may be.

(h)

The Securities Administrator shall, for federal income tax purposes, maintain books and records with respect to each REMIC created hereunder on a calendar year and on an accrual basis.

(i)

No additional contributions of assets shall be made to any REMIC created hereunder, except as expressly provided in this Agreement with respect to eligible substitute mortgage loans.

(j)

None of the Trustee, the Master Servicer or the Securities Administrator shall enter into any arrangement by which REMIC created hereunder will receive a fee or other compensation for services.

(k)

The Securities Administrator shall treat each of the Group 1 Basis Risk Reserve Fund, Group 2 Basis Risk Reserve Fund and the Yield Maintenance Account as outside reserve funds within the meaning of Treasury Regulation Section 1.860G-2(h) owned by the holders of the Class 1-X Certificates, in the case of the Group 1 Basis Risk Reserve Fund, and the Class 2-X Certificates, in the case of the Group 2 Basis Risk Reserve Fund and the Yield Maintenance Account, and not as assets of any REMIC.  The Securities Administrator shall treat the rights of the Holders of the COFI and LIBOR Certificates to receive distributions to cover Basis Risk Shortfalls as payments under a cap contract written by the Holders of the Class 1-X and Class 2-X Certificates, respectively, in favor of the Holders of the COFI and LIBOR Certificates, respectively.  Thus, the COFI and LIBOR Certificates shall be treated as representing not only ownership of regular interests in a REMIC, but also ownership of an interest in an interest rate cap contract and the entitlements to receive payments from the Group 1 or Group 2 Basis Risk Reserve Fund, as applicable.  On any Distribution Date, if the amount added to the Class Certificate Principal Balance  on any Distribution Date in respect of the Class 1-PO or 2-PO Certificates exceeds the amount accrued as described in footnote (4) in the Preliminary Statement under the caption “The Certificates,” when such excess is paid, it shall be treated as having been distributed in respect of the Class 1-PO or Class 2-PO Certificates, as applicable, deposited in the Group 1 or Group 2 Basis Risk Reserve Fund, respectively, and distributed from the Group 1 or Group 2 Basis Risk Reserve Fund in respect of those Certificates.  For purposes of determining the issue prices of the Certificates, the interest rate cap contracts shall be assumed to have a zero value unless and until required otherwise by an applicable taxing authority.

SECTION 9.02.  Prohibited Transactions and Activities.

None of the Depositor, the Master Servicer or the Trustee shall sell, dispose of, or substitute for any of the Mortgage Loans, except in a disposition pursuant to (i) the foreclosure of a Mortgage Loan, (ii) the bankruptcy of the Trust Fund, (iii) the termination of the REMICs created hereunder pursuant to Article X of this Agreement, (iv) a substitution pursuant to Article II hereof or (v) a repurchase of Mortgage Loans as contemplated hereunder, nor acquire any assets for any REMIC created hereunder, nor sell or dispose of any investments in the Distribution Account for gain, nor accept any contributions to any REMIC created hereunder after the Closing Date, unless it has received an Opinion of Counsel (at the expense of the party causing such sale, disposition, or substitution) that such disposition, acquisition, substitution, or acceptance will not (a) affect adversely the status of any REMIC created hereunder as a REMIC or of the interests therein other than a Residual Certificate as the “residual interest” therein, (b) affect the distribution of interest or principal on the Certificates, (c) result in the encumbrance of the assets transferred or assigned to the Trust Fund (except pursuant to the provisions of this Agreement) or (d) cause any REMIC created hereunder to be subject to a tax on prohibited transactions or prohibited contributions pursuant to the REMIC Provisions.

ARTICLE X

TERMINATION

SECTION 10.01.  Termination.

(a)

The respective obligations and responsibilities of the Seller, the Depositor, the Master Servicer, the Securities Administrator and the Trustee created hereby (other than the obligation of the Securities Administrator, as Paying Agent to make certain payments to Certificateholders after the final Distribution Date and the obligation of the Call Option Holder to send certain notices as hereinafter set forth) shall terminate upon the earliest of (i) the Distribution Date on which the Class Certificate Principal Balance of each Class of Certificates has been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan, (iii) the optional purchase by the Call Option Holder of the Mortgage Loans as described below and (iv) the Latest Possible Maturity Date.  Notwithstanding the foregoing, in no event shall the trust created hereby continue beyond the expiration of 21 years from the death of the last survivor of the descendants of Joseph P. Kennedy, the late ambassador of the United States to the Court of St. James’s, living on the date hereof.

Following the date on which the aggregate of the Stated Principal Balances of the Mortgage Loans (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) on such date is equal to or less than 10% of the Cut-Off Date Aggregate Principal Balance (the “Call Option Date”), the Call Option Holder may, at its option, terminate this Agreement by purchasing, on the next succeeding Distribution Date, all of the outstanding Mortgage Loans and REO Properties at a price equal to (A) the greater of (i) the Stated Principal Balance of the Mortgage Loans (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period) and the appraised value of the REO Properties and (ii) the fair market value of the Mortgage Loans and REO Properties (as determined and as agreed upon by (x) the Call Option Holder and (y) the Holders of a majority in Percentage Interest of the Class A-R-II Certificates in their good faith business judgment as of the close of business on the third Business Day next preceding the date upon which notice of any such termination is furnished to the related Certificateholders pursuant to Section 10.01(b)), plus, (B) in each case, accrued and unpaid interest thereon at the weighted average of the Mortgage Rates through the end of the Due Period preceding the final Distribution Date, plus any unreimbursed Servicing Advances and Advances and any unpaid Master Servicing Fees and Servicing Fees allocable to such Mortgage Loans and REO Properties and all amounts, if any, then due and owing to the Trustee, the Master Servicer and the Securities Administrator under this Agreement (the “Termination Price”); provided, however, such option may only be exercised if the Termination Price is sufficient to result in the payment of all interest accrued on, as well as amounts necessary to retire the Class Certificate Principal Balance of, each Class of Certificates issued pursuant to this Agreement.  The fair market value of the Mortgage Loans and REO Properties shall be required to be made and agreed upon by the Call Option Holder, and the Holders of a majority in Percentage Interest of the Class A-R-II Certificates as provided in (ii) above in their good faith business judgment, and such determination shall take into consideration an appraisal of the value of the Mortgage Loans and REO Properties conducted by an independent appraiser mutually agreed upon by the Call Option Holder, and the Holders of a majority in Percentage Interest of the Class A-R-II Certificates in their reasonable discretion, such appraisal to be obtained by the Holders of a majority in Percentage Interest of the Class A-R-II Certificates at their expense, and (A) such appraisal shall be obtained at no expense to the Trustee and (B) the Trustee may conclusively rely on, and shall be protected in relying on, such fair market value determination.

In connection with any such purchase pursuant to the preceding paragraph, the Call Option Holder shall deposit in the Distribution Account all amounts then on deposit in the Collection Account, which deposit shall be deemed to have occurred immediately preceding such purchase.

Notwithstanding anything provided herein to the contrary, upon the exercise of the Call Option Holder of its Call Option, the Servicing Rights Owner shall retain any and all related Servicing Rights with respect to the SRO Mortgage Loans.

(b)

Notice of any termination pursuant to the second paragraph of Section 10.01(a), specifying the Distribution Date (which shall be a date that would otherwise be a Distribution Date) upon which the Certificateholders may surrender their Certificates to the Certificate Registrar for payment of the final distribution and cancellation, shall be given promptly by the Trustee upon the Trustee receiving notice of such date from the Master Servicer by letter to the Certificateholders mailed not earlier than the 10th day and not later than the 19th day of the month immediately preceding the month of such final distribution specifying (1) the Distribution Date upon which final distribution of the Certificates will be made upon presentation and surrender of such Certificates at the office or agency of the Certificate Registrar therein designated, (2) the amount of any such final distribution and (3) that the Record Date otherwise applicable to such Distribution Date is not applicable, distributions being made only upon presentation and surrender of the Certificates at the office or agency of the Certificate Registrar therein specified.  The Trustee shall give such notice to the Securities Administrator, the Master Servicer and the Certificate Registrar at the time such notice is given to Holders of the Certificates.  Upon any such termination, the duties of the Certificate Registrar with respect to the Certificates shall terminate and the Trustee shall terminate or request the Master Servicer to terminate, the Distribution Account and any other account or fund maintained with respect to the Certificates, subject to the Trustee’s obligation hereunder to hold all amounts payable to Certificateholders in trust without interest pending such payment.

(c)

Upon presentation and surrender of the Certificates, the Securities Administrator, as Paying Agent shall cause to be distributed to the Holders of the Certificates on the Distribution Date for such final distribution, in proportion to the Percentage Interests of their respective Class and to the extent that funds are available for such purpose, an amount equal to the amount required to be distributed to such Holders in accordance with the provisions of Section 5.01 hereof for such Distribution Date.

(d)

In the event that all Certificateholders shall not surrender their Certificates for final payment and cancellation on or before such final Distribution Date, the Trustee shall promptly following such date cause all funds in the Distribution Account not distributed in final distribution to Certificateholders to be withdrawn therefrom and credited to the remaining Certificateholders by depositing such funds in a separate account for the benefit of such Certificateholders, and the Trustee shall give a second written notice to the remaining Certificateholders to surrender their Certificates for cancellation and receive the final distribution with respect thereto.  If within nine months after the second notice all the Certificates shall not have been surrendered for cancellation, the Master Servicer shall be entitled to all unclaimed funds and other assets which remain subject hereto, and the Trustee upon transfer of such funds shall be discharged of any responsibility for such funds, and the Certificateholders shall look to the Master Servicer for payment.

SECTION 10.02.  Additional Termination Requirements.

(a)

In the event the purchase option provided in Section 10.01 is exercised, the Trust shall be terminated in accordance with the following additional requirements:

(i)

The Trustee shall sell any remaining assets of the Trust Fund for cash and, within 89 days of such sale, the Securities Administrator shall distribute to (or credit to the account of) the Certificateholders the proceeds of such sale together with any cash on hand (less amounts retained to meet claims) in complete liquidation of the Trust Fund and any REMIC created hereunder; and

(ii)

The Securities Administrator shall attach a statement to the final federal income tax return for each REMIC created hereunder stating that pursuant to Treasury Regulation §1.860F-1, the first day of the 90-day liquidation period for such REMIC was the date on which the Trustee sold the assets of the Trust Fund and shall satisfy all requirements of a qualified liquidation under Section 860F of the Code and any regulations thereunder as evidenced by an Opinion of Counsel delivered to the Trustee obtained at the expense of the Seller.

(b)

By their acceptance of Certificates, the Holders thereof hereby agree to appoint the Trustee and the Securities Administrator as their attorneys in fact to undertake the foregoing steps.

ARTICLE XI

[RESERVED]

ARTICLE XII

MISCELLANEOUS PROVISIONS

SECTION 12.01.  Amendment.

This Agreement may be amended from time to time by the Seller, the Depositor, the Master Servicer, the Securities Administrator and the Trustee, without the consent of the Certificateholders, (i) to cure any ambiguity, (ii) to correct or supplement any provisions herein which may be defective or inconsistent with any other provisions herein, (iii) to make any other provisions with respect to matters or questions arising under this Agreement, which shall not be inconsistent with the provisions of this Agreement, or (iv) to conform the terms hereof to the description thereof provided in the Prospectus; provided, however, that any such action listed in clause (i) through (iii) above shall be deemed not to adversely affect in any material respect the interests of any Certificateholder, if evidenced by (i) written notice to the Depositor, the Seller, the Master Servicer, The Securities Administrator and the Trustee from the Rating Agency that such action will not result in the reduction or withdrawal of the rating of any outstanding Class of Certificates with respect to which it is a Rating Agency or (ii) an Opinion of Counsel stating that such amendment shall not adversely affect in any material respect the interests of any Certificateholder, is permitted by the Agreement and all the conditions precedent, if any have been complied with, delivered to the Master Servicer and the Trustee.

In addition, this Agreement may be amended from time to time by Seller, the Depositor, the Master Servicer, the Securities Administrator and the Trustee with the consent of the Majority Certificateholders for the purpose of adding any provisions to or changing in any manner or eliminating any of the provisions of this Agreement or of modifying in any manner the rights of the Holders of Certificates; and subject, in the case of any amendment or modification to Section 5.01(a)(i) hereof, to the consent of the Bank of New York, as a Custodian; provided, however, that no such amendment or waiver shall (x) reduce in any manner the amount of, or delay the timing of, payments on the Certificates that are required to be made on any Certificate without the consent of the Holder of such Certificate, (y) adversely affect in any material respect the interests of the Holders of any Class of Certificates in a manner other than as described in clause (x) above, without the consent of the Holders of Certificates of such Class evidencing at least a 662/3% Percentage Interest in such Class, or (z) reduce the percentage of Voting Rights required by clause (y) above without the consent of the Holders of all Certificates of such Class then outstanding.  Upon approval of an amendment, a copy of such amendment shall be sent to the Rating Agency.

Notwithstanding any provision of this Agreement to the contrary, the Trustee shall not consent to any amendment to this Agreement unless it shall have first received an Opinion of Counsel, delivered by and at the expense of the Person seeking such Amendment (unless such Person is the Trustee, in which case the Trustee shall be entitled to be reimbursed for such expenses by the Trust pursuant to Section 8.05 hereof), to the effect that such amendment will not result in an Adverse REMIC Event and that the amendment is being made in accordance with the terms hereof, such amendment is permitted by this Agreement and all conditions precedent, if any, have been complied with.

Promptly after the execution of any such amendment the Trustee shall furnish, at the expense of the Person that requested the amendment if such Person is the Seller (but in no event at the expense of the Trustee), otherwise at the expense of the Trust, a copy of such amendment and the Opinion of Counsel referred to in the immediately preceding paragraph to the Master Servicer and the Rating Agency.

It shall not be necessary for the consent of Certificateholders under this Section 12.01 to approve the particular form of any proposed amendment; instead it shall be sufficient if such consent shall approve the substance thereof.  The manner of obtaining such consents and of evidencing the authorization of the execution thereof by Certificateholders shall be subject to such reasonable regulations as the Trustee may prescribe.

The Trustee may, but shall not be obligated to, enter into any amendment pursuant to this 12.01 Section that affects its rights, duties and immunities under this Agreement or otherwise.

SECTION 12.02.  Recordation of Agreement; Counterparts.

To the extent permitted by applicable law, this Agreement is subject to recordation in all appropriate public offices for real property records in all the counties or other comparable jurisdictions in which any or all of the Mortgaged Properties are situated, and in any other appropriate public recording office or elsewhere, such recordation to be effected by the Trustee at the expense of the Trust, but only upon direction of Certificateholders accompanied by an Opinion of Counsel to the effect that such recordation materially and beneficially affects the interests of the Certificateholders.

For the purpose of facilitating the recordation of this Agreement as herein provided and for other purposes, this Agreement may be executed simultaneously in any number of counterparts, each of which counterparts shall be deemed to be an original, and such counterparts shall together constitute but one and the same instrument.

SECTION 12.03.  Limitation on Rights of Certificateholders.

The death or incapacity of any Certificateholder shall not (i) operate to terminate this Agreement or the Trust, (ii) entitle such Certificateholder’s legal representatives or heirs to claim an accounting or to take any action or proceeding in any court for a partition or winding up of the Trust or (iii) otherwise affect the rights, obligations and liabilities of the parties hereto or any of them.

Except as expressly provided for herein, no Certificateholder shall have any right to vote or in any manner otherwise control the operation and management of the Trust, or the obligations of the parties hereto, nor shall anything herein set forth or contained in the terms of the Certificates be construed so as to constitute the Certificateholders from time to time as partners or members of an association; nor shall any Certificateholder be under any liability to any third person by reason of any action taken by the parties to this Agreement pursuant to any provision hereof.

No Certificateholder shall have any right by virtue of any provision of this Agreement to institute any suit, action or proceeding in equity or at law upon or under or with respect to this Agreement, unless such Holder previously shall have given to the Trustee a written notice of default and of the continuance thereof, as hereinbefore provided, and unless also the Holders of Certificates entitled to at least 25% of the Voting Rights shall have made written request upon the Trustee to institute such action, suit or proceeding in its own name as Trustee hereunder and shall have offered to the Trustee such reasonable indemnity as it may require against the costs, expenses and liabilities to be incurred therein or thereby, and the Trustee for 15 days after its receipt of such notice, request and offer of indemnity, shall have neglected or refused to institute any such action, suit or proceeding.  It is understood and intended, and expressly covenanted by each Certificateholder with every other Certificateholder, the Securities Administrator and the Trustee, that no one or more Holders of Certificates shall have any right in any manner whatever by virtue of any provision of this Agreement to affect, disturb or prejudice the rights of the Holders of any other of such Certificates, or to obtain or seek to obtain priority over or preference to any other such Holder, which priority or preference is not otherwise provided for herein, or to enforce any right under this Agreement, except in the manner herein provided and for the equal, ratable and common benefit of all Certificateholders.  For the protection and enforcement of the provisions of this Section 12.03, each and every Certificateholder and the Trustee shall be entitled to such relief as can be given either at law or in equity.

SECTION 12.04.  Governing Law; Jurisdiction.

This Agreement shall be construed in accordance with the laws of the State of New York, and the obligations, rights and remedies of the parties hereunder shall be determined in accordance with such laws.  

SECTION 12.05.  Notices.

All directions, demands and notices hereunder shall be in writing and shall be deemed to have been duly given if personally delivered at or mailed by first class mail, postage prepaid, or by express delivery service, to (a) in the case of the Seller, to Greenwich Capital Financial Products, Inc., 600 Steamboat Road, Greenwich, Connecticut 06830, Attention: General Counsel (telecopy number (203) 618-2132), or such other address or telecopy number as may hereafter be furnished to the Depositor, the Master Servicer, the Securities Administrator and the Trustee in writing by the Seller, (b) in the case of the Trustee, to Deutsche Bank National Trust Company, 1761 East St. Andrew Place, Santa Ana, CA 92705-4934, Attention:  GC05H7 (telecopy number (714) 247-6285), with a copy to the Corporate Trust Office or such other address or telecopy number as may hereafter be furnished to the Depositor, the Master Servicer, the Securities Administrator and the Seller in writing by the Trustee, (c) in the case of the Depositor, to Greenwich Capital Acceptance, Inc., 600 Steamboat Road, Greenwich, Connecticut 06830, Attention: Legal (telecopy number (203) 618-2132), or such other address or telecopy number as may be furnished to the Seller, the Master Servicer, the Securities Administrator and the Trustee in writing by the Depositor and (d) in the case of the Master Servicer or the Securities Administrator, to Wells Fargo Bank, N.A., P.O. Box 98, Columbia, Maryland 21046, Attention: Master Servicing – HarborView 2005-7 (telecopy number (410) 715-2380) or, in the case of the Master Servicer or the Securities Administrator via overnight delivery, 9062 Old Annapolis Road, Columbia, Maryland 21045, Attention: Master Servicing – HarborView 2005-7 (telecopy number (410) 715-2380), or such other address or telecopy number as may be furnished to the Depositor, the Seller and the Trustee in writing by the Master Servicer or the Securities Administrator, as applicable.  Any notice required or permitted to be mailed to a Certificateholder shall be given by first class mail, postage prepaid, at the address of such Holder as shown in the Certificate Register.  Notice of any Event of Default shall be given by telecopy and by certified mail.  Any notice so mailed within the time prescribed in this Agreement shall be conclusively presumed to have duly been given when mailed, whether or not the Certificateholder receives such notice.  A copy of any notice required to be telecopied hereunder shall also be mailed to the appropriate party in the manner set forth above.

SECTION 12.06.  Severability of Provisions.

If any one or more of the covenants, agreements, provisions or terms of this Agreement shall for any reason whatsoever be held invalid, then such covenants, agreements, provisions or terms shall be deemed severable from the remaining covenants, agreements, provisions or terms of this Agreement and shall in no way affect the validity or enforceability of the other provisions of this Agreement or of the Certificates or the rights of the Holders thereof.

SECTION 12.07.  Article and Section References.

All article and section references used in this Agreement, unless otherwise provided, are to articles and sections in this Agreement.

SECTION 12.08.  Notice to the Rating Agency.

(a)

The Trustee shall be obligated to use its best reasonable efforts promptly to provide notice to the Rating Agency with respect to each of the following of which a Responsible Officer of the Trustee has actual knowledge:

(i)

any material change or amendment to this Agreement;

(ii)

the occurrence of any Event of Default that has not been cured or waived;

(iii)

the resignation or termination of the Master Servicer or the Trustee;

(iv)

the final payment to Holders of the Certificates of any Class;

(v)

any change in the location of any Account; and

(vi)

if the Trustee is acting as a successor Master Servicer pursuant to Section 7.02 hereof, any event that would result in the inability of the Trustee to make Advances.

(b)

The Securities Administrator shall promptly furnish or make available to the Rating Agency copies of each Distribution Date Statement described in Section 5.04 hereof.

(c)

The Master Servicer shall promptly furnish to the Rating Agency copies of the following:

(i)

each annual statement as to compliance described in Section 3.16 hereof;

(ii)

each annual independent public accountants’ servicing report described in Section 3.17 hereof; and

(iii)

each notice delivered pursuant to Section 5.05 hereof which relates to the fact that the Master Servicer has not made an Advance.

(d)

All notices to the Rating Agencies provided for in this Agreement shall be in writing and sent by first class mail, telecopy or overnight courier, as follows:

If to S&P, to:


Standard & Poor’s Ratings Services,

  

   a Division of The McGraw-Hill Companies, Inc.

55 Water Street

New York, New York 10041

Attention:  Residential Mortgages

If to Moody’s, to:


Moody’s Investors Service, Inc.

99 Church Street

New York, New York 10007

Attention:  Residential Mortgages

SECTION 12.09.  Further Assurances.

Notwithstanding any other provision of this Agreement, neither the Regular Certificateholders nor the Trustee shall have any obligation to consent to any amendment or modification of this Agreement unless they have been provided reasonable security or indemnity against their out-of-pocket expenses (including reasonable attorneys’ fees) to be incurred in connection therewith.

SECTION 12.10.  Benefits of Agreement.

Nothing in this Agreement or in the Certificates, expressed or implied, shall give to any Person, other than the Certificateholders and the parties hereto and their successors hereunder, any benefit or any legal or equitable right, remedy or claim under this Agreement.

SECTION 12.11.  Acts of Certificateholders.

(a)

Any request, demand, authorization, direction, notice, consent, waiver or other action provided by this Agreement to be given or taken by the Certificateholders may be embodied in and evidenced by one or more instruments of substantially similar tenor signed by such Certificateholders in person or by agent duly appointed in writing, and such action shall become effective when such instrument or instruments are delivered to the Trustee and the Securities Administrator and, where expressly required under this Agreement, to the Master Servicer.  Such instrument or instruments (and the action embodied therein and evidenced thereby) are herein sometimes referred to as the “act” of the Certificateholders signing such instrument or instruments.  Proof of execution of any such instrument or of a writing appointing any such agent shall be sufficient for any purpose of this Agreement and conclusive in favor of the Trustee, the Securities Administrator and the Master Servicer if made in the manner provided in this Section 12.11.

(b)

The fact and date of the execution by any Person of any such instrument or writing may be proved by the affidavit of a witness of such execution or by the certificate of a notary public or other officer authorized by law to take acknowledgments of deeds, certifying that the individual signing such instrument or writing acknowledged to him the execution thereof.  Whenever such execution is by a signer acting in a capacity other than his or her individual capacity, such certificate or affidavit shall also constitute sufficient proof of his authority.

(c)

Any request, demand, authorization, direction, notice, consent, waiver or other action by any Certificateholder shall bind every future Holder of such Certificate and the Holder of every Certificate issued upon the registration of transfer thereof or in exchange therefor or in lieu thereof, in respect of anything done, omitted or suffered to be done by the Trustee or the Master Servicer in reliance thereon, whether or not notation of such action is made upon such Certificate.

SECTION 12.12.  Successors and Assigns.

The provisions of this Agreement shall be binding upon and inure to the benefit of the respective successors and assigns of the parties hereto.

SECTION 12.13.  Provision of Information.

For so long as any of the Certificates of any Class are “restricted securities” within the meaning of Rule 144(a)(3) under the 1933 Act, each of the Depositor and the Securities Administrator agree to cooperate with each other to provide to any Certificateholders and to any prospective purchaser of Certificates designated by such holder, upon the request of such holder or prospective purchaser, any information required to be provided to such holder or prospective purchaser to satisfy the condition set forth in Rule 144A(d)(4) under the 1933 Act.  Any reasonable out-of-pocket expenses incurred by the Securities Administrator in providing such information shall be reimbursed by the Depositor.

The Securities Administrator shall provide to any person to whom a Prospectus was delivered by Greenwich Capital Markets, Inc., upon the request of such person specifying the document or documents requested, (i) a copy (excluding exhibits) of any report on Form 8-K or Form 10-K filed with the Securities and Exchange Commission pursuant to Section 3.18 and (ii) a copy of any other document incorporated by reference in the Prospectus.  Any reasonable out-of-pocket expenses incurred by the Securities Administrator in providing copies of such documents shall be reimbursed by the Depositor.

SECTION 12.14.  Tax Treatment of Class P Certificate.

It is the intent of the parties hereto that the segregated pool of assets consisting of any collections in respect of the Class P Distributable Amount payable to the Class P Certificate constitutes, for federal income tax purposes, a grantor trust as described in Subpart E of Part I of Subchapter J of the Code and Treasury Regulation §301.7701-4(c)(2).  The Securities Administrator shall prepare, sign and file, all of the tax returns in respect of such grantor trust.  The expenses of preparing and filing such returns shall be borne by the Securities Administrator without any right of reimbursement therefor.  The Securities Administrator shall comply with each such requirement by filing Form 1041 or other applicable form.


  



[SIGNATURE PAGE IMMEDIATELY FOLLOWS]




IN WITNESS WHEREOF, the Depositor, the Seller, the Master Servicer, the Securities Administrator and the Trustee have caused their names to be signed hereto by their respective officers thereunto duly authorized, all as of the day and year first above written.

GREENWICH CAPITAL ACCEPTANCE, INC.,
as Depositor

By: /s/ Shakti Radhakishun
Name: Shakti Radhakishun

Title: Senior Vice President

GREENWICH CAPITAL FINANCIAL PRODUCTS, INC., as Seller

By: /s/ Shakti Radhakishun
Name: Shakti Radhakishun

Title: Senior Vice President

WELLS FARGO BANK, N.A., as Master Servicer and as Securities Administrator

By: /s/ Graham M. Oglesby
Name: Graham M. Oglesby

Title: Assistant Vice President

DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee and as a Custodian

By: /s/ Nicholas Gisler
Name: Nicholas Gisler

Title: Associate

By: /s/ Ronaldo Reyes
Name: Ronaldo Reyes

Title: Vice President




STATE OF NEW YORK

)

) ss.:

COUNTY OF NASSAU

)

On the 30th day of June 2005, before me, a notary public in and for said State, personally appeared Shakti Radhakishun known to me to be a Senior Vice President of Greenwich Capital Acceptance, Inc., a Delaware corporation that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.

IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.

             /s/ Sara Lee             

Notary Public


STATE OF NEW YORK

)

) ss.:

COUNTY OF NASSAU

)

On the 30th day of June 2005, before me, a notary public in and for said State, personally appeared Shakti Radhakishun known to me to be a Senior Vice President of Greenwich Capital Financial Products, Inc., a Delaware corporation that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.

IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.

             /s/ Sara Lee             

Notary Public


STATE OF MARYLAND

)

) ss.:

COUNTY OF BALTIMORE

)

On the 30th day of June 2005, before me, a notary public in and for said State, personally appeared Graham M. Oglesby known to me to be an Assistant Vice President of Wells Fargo Bank, N.A., a national banking association that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.

IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.

             /s/ Darron C. Woodus             

Notary Public


STATE OF CALIFORNIA

)

) ss.:

COUNTY OF ORANGE

)

On the 30th day of June 2005, before me, a notary public in and for said State, personally appeared Nicholas Gisler known to me to be an Associate of Deutsche Bank National Trust Company, a national banking association that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.

IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.

             /s/ Mei Nghia             

Notary Public


STATE OF CALIFORNIA

)

) ss.:

COUNTY OF ORANGE

)

On the 30th day of June 2005, before me, a notary public in and for said State, personally appeared Ronaldo Reyes known to me to be a Vice President of Deutsche Bank National Trust Company, a national banking association that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.

IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.

             /s/ Mei Nghia             

Notary Public



EXHIBIT A-1

FORM OF CLASS A CERTIFICATE

CLASS [__]-A-[__] CERTIFICATE

UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.

[FOR ALL CLASS A CERTIFICATES OTHER THAN THE CLASS 1-A1 AND CLASS 1-A2:  NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE CERTIFICATE REGISTRAR SHALL HAVE RECEIVED EITHER (A) A REPRESENTATION LETTER TO THE EFFECT THAT SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT PLAN SUBJECT TO SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR A PLAN OR ARRANGEMENT SUBJECT TO SECTION 4975 OF THE CODE (COLLECTIVELY, A “PLAN”) NOR A PERSON ACTING ON BEHALF OF ANY SUCH PLAN OR ARRANGEMENT NOR A PERSON USING THE ASSETS OF ANY SUCH PLAN TO EFFECT THE TRANSFER, OR (B) IF THIS CERTIFICATE HAS BEEN THE OBJECT OF AN ERISA-QUALIFYING UNDERWRITING, A REPRESENTATION THAT THE PURCHASER IS AN INSURANCE COMPANY PURCHASING THIS CERTIFICATE WITH FUNDS CONTAINED IN AN “INSURANCE COMPANY GENERAL ACCOUNT” AS DEFINED IN SECTION V(e) OF PROHIBITED TRANSACTION CLASS EXEMPTION (“PTCE”) 95-60 AND THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE COVERED UNDER SECTIONS I AND III OF PTCE 95-60, OR (C) AN OPINION OF COUNSEL IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.  NOTWITHSTANDING ANYTHING ELSE TO THE CONTRARY HEREIN, ANY PURPORTED TRANSFER OF THIS CERTIFICATE TO OR ON BEHALF OF AN EMPLOYEE BENEFIT PLAN SUBJECT TO ERISA OR TO SECTION 4975 OF THE CODE WITHOUT THE DELIVERY TO THE CERTIFICATE REGISTRAR OF AN OPINION OF COUNSEL SATISFACTORY TO THE CERTIFICATE REGISTRAR AS DESCRIBED ABOVE SHALL BE VOID AND OF NO EFFECT.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT”, AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”).

Certificate No.:

[

]

Cut-Off Date:

June 1, 2005

First Distribution Date:

July 19, 2005

Initial Certificate Principal

Balance of this Certificate

(“Denomination”):

$[

]

Original Class Certificate

Principal Balance of this

Class:

$[

]

Percentage Interest:

[

]%

Pass-Through Rate:

[Variable] [Net WAC]

CUSIP:

[___________]

Class:

[___]-A-[____]

Assumed Final Distribution Date:

June 19, 2045







HarborView Mortgage Loan Trust 2005-7,

Mortgage Loan Pass-Through Certificates, Series 2005-7

Class [__]-A-[____]

evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of adjustable rate, first lien mortgage loans (the “Mortgage Loans”) purchased from others by

GREENWICH CAPITAL ACCEPTANCE, INC., as Depositor.

Principal in respect of this Certificate is distributable monthly as set forth herein and in the Agreement.  Accordingly, the Certificate Principal Balance of this Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein.  This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Seller, the Master Servicer, the Securities Administrator or the Trustee referred to below or any of their respective affiliates.

This certifies that CEDE & CO. is the registered owner of the Percentage Interest evidenced by this Certificate (obtained by dividing the Denomination of this Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Greenwich Capital Acceptance, Inc. (the “Depositor”).  The Trust was created pursuant to a Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”) among the Depositor, Greenwich Capital Financial Products, Inc., as seller (the “Seller”), Wells Fargo Bank, N.A., as master servicer (the “Master Servicer”) and as securities administrator (the “Securities Administrator”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”) and a Custodian.  To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement.  This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.

Reference is hereby made to the further provisions of this Certificate set forth on the reverse hereof, which further provisions shall for all purposes have the same effect as if set forth at this place.

This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Securities Administrator, as Certificate Registrar.


IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.

Dated:  June ___, 2005

DEUTSCHE BANK NATIONAL TRUST COMPANY,

not in its individual capacity,

but solely as Trustee




By  ________________________________________



This is one of the Certificates

referenced in the within-mentioned Agreement



By ________________________________________

Authorized Signatory of
Wells Fargo Bank, N.A.,
as Certificate Registrar







EXHIBIT A-2

FORM OF CLASS X CERTIFICATE

CLASS [____]-X CERTIFICATE

UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.

NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE CERTIFICATE REGISTRAR SHALL HAVE RECEIVED EITHER (A) A REPRESENTATION LETTER TO THE EFFECT THAT SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT PLAN SUBJECT TO SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR A PLAN OR ARRANGEMENT SUBJECT TO SECTION 4975 OF THE CODE (COLLECTIVELY, A “PLAN”) NOR A PERSON ACTING ON BEHALF OF ANY SUCH PLAN OR ARRANGEMENT NOR A PERSON USING THE ASSETS OF ANY SUCH PLAN TO EFFECT THE TRANSFER, OR (B) IF THIS CERTIFICATE HAS BEEN THE OBJECT OF AN ERISA-QUALIFYING UNDERWRITING, A REPRESENTATION THAT THE PURCHASER IS AN INSURANCE COMPANY PURCHASING THIS CERTIFICATE WITH FUNDS CONTAINED IN AN “INSURANCE COMPANY GENERAL ACCOUNT” AS DEFINED IN SECTION V(e) OF PROHIBITED TRANSACTION CLASS EXEMPTION (“PTCE”) 95-60 AND THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE COVERED UNDER SECTIONS I AND III OF PTCE 95-60, OR (C) AN OPINION OF COUNSEL IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.  NOTWITHSTANDING ANYTHING ELSE TO THE CONTRARY HEREIN, ANY PURPORTED TRANSFER OF THIS CERTIFICATE TO OR ON BEHALF OF AN EMPLOYEE BENEFIT PLAN SUBJECT TO ERISA OR TO SECTION 4975 OF THE CODE WITHOUT THE DELIVERY TO THE CERTIFICATE REGISTRAR OF AN OPINION OF COUNSEL SATISFACTORY TO THE CERTIFICATE REGISTRAR AS DESCRIBED ABOVE SHALL BE VOID AND OF NO EFFECT.

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT”, AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”).


Certificate No.:

[

]

Cut-Off Date:

June 1, 2005

First Distribution Date:

July 19, 2005

Initial Certificate Notional

Amount of this Certificate

(“Denomination”):

$[

]

Original Class Certificate

Notional Amount of this

Class:

$[

]

Percentage Interest:

[

]%

Pass-Through Rate:

Variable

CUSIP:

[___________]

Class:

 [___]-X

Assumed Final Distribution Date:

[June 19, 2045][October 2013]







HarborView Mortgage Loan Trust 2005-7,

Mortgage Loan Pass-Through Certificates, Series 2005-7

Class [__]-X

evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of adjustable rate, first lien mortgage loans (the “Mortgage Loans”) purchased from others by

GREENWICH CAPITAL ACCEPTANCE, INC., as Depositor.

This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Seller, the Master Servicer, the Securities Administrator or the Trustee referred to below or any of their respective affiliates.

This certifies that CEDE & CO. is the registered owner of the Percentage Interest evidenced by this Certificate (obtained by dividing the Denomination of this Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Greenwich Capital Acceptance, Inc. (the “Depositor”).  The Trust was created pursuant to a Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”) among the Depositor, Greenwich Capital Financial Products, Inc., as seller (the “Seller”), Wells Fargo Bank, N.A., as master servicer (the “Master Servicer”) and as securities administrator (the “Securities Administrator”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”) and a Custodian.  To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement.  This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.

Reference is hereby made to the further provisions of this Certificate set forth on the reverse hereof, which further provisions shall for all purposes have the same effect as if set forth at this place.

This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Securities Administrator, as Certificate Registrar.


IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.

Dated:  June  ___, 2005

DEUTSCHE BANK NATIONAL TRUST COMPANY,

not in its individual capacity,

but solely as Trustee




By  




This is one of the Certificates

referenced in the within-mentioned Agreement



By ________________________________________

Authorized Signatory of
Wells Fargo Bank, N.A.,

as Certificate Registrar






EXHIBIT A-3

FORM OF CLASS PO CERTIFICATE

CLASS [__]-PO CERTIFICATE

UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.

NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE CERTIFICATE REGISTRAR SHALL HAVE RECEIVED EITHER (A) A REPRESENTATION LETTER TO THE EFFECT THAT SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT PLAN SUBJECT TO SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR A PLAN OR ARRANGEMENT SUBJECT TO SECTION 4975 OF THE CODE (COLLECTIVELY, A “PLAN”) NOR A PERSON ACTING ON BEHALF OF ANY SUCH PLAN OR ARRANGEMENT NOR A PERSON USING THE ASSETS OF ANY SUCH PLAN TO EFFECT THE TRANSFER, OR (B) IF THIS CERTIFICATE HAS BEEN THE OBJECT OF AN ERISA-QUALIFYING UNDERWRITING, A REPRESENTATION THAT THE PURCHASER IS AN INSURANCE COMPANY PURCHASING THIS CERTIFICATE WITH FUNDS CONTAINED IN AN “INSURANCE COMPANY GENERAL ACCOUNT” AS DEFINED IN SECTION V(e) OF PROHIBITED TRANSACTION CLASS EXEMPTION (“PTCE”) 95-60 AND THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE COVERED UNDER SECTIONS I AND III OF PTCE 95-60, OR (C) AN OPINION OF COUNSEL IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.  NOTWITHSTANDING ANYTHING ELSE TO THE CONTRARY HEREIN, ANY PURPORTED TRANSFER OF THIS CERTIFICATE TO OR ON BEHALF OF AN EMPLOYEE BENEFIT PLAN SUBJECT TO ERISA OR TO SECTION 4975 OF THE CODE WITHOUT THE DELIVERY TO THE CERTIFICATE REGISTRAR OF AN OPINION OF COUNSEL SATISFACTORY TO THE CERTIFICATE REGISTRAR AS DESCRIBED ABOVE SHALL BE VOID AND OF NO EFFECT.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT”, AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”).


Certificate No.:

[

]

Cut-Off Date:

June 1, 2005

First Distribution Date:

July 19, 2005

Initial Certificate Principal

Balance of this Certificate

(“Denomination”):

$[

]

Original Class Certificate

Principal Balance of this

Class:

$[

]

Percentage Interest:

[

]%

Pass-Through Rate:

N/A

CUSIP:

[___________]

Class:

 [__]-PO

Assumed Final Distribution Date:

June 19, 2045







HarborView Mortgage Loan Trust 2005-7,

Mortgage Loan Pass-Through Certificates, Series 2005-7

Class [__]-PO

evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of adjustable rate, first lien mortgage loans (the “Mortgage Loans”) purchased from others by

GREENWICH CAPITAL ACCEPTANCE, INC., as Depositor.

Principal in respect of this Certificate is distributable monthly as set forth herein and in the Agreement.  Accordingly, the Certificate Principal Balance of this Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein.  This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Seller, the Master Servicer, the Securities Administrator or the Trustee referred to below or any of their respective affiliates.

This certifies that CEDE & CO. is the registered owner of the Percentage Interest evidenced by this Certificate (obtained by dividing the Denomination of this Certificate by the Original Class Certificate Notional Amount) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Greenwich Capital Acceptance, Inc. (the “Depositor”).  The Trust was created pursuant to a Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”), among the Depositor, Greenwich Capital Financial Products, Inc., as seller (the “Seller”), Wells Fargo Bank, N.A., as master servicer (the “Master Servicer”) and as securities administrator (the “Securities Administrator”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”) and a Custodian.  To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement.  This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.

Reference is hereby made to the further provisions of this Certificate set forth on the reverse hereof, which further provisions shall for all purposes have the same effect as if set forth at this place.

This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Securities Administrator, as Certificate Registrar.


IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.

Dated:  June ___, 2005

DEUTSCHE BANK NATIONAL TRUST COMPANY,

not in its individual capacity,

but solely as Trustee




By  ________________________________________



This is one of the Certificates

referenced in the within-mentioned Agreement



By ________________________________________

Authorized Signatory of
Wells Fargo Bank, N.A.,
as Certificate Registrar






EXHIBIT B


FORM OF RESIDUAL CERTIFICATE

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A “RESIDUAL INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT”, AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”).

[For Class A-R-II Only:]  THIS CERTIFICATE IS NOT ENTITLED TO DISTRIBUTIONS OF PRINCIPAL AND WILL NOT ACCRUE INTEREST.  THE HOLDER OF THIS CERTIFICATE WILL BE ENTITLED TO CERTAIN DISTRIBUTIONS AS PROVIDED IN THE AGREEMENT.

NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE PROPOSED TRANSFEREE DELIVERS TO THE TRUSTEE AND THE CERTIFICATE REGISTRAR A TRANSFER AFFIDAVIT IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.

NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE TRANSFEREE DELIVERS TO THE CERTIFICATE REGISTRAR EITHER (A) A REPRESENTATION LETTER TO THE EFFECT THAT SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT PLAN SUBJECT TO SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR A PLAN OR ARRANGEMENT SUBJECT TO SECTION 4975 OF THE CODE (COLLECTIVELY, A “PLAN”) NOR A PERSON ACTING ON BEHALF OF ANY SUCH PLAN OR ARRANGEMENT NOR A PERSON USING THE ASSETS OF ANY SUCH PLAN TO EFFECT THE TRANSFER, OR (B) A REPRESENTATION THAT THE PURCHASER IS AN INSURANCE COMPANY PURCHASING THIS CERTIFICATE WITH FUNDS CONTAINED IN AN “INSURANCE COMPANY GENERAL ACCOUNT” AS DEFINED IN SECTION V(e) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 (“PTCE 95-60”) AND THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE COVERED UNDER SECTIONS I AND III OF PTCE-95-60, OR (C) AN OPINION OF COUNSEL IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.  NOTWITHSTANDING ANYTHING ELSE TO THE CONTRARY HEREIN, ANY PURPORTED TRANSFER OF THIS CERTIFICATE TO OR ON BEHALF OF AN EMPLOYEE BENEFIT PLAN SUBJECT TO ERISA OR TO THE CODE WITHOUT AN OPINION OF COUNSEL SATISFACTORY TO THE CERTIFICATE REGISTRAR AS DESCRIBED ABOVE SHALL BE VOID AND OF NO EFFECT.


Certificate No.:

1

Cut-Off Date:

June 1, 2005

First Distribution Date:

July 19, 2005

[Initial Certificate Principal

Balance of this Certificate:

$100]

[Original Class Certificate

Principal Balance of this

Class:

$100]


Percentage Interest:

100%


[Pass-Through Rate:

Net WAC] [For A-R ONLY][DELETE FOR A-R-

II]


CUSIP:

[________________]


Class:

[A-R] [A-R-II]


Assumed Final Distribution Date:

June 19, 2045



HarborView Mortgage Loan Trust 2005-7

Mortgage Loan Pass-Through Certificates, Series 2005-7

Class [A-R] [A-R-II]

evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of adjustable rate, first lien mortgage loans (the “Mortgage Loans”) purchased from others by

GREENWICH CAPITAL ACCEPTANCE, INC., as Depositor.

This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Seller, the Master Servicer, the Securities Administrator or the Trustee referred to below or any of their respective affiliates.  Neither this Certificate nor the Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality.

This certifies that _________________________ is the registered owner of the Percentage Interest evidenced by this Certificate specified above in the interest represented by all Certificates of the Class to which this Certificate belongs in a Trust consisting primarily of the Mortgage Loans deposited by Greenwich Capital Acceptance, Inc. (the “Depositor”).  The Trust was created pursuant to a Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”) among the Depositor, Greenwich Capital Financial Products, Inc., as seller (the “Seller”), Wells Fargo Bank, N.A., as master servicer (the “Master Servicer”) and as securities administrator (the “Securities Administrator”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”) and a Custodian.  To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement.  This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.

Any distribution of the proceeds of any remaining assets of the Trust will be made only upon presentment and surrender of this Certificate at the Corporate Trust Office of the Certificate Registrar or the office or agency maintained by the Certificate Registrar.

No transfer of this Certificate shall be made unless the Certificate Registrar shall have received either (i) a representation letter from the transferee of such Certificate, acceptable to and in form and substance satisfactory to the Certificate Registrar and the Depositor and in substantially the form attached to the Agreement, to the effect that such transferee is not an employee benefit or other plan or arrangement subject to Section 406 of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”) or Section 4975 of the Internal Revenue Code of 1986, as amended (the “Code”), nor a person acting on behalf or investing plan assets of any such plan or arrangement, which representation letter shall not be an expense of the Certificate Registrar or the Trustee, or (ii) a representation that the purchaser is an insurance company which is purchasing such Certificate with funds contained in an “insurance company general account” (as such term is defined in Section V(e) of Prohibited Transaction Class Exemption 95-60 (“PTCE 95-60”)) and that the purchase and holding of such Certificate are covered under Sections I and III of PTCE 95-60, or (iii) an Opinion of Counsel in accordance with the provisions of the Agreement.  Notwithstanding anything else to the contrary herein, any purported transfer of this Certificate to or on behalf of an employee benefit plan subject to ERISA or to the Code without the opinion of counsel satisfactory to the Certificate Registrar as described above shall be void and of no effect.

Each Holder of this Certificate will be deemed to have agreed to be bound by the restrictions of the Agreement, including but not limited to the restrictions that (i) each person holding or acquiring any Ownership Interest in this Certificate must be a Permitted Transferee, (ii) no Ownership Interest in this Certificate may be transferred without delivery to the Trustee and the Certificate Registrar of (a) a transfer affidavit of the proposed transferee and (b) a transfer certificate of the transferor, each of such documents to be in the form described in the Agreement, (iii) each person holding or acquiring any Ownership Interest in this Certificate must agree to require a transfer affidavit and to deliver a transfer certificate to the Trustee and the Certificate Registrar as required pursuant to the Agreement, (iv) each person holding or acquiring an Ownership Interest in this Certificate must agree not to transfer an Ownership Interest in this Certificate if it has actual knowledge that the proposed transferee is not a Permitted Transferee and (v) any attempted or purported transfer of any Ownership Interest in this Certificate in violation of such restrictions will be absolutely null and void and will vest no rights in the purported transferee.  The Securities Administrator will provide the Internal Revenue Service and any pertinent persons with the information needed to compute the tax imposed under the applicable tax laws on transfers of residual interests to disqualified organizations, if any person other than a Permitted Transferee acquires an Ownership Interest in this Certificate in violation of the restrictions mentioned above.

Reference is hereby made to the further provisions of this Certificate set forth on the reverse hereof, which further provisions shall for all purposes have the same effect as if set forth at this place.

This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized officer of the Securities Administrator, as Certificate Registrar.


IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.

Dated:  June  ___, 2005

DEUTSCHE BANK NATIONAL TRUST COMPANY,

not in its individual capacity,

but solely as Trustee




By  ________________________________________



This is one of the Certificates

referenced in the within-mentioned Agreement



By ________________________________________

Authorized Signatory of
Wells Fargo Bank, N.A.,
as Certificate Registrar






EXHIBIT C

FORM OF SUBORDINATE CERTIFICATE

CLASS [      ]-B-[      ] CERTIFICATE

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.] [Applicable to Book-Entry Certificates only; delete for Physical Certificates]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT”, AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”).

[NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED (A) (1) UNLESS SUCH TRANSFER IS MADE TO A QUALIFIED INSTITUTIONAL BUYER IN RELIANCE UPON RULE 144A OF THE SECURITIES ACT OF 1933, AS AMENDED (THE “1933 ACT”) OR (2) UNLESS SUCH TRANSFER IS MADE TO AN ACCREDITED INVESTOR IN RELIANCE UPON RULE 501 (C)(1), (2), (3) OR (7) OF THE 1933 ACT (IN EACH CASE AS EVIDENCED BY AN INVESTMENT LETTER DELIVERED TO THE CERTIFICATE REGISTRAR, IN SUBSTANTIALLY THE FORM ATTACHED TO THE AGREEMENT AND, IF SO REQUIRED BY THE CERTIFICATE REGISTRAR AND THE DEPOSITOR, A WRITTEN OPINION OF COUNSEL (WHICH MAY BE IN-HOUSE COUNSEL) ACCEPTABLE TO AND IN FORM AND SUBSTANCE REASONABLY SATISFACTORY TO THE CERTIFICATE REGISTRAR AND THE DEPOSITOR, STATING THAT SUCH TRANSFER MAY BE MADE PURSUANT TO AN EXEMPTION (INCLUDING A DESCRIPTION OF THE APPLICABLE EXEMPTION AND THE BASIS THEREFOR) FROM THE 1933 ACT OR STATING THAT SUCH TRANSFER IS BEING MADE PURSUANT TO THE 1933 ACT, WHICH OPINION OF COUNSEL SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE CERTIFICATE REGISTRAR OR THE DEPOSITOR) OR (B) UNLESS THE TRANSFEROR SHALL HAVE EXECUTED A TRANSFEROR CERTIFICATE (IN SUBSTANTIALLY THE FORM ATTACHED TO THE POOLING AND SERVICING AGREEMENT) AND THE TRANSFEREE SHALL HAVE EXECUTED AN INVESTMENT LETTER (IN SUBSTANTIALLY THE FORM ATTACHED TO THE POOLING AND SERVICING AGREEMENT) ACCEPTABLE TO AND IN FORM AND SUBSTANCE REASONABLY SATISFACTORY TO THE DEPOSITOR AND THE CERTIFICATE REGISTRAR CERTIFYING TO THE DEPOSITOR AND THE CERTIFICATE REGISTRAR THE FACTS SURROUNDING SUCH TRANSFER, WHICH INVESTMENT LETTER SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE CERTIFICATE REGISTRAR OR THE DEPOSITOR.]  [Applicable to Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates that are Physical Certificates only; Delete for Class 1-B1, Class 1-B2, Class 1-B3, Class 2-B1, Class 2-B2 and Class 2-B3 Certificates and Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates that are Book-Entry Certificates]

[IF THE RATING OF THIS CERTIFICATE IS BELOW INVESTMENT GRADE AT THE TIME OF ITS ACQUISITION, NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE CERTIFICATE REGISTRAR SHALL HAVE RECEIVED EITHER (A) A REPRESENTATION LETTER TO THE EFFECT THAT SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT PLAN SUBJECT TO SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR A PLAN OR ARRANGEMENT SUBJECT TO SECTION 4975 OF THE CODE (COLLECTIVELY, A “PLAN”) NOR A PERSON ACTING ON BEHALF OF ANY SUCH PLAN OR ARRANGEMENT NOR A PERSON USING THE ASSETS OF ANY SUCH PLAN TO EFFECT THE TRANSFER, OR (B) IF THIS CERTIFICATE HAS BEEN THE OBJECT OF AN ERISA-QUALIFYING UNDERWRITING, A REPRESENTATION THAT THE PURCHASER IS AN INSURANCE COMPANY PURCHASING THIS CERTIFICATE WITH FUNDS CONTAINED IN AN “INSURANCE COMPANY GENERAL ACCOUNT” AS DEFINED IN SECTION V(e) OF PROHIBITED TRANSACTION CLASS EXEMPTION (“PTCE”) 95-60 AND THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE COVERED UNDER SECTIONS I AND III OF PTCE 95-60, OR (C) AN OPINION OF COUNSEL IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.  NOTWITHSTANDING ANYTHING ELSE TO THE CONTRARY HEREIN, ANY PURPORTED TRANSFER OF THIS CERTIFICATE TO OR ON BEHALF OF AN EMPLOYEE BENEFIT PLAN SUBJECT TO ERISA OR TO SECTION 4975 OF THE CODE WITHOUT THE DELIVERY TO THE CERTIFICATE REGISTRAR OF AN OPINION OF COUNSEL SATISFACTORY TO THE CERTIFICATE REGISTRAR AS DESCRIBED ABOVE SHALL BE VOID AND OF NO EFFECT.]  [Applicable to Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates that are Physical Certificates only; Delete for Class 1-B1, Class 1-B2, Class 1-B3, Class 2-B1, Class 2-B2 and Class 2-B3 Certificates and Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates that are Book-Entry Certificates]

[THE HOLDER OF THIS CERTIFICATE BY ITS ACCEPTANCE HEREOF IS DEEMED TO HAVE REPRESENTED AND WARRANTED THAT (I) IT ACQUIRED SUCH CERTIFICATE (A) PURSUANT TO A REGISTRATION STATEMENT WHICH HAS BEEN DECLARED EFFECTIVE UNDER THE 1933 ACT OR (B) AS A “QUALIFIED INSTITUTIONAL BUYER” AS DEFINED IN RULE 144A UNDER THE 1933 ACT THAT PURCHASES FOR ITS OWN ACCOUNT OR FOR THE ACCOUNT OF A QUALIFIED INSTITUTIONAL BUYER TO WHOM NOTICE IS GIVEN THAT THE TRANSFER IS BEING MADE IN RELIANCE ON RULE 144A, AND (II) IF THE RATING OF THIS CERTIFICATE IS BELOW INVESTMENT GRADE AT THE TIME OF ITS ACQUISITION, (A) SUCH HOLDER IS NOT AN EMPLOYEE BENEFIT PLAN SUBJECT TO SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR A PLAN OR ARRANGEMENT SUBJECT TO SECTION 4975 OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”), OR A PERSON ACTING ON BEHALF OF ANY SUCH PLAN OR ARRANGEMENT OR A PERSON USING THE ASSETS OF ANY SUCH PLAN OR ARRANGEMENT TO EFFECT SUCH TRANSFER, (B) IF THIS CERTIFICATE HAS BEEN THE SUBJECT OF AN ERISA-QUALIFYING UNDERWRITING, SUCH HOLDER IS AN INSURANCE COMPANY PURCHASING THIS CERTIFICATE WITH FUNDS CONTAINED IN AN “INSURANCE COMPANY GENERAL ACCOUNT” AS DEFINED IN SECTION V(e) OF PROHIBITED TRANSACTION CLASS EXEMPTION (“PTCE”) 95-60 AND THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE COVERED UNDER SECTIONS I AND III OF PTCE 95-60, OR (C) THE PURCHASE OR HOLDING OF THIS CERTIFICATE BY THE HOLDER WILL NOT RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER THE PROVISIONS OF SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE AND WILL NOT SUBJECT THE TRUSTEE, THE CERTIFICATE REGISTRAR, THE MASTER SERVICER, ANY SERVICER, THE SECURITIES ADMINISTRATOR OR THE DEPOSITOR TO ANY OBLIGATION IN ADDITION TO THOSE UNDERTAKEN IN THE AGREEMENT.]  [Applicable to Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates that are Physical Certificates only; Delete for Class 1-B1, Class 1-B2, Class 1-B3, Class 2-B1, Class 2-B2 and Class 2-B3 Certificates and Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates that are Book-Entry Certificates]

THIS CERTIFICATE IS SUBORDINATE IN RIGHT AND PAYMENT AS DESCRIBED IN THE AGREEMENT REFERRED TO HEREIN.

Certificate No.:

[

]

Cut-Off Date:

June 1, 2005

First Distribution Date:

July 19, 2005

Initial Certificate Principal

Balance of this Certificate

(“Denomination”):

$[

]

Original Class Certificate

Principal Balance of this

Class:

$[

]

Percentage Interest:

[

]%

Pass-Through Rate:

Variable

CUSIP:

[________________]

Class:

[      ]-B-[    ]

Assumed Final Distribution Date:

June 19, 2045






HarborView Mortgage Loan Trust 2005-7,

Mortgage Loan Pass-Through Certificates, Series 2005-7

Class [      ]-B-[      ]

evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of adjustable rate, first lien mortgage loans (the “Mortgage Loans”) purchased from others by

GREENWICH CAPITAL ACCEPTANCE INC., as Depositor.

Principal in respect of this Certificate is distributable monthly as set forth herein and in the Agreement.  Accordingly, the Certificate Principal Balance of this Certificate at any time may be less than the Initial Certificate Principal Balance set forth on the face hereof, as described herein.  This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Seller, the Master Servicer, the Securities Administrator or the Trustee referred to below or any of their respective affiliates.

This certifies that [CEDE & CO.] [Applicable to Book-Entry Certificates only] [_________________________] [Applicable to Physical Certificates only] is the registered owner of the Percentage Interest evidenced by this Certificate (obtained by dividing the Denomination of this Certificate by the Original Class Certificate Principal Balance) in certain monthly distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Greenwich Capital Acceptance, Inc. (the “Depositor”).  The Trust was created pursuant to a Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”) among the Depositor, Greenwich Capital Financial Products, Inc., as seller (the “Seller”), Wells Fargo Bank, N.A., as master servicer (the “Master Servicer”) and as securities administrator (the “Securities Administrator”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”) and a Custodian.  To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement.  This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.

Reference is hereby made to the further provisions of this Certificate set forth on the reverse hereof, which further provisions shall for all purposes have the same effect as if set forth at this place.

This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized signatory of the Securities Administrator, as Certificate Registrar.


IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.

Dated:  June  ___, 2005

DEUTSCHE BANK NATIONAL TRUST COMPANY,

not in its individual capacity,

but solely as Trustee




By  ________________________________________



This is one of the Certificates

referenced in the within-mentioned Agreement



By ________________________________________

Authorized Signatory of
Wells Fargo Bank, N.A.,

as Certificate Registrar








EXHIBIT D

FORM OF CLASS P CERTIFICATE

CLASS P CERTIFICATE

THIS CERTIFICATE DOES NOT EVIDENCE AN INTEREST IN ANY REMIC CREATED PURSUANT TO THE AGREEMENT REFERENCED HEREIN.  

THIS CERTIFICATE IS NOT ENTITLED TO DISTRIBUTIONS OF PRINCIPAL AND WILL NOT ACCRUE INTEREST.  THE HOLDER OF THIS CERTIFICATE WILL BE ENTITLED TO CERTAIN DISTRIBUTIONS AS PROVIDED IN THE AGREEMENT.

THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED, (THE “1933 ACT”) OR ANY STATE SECURITIES LAWS.  NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED IN THE ABSENCE OF SUCH REGISTRATION, UNLESS SUCH TRANSACTION IS EXEMPT FROM, OR NOT SUBJECT TO, REGISTRATION.

THE HOLDER OF THIS CERTIFICATE BY ITS ACCEPTANCE HEREOF AGREES TO OFFER, SELL OR OTHERWISE TRANSFER SUCH CERTIFICATE ONLY (A) PURSUANT TO A REGISTRATION STATEMENT WHICH HAS BEEN DECLARED EFFECTIVE UNDER THE 1933 ACT OR (B) TO A “QUALIFIED INSTITUTIONAL BUYER” AS DEFINED IN RULE 144A, AS EVIDENCED BY AN INVESTMENT LETTER DELIVERED BY THE TRANSFEREE TO THE CERTIFICATE REGISTRAR, IN SUBSTANTIALLY THE FORM ATTACHED TO THE AGREEMENT.

NEITHER THIS CERTIFICATE NOR ANY INTEREST HEREIN MAY BE TRANSFERRED UNLESS THE CERTIFICATE REGISTRAR SHALL HAVE RECEIVED EITHER (A) A REPRESENTATION LETTER TO THE EFFECT THAT SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT PLAN SUBJECT TO SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR A PLAN OR ARRANGEMENT SUBJECT TO SECTION 4975 OF THE CODE OR A PERSON ACTING ON BEHALF OF ANY SUCH PLAN OR ARRANGEMENT OR USING PLAN ASSETS OF ANY SUCH PLAN OR ARRANGEMENT TO EFFECT THE TRANSFER, OR (B) IF THIS CERTIFICATE HAS BEEN THE SUBJECT OF AN ERISA-QUALIFYING UNDERWRITING, A REPRESENTATION THAT THE PURCHASER IS AN INSURANCE COMPANY PURCHASING THIS CERTIFICATE WITH FUNDS CONTAINED IN AN “INSURANCE COMPANY GENERAL ACCOUNT” AS DEFINED IN SECTION V(e) OF PROHIBITED TRANSACTION CLASS EXEMPTION (“PTCE”) 95-60 AND THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE COVERED UNDER SECTIONS I AND III OF PTCE 95-60, OR (C) AN OPINION OF COUNSEL IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.  NOTWITHSTANDING ANYTHING ELSE TO THE CONTRARY HEREIN, ANY PURPORTED TRANSFER OF THIS CERTIFICATE TO OR ON BEHALF OF AN EMPLOYEE BENEFIT PLAN SUBJECT TO ERISA OR TO SECTION 4975 OF THE CODE WITHOUT THE DELIVERY TO THE CERTIFICATE REGISTRAR OF AN OPINION OF COUNSEL SATISFACTORY TO THE CERTIFICATE REGISTRAR AS DESCRIBED ABOVE SHALL BE VOID AND OF NO EFFECT

Cut-Off Date:

June 1, 2005

Percentage Interest:

100%

Certificate No.:

1

Class:

P






HarborView Mortgage Loan Trust 2005-7

Mortgage Loan Pass-Through Certificates, Series 2005-7

Class P

evidencing the Percentage Interest in the distributions allocable to the Certificates of the above-referenced Class with respect to the Trust consisting primarily of hybrid first lien mortgage loans (the “Mortgage Loans”) purchased from others by

GREENWICH CAPITAL ACCEPTANCE, INC., as Depositor.

This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Seller, the Master Servicer, the Securities Administrator or the Trustee referred to below or any of their respective affiliates.  Neither this Certificate nor the Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality.

This certifies that _________________________ is the registered owner of the Percentage Interest evidenced by this Certificate specified above in the interest represented by all Certificates of the Class to which this Certificate belongs in a Trust consisting primarily of the Mortgage Loans deposited by Greenwich Capital Acceptance, Inc. (the “Depositor”).  The Trust was created pursuant to a Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”) among the Depositor, Greenwich Capital Financial Products, Inc., as seller (the “Seller”), Wells Fargo Bank, N.A., as master servicer (the “Master Servicer”) and securities administrator (the “Securities Administrator”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”) and custodian.  To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement.  This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.

Reference is hereby made to the further provisions of this Certificate set forth on the reverse hereof, which further provisions shall for all purposes have the same effect as if set forth at this place.

This Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose unless manually countersigned by an authorized officer of the Securities Administrator, as Certificate Registrar.


IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.

Dated:  June ___, 2005

DEUTSCHE BANK NATIONAL TRUST

COMPANY,

not in its individual capacity,

but solely as Trustee




By  ________________________________________



This is one of the Certificates

referenced in the within-mentioned Agreement



By ________________________________________

Authorized Signatory of
Wells Fargo Bank, N.A.
as Certificate Registrar







EXHIBIT E

FORM OF REVERSE OF THE CERTIFICATES

HARBORVIEW MORTGAGE LOAN TRUST 2005-7

Mortgage Loan Pass-Through Certificates, Series 2005-7

Reverse Certificate

This Certificate is one of a duly authorized issue of Certificates designated as HarborView Mortgage Loan Trust 2005-7, Mortgage Loan Pass-Through Certificates, Series 2005-7 (herein collectively called the “Certificates”), and representing a beneficial ownership interest in the Trust created by the Agreement.

The Certificateholder, by its acceptance of this Certificate, agrees that it will look solely to the funds on deposit in the Distribution Account for payment hereunder and that the Securities Administrator, as Paying Agent is not liable to the Certificateholders for any amount payable under this Certificate or the Agreement or, except as expressly provided in the Agreement, subject to any liability under the Agreement.

This Certificate does not purport to summarize the Agreement and reference is made to the Agreement for the interests, rights and limitations of rights, benefits, obligations and duties evidenced thereby, and the rights, duties and immunities of the Trustee and the Securities Aministrator.

Pursuant to the terms of the Agreement, distributions will be made on the 19th day of each month, or if the 19th day is not a Business Day, then on the next succeeding Business Day (the “Distribution Date”), commencing on the Distribution Date in July 2005, to the Person in whose name this Certificate is registered at the close of business on the applicable Record Date in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to Holders of Certificates of the Class to which this Certificate belongs on such Distribution Date pursuant to the Agreement.

Distributions on this Certificate shall be made, (i) in the case of a Physical Certificate, by check or money order mailed to the address of the person entitled thereto as it appears on the Certificate Register or, upon the request of a Certificateholder, by wire transfer as set forth in the Agreement and (ii) in the case of a Book-Entry Certificate, to the Depository, which shall credit the amounts of such distributions to the accounts of its Depository Participants in accordance with its normal procedures.  The final distribution on each Certificate shall be made in like manner, but only upon presentment and surrender of such Certificate at the office or agency of the Certificate Registrar specified in the notice to Certificateholders of such final distribution.

The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights of the Certificateholders under the Agreement at any time, by the Depositor, the Seller, the Master Servicer, the Securities Administrator, the Trustee and Holders of the requisite percentage of the Percentage Interests of each Class of Certificates affected by such amendment, as specified in the Agreement.  Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange therefor or in lieu hereof whether or not notation of such consent is made upon this Certificate.  The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.

As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register of the Certificate Registrar upon surrender of this Certificate for registration of transfer at the office or agency maintained by the Certificate Registrar accompanied by a written instrument of transfer in form satisfactory to the Certificate Registrar duly executed by the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations and evidencing the same aggregate Percentage Interest in the Trust will be issued to the designated transferee or transferees.

[Subject to the terms of the Agreement, each Class of Book-Entry Certificates will be registered as being held by the Depository or its nominee and beneficial interests will be held by Certificate Owners through the book-entry facilities of the Depository or its nominee in minimum denominations of $25,000 and integral dollar multiples of $1 in excess thereof, in the case of the Class 1-A1, Class 1-A2, Class 2-A1, Class 2-A2A Class 2-A2B, Class 1-B1, Class 1-B2, Class 1-B3, Class 2-B1, Class 2-B2 and Class 2-B3 Certificates and $100,000 and integral dollar multiples of $1,000 in excess thereof, in the case of the Class 1-X, Class 2-X, Class 1-B4, Class 1-B5, Class 1-B6, Class 2-B4, Class 2-B5 and Class 2-B6 Certificates, except that one Certificate of each such Class of Certificates may be in a different denomination.]  [Applicable to Book-Entry Certificates only; delete for Physical Certificates.]

[Each of the Class A-R and Class A-R-II Certificates is issuable as a single certificate in physical form only in a Percentage Interest of 100%.]  [Applicable to Class A-R and Class A-R-II Certificates only.]

[The Class 1-PO and Class 2-PO Certificates are issuable in minimum Percentage Interests of 0.01%] [Applicable to Class 1-PO and Class 2-PO Certificates only.]

[The Certificates are issuable only as registered Certificates without coupons in denominations specified in the Agreement.  As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations and evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.]  [Applicable to Physical Certificates only; delete for Book-Entry Certificates.]

No service charge will be made for any such registration of transfer or exchange, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith.

The Depositor, the Seller, the Trustee, the Master Servicer, the Securities Administrator, the Certificate Registrar and the Paying Agent and any agent of the Depositor, the Seller, the Trustee, the Master Servicer, the Securities Administrator, the Certificate Registrar or the Paying Agent may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Seller, the Trustee, the Master Servicer, the Securities Administrator, the Certificate Registrar and the Paying Agent or any agent of any of them shall be affected by any notice to the contrary.

On any Distribution Date on which the aggregate of the Stated Principal Balances of the Mortgage Loans immediately after such date is equal to or less than 10% of the Cut-Off Date Aggregate Principal Balance, the Call Option Holder may, at its option, terminate the Agreement by purchasing, on such Distribution Date, all of the outstanding Mortgage Loans and REO Properties at the Termination Price as provided in the Pooling and Servicing Agreement.  In the event that the Call Option Holder does not exercise its right of optional termination, the obligations and responsibilities created by the Agreement will terminate upon the earliest of (i) the Distribution Date on which the Class Certificate Principal Balance of each Class of Certificates has been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan and (iii) the Latest Possible Maturity Date.

Capitalized terms used herein that are defined in the Agreement shall have the meanings ascribed to them in the Agreement, and nothing herein shall be deemed inconsistent with that meaning.


ASSIGNMENT

FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto

______________________________________________________________________________

______________________________________________________________________________

(Please print or typewrite name and address including postal zip code of assignee)

the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.

I (We) further direct the Trustee to issue a new Certificate of a like denomination and Class, to the above named assignee and deliver such Certificate to the following address:

____________________________________________________________________________.

Dated: _____________

                                                            

Signature by or on behalf of assignor


DISTRIBUTION INSTRUCTIONS

The assignee should include the following for purposes of distribution:

Distributions shall be made, by wire transfer or otherwise, in immediately available funds to____________________________________________________________________________

______________________________________________________________________________

for the account of_______________________________________________________________,

account number ________________________, or, if mailed by check, to ___________________

______________________________________________________________________________

Applicable statements should be mailed to ___________________________________________

_____________________________________________________________________________.

This information is provided by _____________________________________________,

the assignee named above, or _____________________________________________________,

as its agent.  





EXHIBIT F


REQUEST FOR RELEASE

                               

Date

[Addressed to Trustee

or, if applicable, Custodian]

In connection with the administration of the mortgages held by you as [Trustee] [Custodian, on behalf of the Trustee] under a certain Pooling and Servicing Agreement dated as of June 1, 2005 among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer  and Securities Administrator and Deutsche Bank National Trust Company, as Trustee and a Custodian (the “Pooling and Servicing Agreement”), the undersigned [Master Servicer] [Servicer] hereby requests a release of the Mortgage File held by you as [Trustee] [Custodian, on behalf of the Trustee] with respect to the following described Mortgage Loan for the reason indicated below.

Mortgagor’s Name:

Address:

Loan No.:

Reason for requesting file:

1.

Mortgage Loan paid in full. (The [Master Servicer] [Servicer] hereby certifies that all amounts received in connection with the loan have been or will be credited to the Distribution Account pursuant to the Pooling and Servicing Agreement.)

2.

The Mortgage Loan is being foreclosed.

3.

Mortgage Loan substituted. (The [Master Servicer] [Servicer] hereby certifies that a Qualified Substitute Mortgage Loan has been assigned and delivered to you along with the related Mortgage File pursuant to the Pooling and Servicing Agreement.)

4.

Mortgage Loan repurchased. (The [Master Servicer] [Servicer] hereby certifies that the Purchase Price has been credited to the Distribution Account pursuant to the Pooling and Servicing Agreement.)

5.

Other. (Describe)

The undersigned acknowledges that the above Mortgage File will be held by the undersigned in accordance with the provisions of the Pooling and Servicing Agreement and will be returned to you within ten (10) days of our receipt of the Mortgage File, except if the Mortgage Loan has been paid in full, or repurchased or substituted for a Qualified Substitute Mortgage Loan (in which case the Mortgage File will be retained by us without obligation to return to you).

Capitalized terms used herein shall have the meanings ascribed to them in the Pooling and Servicing Agreement.

_____________________________________

[Name of Master Servicer] [Name of Servicer]

By:__________________________________

Name:

Title: Servicing Officer


EXHIBIT G-1

FORM OF RECEIPT OF MORTGAGE NOTE

RECEIPT OF MORTGAGE NOTE

Greenwich Capital Acceptance, Inc.
600 Steamboat Road
Greenwich, Connecticut 06830


Re:

HarborView Mortgage Loan Trust 2005-7

Mortgage Loan Pass-Through Certificates, Series 2005-7  


Ladies and Gentlemen:

Pursuant to Section 2.01 of the Pooling and Servicing Agreement, dated as of June 1, 2005, among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and as Securities Administrator, and Deutsche Bank National Trust Company, as Trustee and a Custodian, we hereby acknowledge receipt of an original Mortgage Note with respect to each Mortgage Loan listed on Exhibit 1, with any exceptions thereto listed on Exhibit 2.


DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee



By:                                                       

Name:

Title:


Dated:  




EXHIBIT 1

MORTGAGE LOAN SCHEDULE

[On file with McKee Nelson LLP]




EXHIBIT 2

EXCEPTIONS REPORT

[On file with McKee Nelson LLP]





EXHIBIT G-2

FORM OF INTERIM CERTIFICATION OF TRUSTEE

INTERIM CERTIFICATION OF TRUSTEE

[Date]


Greenwich Capital Acceptance, Inc.
600 Steamboat Road
Greenwich, Connecticut 06830

 

Greenwich Capital Financial Products, Inc.
600 Steamboat Road
Greenwich, Connecticut 06830

 


Re:

HarborView Mortgage Loan Trust 2005-7

Mortgage Loan Pass-Through Certificates, Series 2005-7


Ladies and Gentlemen:

In accordance with Section 2.02 of the Pooling and Servicing Agreement dated as of June 1, 2005 (the “Pooling and Servicing Agreement”), among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and as Securities Administrator and Deutsche Bank National Trust Company, as Trustee, the undersigned, as Trustee and a Custodian, hereby certifies that, as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or listed on the attached schedule):

(i)

all documents required to be delivered to the Trustee (or to a Custodian, on behalf of the Trustee) pursuant to Section 2.01 of the Pooling and Servicing Agreement are in its possession;

(ii)

such documents have been reviewed by the Trustee and have not been mutilated, damaged or torn and relate to such Mortgage Loan; and

(iii)

based on the Trustee’s examination and only as to the foregoing, the information set forth in the Mortgage Loan Schedule that corresponds to items (i), (ii) and (iii) of the Mortgage Loan Schedule accurately reflects information set forth in the Mortgage File.

Based on its review and examination and only as to the foregoing documents, such documents appear regular on their face and relate to such Mortgage Loan.

The Trustee has made no independent examination of any documents contained in each Mortgage File beyond the review specifically required in the Pooling and Servicing Agreement. The Trustee makes no representations as to: (i) the validity, legality, sufficiency, enforceability or genuineness of any of the documents contained in each Mortgage File of any of the Mortgage Loans identified on the Mortgage Loan Schedule, or (ii) the collectibility, insurability, effectiveness or suitability of any such Mortgage Loan.

Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement.


DEUTSCHE BANK NATIONAL TRUST
COMPANY, as Trustee

By: ____________________________

Name:

Title:


EXHIBIT G-3

FORM OF FINAL CERTIFICATION OF TRUSTEE

FINAL CERTIFICATION OF TRUSTEE

[Date]

Greenwich Capital Acceptance, Inc.
600 Steamboat Road
Greenwich, Connecticut 06830


Greenwich Capital Financial Products, Inc.
600 Steamboat Road
Greenwich, Connecticut 06830



Re:

HarborView Mortgage Loan Trust 2005-7

Mortgage Loan Pass-Through Certificates, Series 2005-7

Ladies and Gentlemen:

In accordance with Section 2.02 of the Pooling and Servicing Agreement dated as of June 1, 2005 (the “Pooling and Servicing Agreement”), among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and as Securities Administrator and Deutsche Bank National Trust Company, as Trustee, the undersigned, as Trustee and a Custodian, hereby certifies that as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or listed in the attached schedule) it has received all documents required to be delivered to the Trustee pursuant to Section 2.01 of the Pooling and Servicing Agreement.

Based on its review and examination and only as to the foregoing documents, (a) such documents appear regular on their face and related to such Mortgage Loan, and (b) the information set forth in items (i), (ii) and (iii) of the definition of “Mortgage Loan Schedule” in the Pooling and Servicing Agreement accurately reflects the information set forth in each Mortgage File.

The Trustee has made no independent examination of any documents contained in each Mortgage File beyond the review specifically required in the Pooling and Servicing Agreement. The Trustee makes no representations as to: (i) the validity, legality, sufficiency, enforceability or genuineness of any of the documents contained in each Mortgage File of any of the Mortgage Loans identified on the Mortgage Loan Schedule, or (ii) the collectibility, insurability, effectiveness or suitability of any such Mortgage Loan.


Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement.


DEUTSCHE BANK NATIONAL TRUST
COMPANY, as Trustee

By: _______________________________

Name:

Title:

 


EXHIBIT H

FORM OF LOST NOTE AFFIDAVIT

Personally appeared before me the undersigned authority to administer oaths, ______________________ who first being duly sworn deposes and says:  Deponent is ______________________ of Greenwich Capital Financial Products, Inc. (the “Seller”) and who has personal knowledge of the facts set out in this affidavit.

On _______________, 200__, _________________________ did execute and deliver a promissory note in the principal amount of $__________.

That said note has been misplaced or lost through causes unknown and is currently lost and unavailable after diligent search has been made.  The Seller’s records show that an amount of principal and interest on said note is still presently outstanding, due, and unpaid, and such Seller is still owner and holder in due course of said lost note.

The Seller executes this Affidavit for the purpose of inducing Deutsche Bank National Trust Company, as trustee on behalf of HarborView Mortgage Loan Trust 2005-7, Mortgage Loan Pass-Through Certificates, Series 2005-7, to accept the transfer of the above-described mortgage loan from the Seller.

The Seller agrees to indemnify Deutsche Bank National Trust Company and Greenwich Capital Acceptance, Inc. and hold each of them harmless for any losses incurred by such parties resulting from the fact that the above described Note has been lost or misplaced.


By:  __________________________________

        __________________________________

STATE OF

)

 
 

)

Ss:

COUNTY OF

)

 



On this ____ day of ___________ 20__, before me, a Notary Public, in and for said County and State, appeared ________________________, who acknowledged the extension of the foregoing and who, having been duly sworn, states that any representations therein contained are true.

Witness my hand and Notarial Seal this ____ day of _______ 20__.

_______________________________

_______________________________

My commission expires _______________.





EXHIBIT I-1

FORM OF ERISA REPRESENTATION

 [Date]


Greenwich Capital Acceptance, Inc.

600 Steamboat Road
Greenwich, Connecticut 06830

Wells Fargo Bank, N.A.

Sixth Street and Marquette Avenue

Minneapolis, Minnesota 55479

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7



Re:  HarborView Mortgage Loan Trust 2005-7
Mortgage Loan Pass-Through Certificates, Series
2005-7, Class [A-R] [A-R-II]



Ladies and Gentlemen:

1.

The undersigned is the ______________________ of _________________ (the “Transferee”), a [corporation duly organized] and existing under the laws of __________, on behalf of which she makes this affidavit.

2.

The Transferee either (x) is not an employee benefit plan subject to Section 406 of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”), or a plan or arrangement subject to Section 4975 of the Internal Revenue Code of 1986, as amended (the “Code”) (collectively, a “Plan”) nor a person acting on behalf of any such Plan nor using the assets of any such Plan to effect the transfer; (y) if the Certificate has been the subject of a best efforts or firm commitment underwriting or private placement that meets the requirements of Prohibited Transaction Exemption 2002-41, and is an insurance company which is purchasing such Certificates with funds contained in an “insurance company general account” (as such term is defined in Section V(e) of Prohibited Transaction Class Exemption 95-60 (“PTCE 95-60”) and that the purchase and holding of such Certificates are covered under Section I and III of PTCE 95-60; or (z) shall deliver to the Certificate Registrar an opinion of counsel (a “Benefit Plan Opinion”) satisfactory to the Certificate Registrar, and upon which the Certificate Registrar shall be entitled to rely, to the effect that the purchase or holding of such Certificate by the Transferee will not result in a non-exempt prohibited transaction under Section 406 of ERISA or Section 4975 of the Code and will not subject the Trustee, the Certificate Registrar, the Master Servicer, any Servicer, the Securities Administrator or the Depositor to any obligation in addition to those undertaken by such entities in the Pooling and Servicing Agreement, which opinion of counsel shall not be an expense of the Trustee, the Certificate Registrar, the Master Servicer, the Securities Administrator the Depositor or the Trust.

3.

The Transferee hereby acknowledges that under the terms of the Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”) among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and as Securities Administrator and Deutsche Bank National Trust Company, as Trustee and a Custodian, no transfer of any ERISA-Restricted Certificate in the form of a Definitive Certificate shall be permitted to be made to any person unless the Depositor and Trustee have received a certificate from such transferee in the form hereof.

Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement.

IN WITNESS WHEREOF, the Transferee has executed this certificate.


_________________________________

[Transferee]

By:______________________________

    Name:

    Title:





EXHIBIT I-2

FORM OF ERISA REPRESENTATION

FOR ERISA-RESTRICTED CERTIFICATES

[Date]


Greenwich Capital Acceptance, Inc.

600 Steamboat Road
Greenwich, Connecticut 06830

Wells Fargo Bank, N.A.

Sixth Street and Marquette Avenue

Minneapolis, Minnesota 55479

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7



Re:  HarborView Mortgage Loan Trust 2005-7
Mortgage Loan Pass-Through Certificates,
Series 2005-7, ERISA-Restricted Certificates  



Ladies and Gentlemen:

1.

The undersigned is the ______________________ of _________________ (the “Transferee”), a [corporation duly organized] and existing under the laws of __________, on behalf of which s/he makes this affidavit.

2.

The Transferee either (x) is not an employee benefit plan subject to Section 406 of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”), or a plan or arrangement subject to Section 4975 of the Internal Revenue Code of 1986, as amended (the “Code”) (collectively, a “Plan”) nor a person acting on behalf of any such Plan nor using the assets of any such Plan to effect the transfer; (y) if a Certificate has been the subject of a best efforts or firm commitment underwriting or private placement that meets the requirements of Prohibited Transaction Exemption 2002-41, is an insurance company which is purchasing such Certificates with funds contained in an “insurance company general account” (as such term is defined in Section V(e) of Prohibited Transaction Class Exemption 95-60 (“PTCE 95-60”) and that the purchase and holding of such Certificates are covered under Section I and III of PTCE 95-60; or (z) in the case of a Certificate shall deliver to the Certificate Registrar an opinion of counsel (a “Benefit Plan Opinion”) satisfactory to the Certificate Registrar, and upon which the Certificate Registrar shall be entitled to rely, to the effect that the purchase or holding of such Certificate by the Transferee will not result in a non-exempt prohibited transaction under Section 406 of ERISA or Section 4975 of the Code and will not subject the Trustee, the Certificate Registrar, the Master Servicer, any Servicer, the Securities Administrator or the Depositor to any obligation in addition to those undertaken by such entities in the Pooling and Servicing Agreement, which opinion of counsel shall not be an expense of the Trustee, the Certificate Registrar, the Master Servicer, the Securities Administrator the Depositor or the Trust.

3.

The Transferee hereby acknowledges that under the terms of the Pooling and Servicing Agreement dated as of June 1, 2005 (the “Agreement”) among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and Securities Administrator and Deutsche Bank National Trust Company, as Trustee and a Custodian, no transfer of any ERISA-Restricted Certificate in the form of a Definitive Certificate shall be permitted to be made to any person unless the Depositor and Trustee have received a certificate from such transferee in the form hereof.

Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement.

IN WITNESS WHEREOF, the Transferee has executed this certificate.


_________________________________

[Transferee]

By:______________________________

    Name:

    Title:





EXHIBIT J-1

FORM OF INVESTMENT LETTER [NON-RULE 144A]

[Date]


Greenwich Capital Acceptance, Inc.

600 Steamboat Road
Greenwich, Connecticut 06830

Wells Fargo Bank, N.A.

Sixth Street and Marquette Avenue

Minneapolis, Minnesota 55479

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7

Re:  

HarborView Mortgage Loan Trust 2005-7
Mortgage Loan Pass-Through Certificates, Series 2005-7  


Ladies and Gentlemen:

In connection with our acquisition of the above-captioned Certificates, we certify that (a) we understand that the Certificates are not being registered under the Securities Act of 1933, as amended (the “Act”), or any state securities laws and are being transferred to us in a transaction that is exempt from the registration requirements of the Act and any such laws, (b) we are an “accredited investor,” as defined in Regulation D under the Act, and have such knowledge and experience in financial and business matters that we are capable of evaluating the merits and risks of investments in the Certificates, (c) we have had the opportunity to ask questions of and receive answers from the Depositor concerning the purchase of the Certificates and all matters relating thereto or any additional information deemed necessary to our decision to purchase the Certificates, (d) we are acquiring the Certificates for investment for our own account and not with a view to any distribution of such Certificates (but without prejudice to our right at all times to sell or otherwise dispose of the Certificates in accordance with clause (f) below), (e) we have not offered or sold any Certificates to, or solicited offers to buy any Certificates from, any person, or otherwise approached or negotiated with any person with respect thereto, or taken any other action which would result in a violation of Section 5 of the Act, and (f) we will not sell, transfer or otherwise dispose of any Certificates unless (1) such sale, transfer or other disposition is made pursuant to an effective registration statement under the Act or is exempt from such registration requirements, and if requested, we will at our expense provide an opinion of counsel satisfactory to the addressees of this Certificate that such sale, transfer or other disposition may be made pursuant to an exemption from the Act, (2) the purchaser or transferee of such Certificate has executed and delivered to you a certificate to substantially the same effect as this certificate, and (3) the purchaser or transferee has otherwise complied with any conditions for transfer set forth in the Pooling and Servicing Agreement.

Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement.

Very truly yours,

[NAME OF TRANSFEREE]

By:                                                            

  Authorized Officer





EXHIBIT J-2


FORM OF RULE 144A INVESTMENT LETTER


[Date]

Greenwich Capital Acceptance, Inc.

600 Steamboat Road
Greenwich, Connecticut 06830

Wells Fargo Bank, N.A.

Sixth Street and Marquette Avenue

Minneapolis, Minnesota 55479

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7


Re:  

HarborView Mortgage Loan Trust 2005-7
Mortgage Loan Pass-Through Certificates, Series 2005-7  

Ladies and Gentlemen:

In connection with our acquisition of the above Certificates we certify that (a) we understand that the Certificates are not being registered under the Securities Act of 1933, as amended (the “Act”), or any state securities laws and are being transferred to us in a transaction that is exempt from the registration requirements of the Act and any such laws, (b) we have had the opportunity to ask questions of and receive answers from the Depositor concerning the purchase of the Certificates and all matters relating thereto or any additional information deemed necessary to our decision to purchase the Certificates, (c) we have not, nor has anyone acting on our behalf offered, transferred, pledged, sold or otherwise disposed of the Certificates, any interest in the Certificates or any other similar security to, or solicited any offer to buy or accept a transfer, pledge or other disposition of the Certificates, any interest in the Certificates or any other similar security from, or otherwise approached or negotiated with respect to the Certificates, any interest in the Certificates or any other similar security with, any person in any manner, or made any general solicitation by means of general advertising or in any other manner, or taken any other action, that would constitute a distribution of the Certificates under the Securities Act or that would render the disposition of the Certificates a violation of Section 5 of the Securities Act or require registration pursuant thereto, nor will act, nor has authorized or will authorize any person to act, in such manner with respect to the Certificates, and (d) we are a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act and have completed either of the forms of certification to that effect attached hereto as Annex 1 or Annex 2.  We are aware that the sale to us is being made in reliance on Rule 144A.  We are acquiring the Certificates for our own account or for resale pursuant to Rule 144A and further, understand that such Certificates may be resold, pledged or transferred only (i) to a person reasonably believed to be a qualified institutional buyer that purchases for its own account or for the account of a qualified institutional buyer to whom notice is given that the resale, pledge or transfer is being made in reliance on Rule 144A, or (ii) pursuant to another exemption from registration under the Securities Act.

Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement.

Very truly yours,

[NAME OF TRANSFEREE]


By:                                                            

  Authorized Officer





ANNEX 1 TO EXHIBIT J

QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A

[For Transferees Other Than Registered Investment Companies]

The undersigned (the “Buyer”) hereby certifies as follows to the parties listed in the Rule 144A Transferee Certificate to which this certification relates with respect to the Certificates described therein:

i.

As indicated below, the undersigned is the President, Chief Financial Officer, Senior Vice President or other executive officer of the Buyer.

ii.

In connection with purchases by the Buyer, the Buyer is a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act of 1933, as amended (“Rule 144A”) because (i) the Buyer owned and/or invested on a discretionary basis $            1 in securities (except for the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year (such amount being calculated in accordance with Rule 144A and (ii) the Buyer satisfies the criteria in the category marked below.

___

Corporation, etc.  The Buyer is a corporation (other than a bank, savings and loan association or similar institution), Massachusetts or similar business trust, partnership, or charitable organization described in Section 501(c)(3) of the Internal Revenue Code of 1986, as amended.

___

Bank.  The Buyer (a) is a national bank or banking institution organized under the laws of any State, territory or the District of Columbia, the business of which is substantially confined to banking and is supervised by the State or territorial banking commission or similar official or is a foreign bank or equivalent institution, and (b) has an audited net worth of at least $25,000,000 as demonstrated in its latest annual financial statements, a copy of which is attached hereto.

___

Savings and Loan.  The Buyer (a) is a savings and loan association, building and loan association, cooperative bank, homestead association or similar institution, which is supervised and examined by a State or Federal authority having supervision over any such institutions or is a foreign savings and loan association or equivalent institution and (b) has an audited net worth of at least $25,000,000 as demonstrated in its latest annual financial statements, a copy of which is attached hereto.

___

Broker-dealer.  The Buyer is a dealer registered pursuant to Section 15 of the Securities Exchange Act of 1934.

___

Insurance Company.  The Buyer is an insurance company whose primary and predominant business activity is the writing of insurance or the reinsuring of risks underwritten by insurance companies and which is subject to supervision by the insurance commissioner or a similar official or agency of a State, territory or the District of Columbia.

___

State or Local Plan.  The Buyer is a plan established and maintained by a State, its political subdivisions, or any agency or instrumentality of the State or its political subdivisions, for the benefit of its employees.

___

ERISA Plan.  The Buyer is an employee benefit plan within the meaning of Title I of the Employee Retirement Income Security Act of 1974.

___

Investment Advisor.  The Buyer is an investment advisor registered under the Investment Advisors Act of 1940.

___

Small Business Investment Company.  Buyer is a small business investment company licensed by the U.S. Small Business Administration under Section 301(c) or (d) of the Small Business Investment Act of 1958.

___

Business Development Company.  Buyer is a business development company as defined in Section 202(a)(22) of the Investment Advisors Act of 1940.

iii.

The term “securities” as used herein does not include (i) securities of issuers that are affiliated with the Buyer, (ii) securities that are part of an unsold allotment to or subscription by the Buyer, if the Buyer is a dealer, (iii) securities issued or guaranteed by the U.S. or any instrumentality thereof, (iv) bank deposit notes and certificates of deposit, (v) loan participations, (vi) repurchase agreements, (vii) securities owned but subject to a repurchase agreement and (viii) currency, interest rate and commodity swaps.

iv.

For purposes of determining the aggregate amount of securities owned and/or invested on a discretionary basis by the Buyer, the Buyer used the cost of such securities to the Buyer and did not include any of the securities referred to in the preceding paragraph, except (i) where the Buyer reports its securities holdings in its financial statements on the basis of their market value, and (ii) no current information with respect to the cost of those securities has been published.  If clause (ii) in the preceding sentence applies, the securities may be valued at market.  Further, in determining such aggregate amount, the Buyer may have included securities owned by subsidiaries of the Buyer, but only if such subsidiaries are consolidated with the Buyer in its financial statements prepared in accordance with generally accepted accounting principles and if the investments of such subsidiaries are managed under the Buyer’s direction.  However, such securities were not included if the Buyer is a majority-owned, consolidated subsidiary of another enterprise and the Buyer is not itself a reporting company under the Securities Exchange Act of 1934, as amended.

v.

The Buyer acknowledges that it is familiar with Rule 144A and understands that the seller to it and other parties related to the Certificates are relying and will continue to rely on the statements made herein because one or more sales to the Buyer may be in reliance on Rule 144A.

vi.

Until the date of purchase of the Rule 144A Securities, the Buyer will notify each of the parties to which this certification is made of any changes in the information and conclusions herein.  Until such notice is given, the Buyer’s purchase of the Certificates will constitute a reaffirmation of this certification as of the date of such purchase.  In addition, if the Buyer is a bank or savings and loan is provided above, the Buyer agrees that it will furnish to such parties updated annual financial statements promptly after they become available.

                                                           

Print Name of Buyer

By:                                                       

   Name:

   Title:

Date:                                                     




____________________________

1

Buyer must own and/or invest on a discretionary basis at least $100,000,000 in securities unless Buyer is a dealer, and, in that case, Buyer must own and/or invest on a discretionary basis at least $10,000,000 in securities.


ANNEX 2 TO EXHIBIT J

QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A

[For Transferees That are Registered Investment Companies]

The undersigned (the “Buyer”) hereby certifies as follows to the parties listed in the Rule 144A Transferee Certificate to which this certification relates with respect to the Certificates described therein:

1.

As indicated below, the undersigned is the President, Chief Financial Officer or Senior Vice President of the Buyer or, if the Buyer is a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act of 1933, as amended (“Rule 144A”) because Buyer is part of a Family of Investment Companies (as defined below), is such an officer of the Adviser.

2.

In connection with purchases by Buyer, the Buyer is a “qualified institutional buyer” as defined in SEC Rule 144A because (i) the Buyer is an investment company registered under the Investment Company Act of 1940, as amended and (ii) as marked below, the Buyer alone, or the Buyer’s Family of Investment Companies, owned at least $100,000,000 in securities (other than the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year.  For purposes of determining the amount of securities owned by the Buyer or the Buyer’s Family of Investment Companies, the cost of such securities was used, except (i) where the Buyer or the Buyer’s Family of Investment Companies reports its securities holdings in its financial statements on the basis of their market value, and (ii) no current information with respect to the cost of those securities has been published.  If clause (ii) in the preceding sentence applies, the securities may be valued at market.

___

The Buyer owned $             in securities (other than the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year (such amount being calculated in accordance with Rule 144A).

___

The Buyer is part of a Family of Investment Companies which owned in the aggregate $          in securities (other than the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year (such amount being calculated in accordance with Rule 144A).

3.

The term “Family of Investment Companies” as used herein means two or more registered investment companies (or series thereof) that have the same investment adviser or investment advisers that are affiliated (by virtue of being majority owned subsidiaries of the same parent or because one investment adviser is a majority owned subsidiary of the other).

4.

The term “securities” as used herein does not include (i) securities of issuers that are affiliated with the Buyer or are part of the Buyer’s Family of Investment Companies, (ii) securities issued or guaranteed by the U.S. or any instrumentality thereof, (iii) bank deposit notes and certificates of deposit, (iv) loan participations, (v) repurchase agreements, (vi) securities owned but subject to a repurchase agreement and (vii) currency, interest rate and commodity swaps.

5.

The Buyer is familiar with Rule 144A and understands that the parties listed in the Rule 144A Transferee Certificate to which this certification relates are relying and will continue to rely on the statements made herein because one or more sales to the Buyer will be in reliance on Rule 144A.  In addition, the Buyer will only purchase for the Buyer’s own account.

6.

Until the date of purchase of the Certificates, the undersigned will notify the parties listed in the Rule 144A Transferee Certificate to which this certification relates of any changes in the information and conclusions herein.  Until such notice is given, the Buyer’s purchase of the Certificates will constitute a reaffirmation of this certification by the undersigned as of the date of such purchase.

                                                                  

Print Name of Buyer or Adviser

By:                                                            

   Name:

   Title:

IF AN ADVISER:

                                                                

Print Name of Buyer

Date:                                                         







EXHIBIT K

FORM OF TRANSFEROR CERTIFICATE

[Date]

Wells Fargo Bank, N.A.

Sixth Street and Marquette Avenue

Minneapolis, Minnesota 55479

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7


Deutsche Bank National Trust Company
1761 E. St. Andrew Place
Santa Ana, California 92705


Re:  

HarborView Mortgage Loan Trust 2005-7 Mortgage
Loan Pass-Through Certificates, Series 2005-7, Class [A-R] [A-R-II] 


Ladies and Gentlemen:

In connection with our proposed transfer of an Ownership Interest in the Class [A-R] [A-R-II] Certificate, we hereby certify that (a) we have no knowledge that the proposed Transferee is not a Permitted Transferee acquiring an Ownership Interest in such Class [A-R] [A-R-II]  Certificate for its own account and not in a capacity as trustee, nominee, or agent for another Person, and (b) we have not undertaken the proposed transfer in whole or in part to impede the assessment or collection of tax.

Very truly yours,

[_____________________]

By:  ______________________________







EXHIBIT L

TRANSFER AFFIDAVIT FOR RESIDUAL CERTIFICATE

PURSUANT TO SECTION 6.02(e)

HARBORVIEW MORTGAGE LOAN TRUST 2005-7

MORTGAGE LOAN PASS-THROUGH CERTIFICATES, SERIES 2005-7, CLASS [A-R] [A-R-II]



STATE OF

)

 
 

)

ss:

COUNTY OF

)

 


The undersigned, being first duly sworn, deposes and says as follows:

1.

The undersigned is an officer of ______________________, the proposed Transferee of a 100% Ownership Interest in the Class [A-R] [A-R-II]  Certificate (the “Certificate”) issued pursuant to the Pooling and Servicing Agreement, (the “Agreement”) dated as of June 1, 2005, relating to the above-referenced Certificates, among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and as Securities Administrator and Deutsche Bank National Trust Company, as Trustee and a Custodian.  Capitalized terms used, but not defined herein, shall have the meanings ascribed to such terms in the Agreement.  The Transferee has authorized the undersigned to make this affidavit on behalf of the Transferee.

2.

The Transferee is, as of the date hereof, and will be, as of the date of the Transfer, a Permitted Transferee.  The Transferee is acquiring its Ownership Interest for its own account and not in a capacity as trustee, nominee or agent for another party.

3.

The Transferee has been advised of, and understands that (i) a tax will be imposed on Transfers of the Certificate to Persons that are not Permitted Transferees; (ii) such tax will be imposed on the transferor, or, if such Transfer is through an agent (which includes a broker, nominee or middleman) for a Person that is not a Permitted Transferee, on the agent; and (iii) the Person otherwise liable for the tax shall be relieved of liability for the tax if the subsequent Transferee furnished to such Person an affidavit that such subsequent Transferee is a Permitted Transferee and, at the time of Transfer, such Person does not have actual knowledge that the affidavit is false.  The Transferee has provided financial statements or other financial information requested by the Transferor in connection with the transfer of the Certificate to permit the Transferor to assess the financial capability of the Transferee to pay such taxes.

4.

The Transferee has been advised of, and understands that a tax may be imposed on a “pass-through entity” holding the Certificate if, at any time during the taxable year of the pass-through entity, a Disqualified Organization is the record holder of an interest in such entity.  The Transferee understands that such tax will not be imposed for any period with respect to which the record holder furnishes to the pass-through entity an affidavit that such record holder is not a Disqualified Organization and the pass-through entity does not have actual knowledge that such affidavit is false.  (For this purpose, a “pass-through entity” includes a regulated investment company, a real estate investment trust or common trust fund, a partnership, trust or estate, and certain cooperatives and, except as may be provided in Treasury Regulations, persons holding interests in pass-through entities as a nominee for another Person.)

5.

The Transferee has reviewed the provisions of Section 6.02(e) of the Agreement and understands the legal consequences of the acquisition of an Ownership Interest in the Certificate including, without limitation, the restrictions on subsequent Transfers and the provisions regarding voiding the Transfer and mandatory sales.  The Transferee expressly agrees to be bound by and to abide by the provisions of Section 6.02(e) of the Agreement and the restrictions noted on the face of the Certificate.  The Transferee understands and agrees that any breach of any of the representations included herein shall render the Transfer to the Transferee contemplated hereby null and void.

6.

The Transferee agrees to require a Transfer Affidavit from any Person to whom the Transferee attempts to Transfer its Ownership Interest in the Certificate, and the Transferee will not Transfer its Ownership Interest or cause any Ownership Interest to be Transferred to any Person that the Transferee knows is not a Permitted Transferee.  In connection with any such Transfer by the Transferee, the Transferee agrees to deliver to the Trustee a certificate substantially in the form set forth as Exhibit K to the Agreement (a “Transferor Certificate”).

7.

The Transferee does not have the intention to impede the assessment or collection of any tax legally required to be paid with respect to the Certificate.

8.

The Transferee’s taxpayer identification number is             .

9.

The Transferee is aware that the Certificate may be a “noneconomic residual interest” within the meaning of the REMIC provisions and that the transferor of a noneconomic residual interest will remain liable for any taxes due with respect to the income on such residual interest, unless no significant purpose of the transfer was to impede the assessment or collection of tax.


IN WITNESS WHEREOF, the Transferee has caused this instrument to be executed on its behalf, pursuant to authority of its Board of Directors, by its duly authorized officer and its corporate seal to be hereunto affixed, duly attested, this       day of                   , 20  .

[NAME OF TRANSFEREE]

By:                                                            

   Name:

   Title:

[Corporate Seal]

ATTEST:

                           

[Assistant] Secretary

Personally appeared before me the above-named              ______, known or proved to me to be the same person who executed the foregoing instrument and to be the                      of the Transferee, and acknowledged that he executed the same as his free act and deed and the free act and deed of the Transferee.

Subscribed and sworn before me this       day of          , 20  .




                                                         

NOTARY PUBLIC

My Commission expires the      day of                 , 20  .






EXHIBIT M

LIST OF SERVICERS AND SERVICING AGREEMENTS

1.

Master Mortgage Loan Purchase and Servicing Agreement, dated as of April 1, 2003, as amended by the amendment dated November 1, 2004, between GCFP, as owner and Countrywide Home Loans, Inc. (“Countrywide”), as servicer, as reconstituted pursuant to a Reconstituted Servicing Agreement, dated as of June 1, 2005, between GCFP and Countrywide, and acknowledged by Deutsche Bank National Truste Company as trustee and Wells Fargo Bank, N.A. as master servicer.

2.

Master Interim Servicing Agreement, dated as of March 26, 2003, between Greenwich Capital Financial Products, Inc. and GMAC Mortgage Corporation, as servicer, as reconstituted pursuant to a Reconstituted Servicing Agreement, dated as of June 1, 2005, between GCFP and GMAC, and acknowledged by Deutsche Bank National Trust Company, as trustee and Wells Fargo Bank, N.A., as master servicer.



EXHIBIT N-1



FORM OF TRANSFER CERTIFICATE

FOR TRANSFER FROM RESTRICTED GLOBAL SECURITY

TO REGULATION S GLOBAL SECURITY

(Transfers pursuant to §§ 6.02 (f) (ii)

                       of the Pooling and Servicing Agreement)                            

Wells Fargo Bank, N.A.

Sixth Street and Marquette Avenue

Minneapolis, Minnesota 55479

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7


Deutsche Bank National Trust Company
1761 E. St. Andrew Place
Santa Ana, California 92705

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7

Re:

HarborView Mortgage Loan Trust 2005-7
Mortgage Loan Pass-Through Certificates, Series 2005-7

Reference is hereby made to the Pooling and Servicing Agreement dated as of June 1, 2005  (the “Pooling and Servicing Agreement”) relating to the above referenced certificates, among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and as Securities Administrator and Deutsche Bank National Trust Company, as Trustee and a Custodian.  Capitalized terms used but not defined herein shall have the meanings given them in the Pooling and Servicing Agreement.

This letter relates to U.S. $____________________________ aggregate principal amount of Securities which are held in the form of a Restricted Global Security with the Depository in the name of [name of transferor] ___________________________________ (the “Transferor”) to effect the transfer of the Securities in exchange for an equivalent beneficial interest in a Regulation S Global Security.

In connection with such request, the Transferor does hereby certify that such transfer has been effected in accordance with the transfer restrictions set forth in the Pooling and Servicing Agreement and the private placement memorandum dated June 30, 2005, relating to the Securities and in accordance with Rule 904 of Regulation S, and that:

a.

the offer of the Securities was not made to a person in the United States;

b.

at the time the buy order was originated, the transferee was outside the United States or the Transferor and any person acting on its behalf reasonably believed that the transferee was outside the United States;

c.

no directed selling efforts have been made in contravention of the requirements of Rule 903 or 904 of Regulation S, as applicable;

d.

the transaction is not part of a plan or scheme to evade the registration requirements of the United States Securities Act of 1933, as amended (the “Securities Act”); and

e.

the transferee is not a U.S. Person.

You and the Depositor are entitled to rely upon this letter and are irrevocably authorized to produce this letter or a copy hereof to any interested party in any administrative or legal proceedings or official inquiry with respect to the matters covered hereby.  Terms used in this certificate have the meanings set forth in Regulation S.




                                                             

[Name of Transferor]



By:                                                         

Name:

       Title:

Date:                                   ,       






EXHIBIT N-2

FORM OF TRANSFER CERTIFICATE FOR TRANSFER

FROM REGULATION S GLOBAL SECURITY

TO RESTRICTED GLOBAL SECURITY

(Transfers pursuant to §§ 6.02 (f) (iii)

                          of the Pooling and Servicing Agreement)                          

Wells Fargo Bank, N.A.

Sixth Street and Marquette Avenue

Minneapolis, Minnesota 55479

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7


Deutsche Bank National Trust Company
1761 E. St. Andrew Place
Santa Ana, California 92705

Attention: Corporate Trust, HarborView Mortgage Loan Trust 2005-7

Re:

HarborView Mortgage Loan Trust 2005-7
Mortgage Loan Pass-Through Certificates, Series 2005-7

Reference is hereby made to the Pooling and Servicing Agreement dated as of June 1, 2005  (the “Pooling and Servicing Agreement”) relating to the above referenced certificates, among Greenwich Capital Acceptance, Inc., as Depositor, Greenwich Capital Financial Products, Inc., as Seller, Wells Fargo Bank, N.A., as Master Servicer and as Securities Administrator and Deutsche Bank National Trust Company, as Trustee and a Custodian.  Capitalized terms used but not defined herein shall have the meanings given them in the Pooling and Servicing Agreement.

This letter relates to U.S. $____________________________ aggregate principal amount of Securities which are held in the form of a Regulations S Global Security in the name of [name of transferor] ___________________________________ (the “Transferor”) to effect the transfer of the Securities in exchange for an equivalent beneficial interest in a Restricted Global Security.

In connection with such request, and in respect of such Securities, the Transferor does hereby certify that such Securities are being transferred in accordance with (i) the transfer restrictions set forth in the Pooling and Servicing Agreement and the private placement memorandum dated June 30, 2005, relating to the Securities and (ii) Rule 144A under the United States Securities Act of 1933, as amended, to a transferee that the Transferor reasonably believes is purchasing the Securities for its own account or an account with respect to which the transferee exercises sole investment discretion, the transferee or any such account is a qualified institutional buyer within the meaning of Rule 144A, in a transaction meeting the requirements of Rule 144A and in accordance with any applicable securities laws of any state of the United States or any other jurisdiction.

                                                             

[Name of Transferor]


By:                                                        

Name:

Title:

Date:                             ,                                






SCHEDULE I

MORTGAGE LOAN SCHEDULE


loan num

Name

zip

occupancy

property type

IO flag

Orig Term

rem term

09504164

TIMOTHY TIMOTHY

98513

Primary

Single Family

N

360

360

09504384

ERIK ERIK

98031

Primary

Single Family

N

360

360

1000074693

WELCH

45177

Primary

Single Family

N

360

359

1000076604

CALDERON

85239

Primary

PUD

N

360

359

1000078063

WENGERT

85297

Primary

PUD

N

360

359

1000078302

LEWANDOWSKI

44023

Primary

Single Family

N

360

359

1000078324

MEYER

45241

Primary

PUD

N

360

359

1000078498

CORBIN

45177

Primary

Single Family

N

360

359

1000078759

POWERS

95835

Primary

Single Family

N

360

360

1000078760

Meza

94806

Primary

Single Family

N

360

360

1000078770

RINEHART

43081

Primary

Single Family

N

360

360

1000078975

HESTER

95307

Primary

Single Family

N

360

359

1000079265

LOWTHER

89440

Primary

Single Family

N

360

359

1000079281

MORTON

85225

Primary

PUD

N

360

360

1000079296

CONNOR

92570

Primary

Single Family

N

360

360

1000079311

KENERY

95136

Primary

Single Family

N

360

360

1000079342

SCHAEFER

93036

Primary

PUD

N

360

360

1000079371

KELSCH

93722

Primary

Single Family

N

360

359

1000079463

Vrecek

96140

Primary

Single Family

N

360

359

1000079499

BRUNICK

85212

Primary

PUD

N

360

360

1000079501

SALAZAR

91340

Primary

Single Family

N

360

359

1000079546

CLEARWATER

95758

Primary

Single Family

N

360

360

1000079624

ATKINS

89506

Primary

PUD

N

360

360

1000079689

TAYLOR

94561

Primary

Single Family

N

360

360

1000079716

COOK

89503

Primary

Single Family

N

360

359

1000079795

BOYD

94533

Primary

Single Family

N

360

360

1000079830

CRITES

89503

Primary

Single Family

N

360

360

100020042

ELIZABETH TURNER

19464

Investor

4 Units

N

360

359

100024250

BILL GARNER

48302

Primary

Single Family

N

360

360

100027587

DAVID L VETTESE

48044

Primary

Single Family

N

360

359

100032939

MOHAMMAD E MOHEBBI

89012

Primary

PUD

N

360

359

100036588

RAFAEL CUEVAS JR.

95380

Primary

Single Family

N

360

360

100060407

ALICE B MENES

92395

Primary

Single Family

N

360

360

100061199

RONALD MINICH

92262

Primary

Single Family

N

360

360

100072176

KAREN H HIPPEL

19020

Primary

Single Family

N

360

360

100073568

ROBERT E HALL

83687

Investor

PUD

N

360

359

100107846

PAUL B HOY

18974

Primary

Single Family

N

360

360

100108095

SUSAN DEBICKI

92028

Primary

Single Family

N

360

360

100108151

MANUEL J MARTINEZ

92057

Primary

Single Family

N

360

360

100108961

KATHLEEN N CARTER

32317

Primary

PUD

N

360

360

100110192

RICHARD L SHIRVANIAN

7740

Primary

Single Family

N

360

360

100111995

DAVID MACMILLAN

2125

Investor

3 Units

N

360

360

100112974

STEVEN E KANNEY

60504

Investor

PUD

N

360

360

100122243

MATTHEW M HEXUM

36542

Second Home

Condominium

N

360

360

100128389

MAY LEE

53225

Primary

2 Units

N

360

360

100140686

JOE H HOLLOWAY

90047

Primary

Single Family

N

360

360

100147695

HERMAN KATER

91709

Investor

PUD

N

360

360

100150143

WILLIAM P RICE

97030

Primary

Single Family

N

360

360

100150887

YOLANDA PRIETO

33183

Second Home

PUD

N

360

359

100153991

CLAUDIO BENITEZ

33141

Primary

Condominium

N

360

360

100156784

CHRISTOPHER FREDRICKSON

89139

Primary

PUD

N

360

360

100167089

SEEMEE CHAN

33065

Primary

Single Family

N

360

359

100168161

ROBERT E HALL

83687

Investor

PUD

N

360

359

100170489

HARRISON L MADISON

30296

Primary

Single Family

N

360

360

100176346

RUSSELL LEE CHAN

91402

Primary

Single Family

N

360

359

100181131

EDWARD KENNE MYERS

94303

Primary

Single Family

N

360

360

100181291

ERIK ANDERSON

59917

Primary

Single Family

N

360

360

100187028

PAULO R GEISS

29401

Primary

Single Family

N

360

360

100187564

CHRISTOPHER M EDWARDS

44060

Primary

Single Family

N

360

359

100195349

CLIFFORD D CAPERS

89146

Primary

Single Family

N

360

360

100197493

RICHARD A FUERST

54017

Investor

Single Family

N

360

359

100197669

RICHARD A FUERST

54017

Investor

Single Family

N

360

359

100199325

FILEMON V OCHOA

95148

Primary

Single Family

N

360

360

100200045

SHEILA RENEE PEACOCK

28227

Investor

Condominium

N

360

359

100203910

PAUL COOK

80487

Primary

Single Family

N

360

360

100207318

RONALD E DUKE

48170

Primary

Single Family

N

360

360

100210279

PRENG PERGJOKA

6401

Primary

2 Units

N

360

359

100228794

DERON M STIDMAN

92592

Primary

Single Family

N

360

360

100231253

RENAE M DUNN

95834

Investor

Single Family

N

360

360

100241574

MIGUEL DEMENJON

7206

Investor

2 Units

N

360

360

100247421

MICHAEL S CRUZADO

89139

Primary

Single Family

N

360

360

100248277

FERNANDO AGTARAP CAGAOAN

96706

Primary

Single Family

N

360

360

100252573

HASINA A KOLI

8401

Primary

Condominium

N

360

360

100256262

CARLOS EDUAR D FONSECA PALMIER

33160

Second Home

Condominium

N

360

360

100259574

JOHN J MELCHIN

2170

Primary

Single Family

N

360

360

100263895

CYNTHIA FAYE BELANT-SPECK

92027

Primary

Single Family

N

360

360

100264079

RUMALDO URIETA

93905

Primary

Single Family

N

360

360

100276472

MESHACK MWEBI

55024

Primary

Single Family

N

360

360

100285923

ROBERT J NARDONE

95020

Primary

PUD

N

360

360

100296243

MANUEL CANO

78240

Second Home

Single Family

N

360

360

100309635

RICHARD H MEEK

32250

Investor

Condominium

N

360

360

100312646

EDWIN RUANO

95660

Investor

Single Family

N

360

360

100336005

ELDREDGE L DURHAM II

48307

Primary

Condominium

N

360

360

100336037

KAREN L FREEMAN

45686

Primary

Single Family

N

360

360

100343277

SUSAN SANDEG RAINVILLE

96814

Primary

Condominium

N

360

360

100348394

BRUCE TIPPIN

48329

Primary

Single Family

N

360

360

100352619

DANIEL TORQUEMADA

95492

Investor

Single Family

N

360

359

100353611

NAJI BEBA

48310

Primary

Single Family

N

360

359

100355179

JEFFREY LYNCH

33511

Primary

Single Family

N

360

360

100357091

ALVARO RUIZ

33029

Primary

PUD

N

360

360

100357675

WILLIAM CHRI WIGEN

96740

Primary

Single Family

N

360

359

100361188

GAYLA E WILSON

95380

Primary

Single Family

N

360

360

100362196

ADAM CARRASCO

92308

Primary

Single Family

N

360

360

100390643

BRANDON W COLE

60171

Investor

Single Family

N

360

360

100392170

JUBEEN VAGHEFI

33137

Investor

Single Family

N

360

360

100437318

HERIBERTO MARTINEZ JR

93041

Investor

2 Units

N

360

360

100448092

ROBERT D COLLINS

94511

Second Home

Single Family

N

360

360

100469403

TODD C ESCANO

89521

Primary

Condominium

N

360

360

100477171

EUGENE LERNER

32563

Investor

Single Family

N

360

360

100484559

ANTONIO FAZZALARI

34761

Primary

PUD

N

360

360

100487638

WADE KEITH GIBSON

95340

Primary

Single Family

N

360

360

100490524

JAMES RAYMON DUNN

86442

Primary

Single Family

N

360

360

100496989

JOHN V DAO

92604

Primary

Single Family

N

360

360

100502145

RONALD BOGGS

95648

Primary

PUD

N

360

360

100504864

RICHARD L GILREATH

56071

Primary

Single Family

N

360

360

100506147

HONG HUANG

33180

Investor

Condominium

N

360

360

100516040

COMFORT UKAEGBU

8854

Primary

Single Family

N

360

360

100526756

THOMAS E LENKMAN

63304

Primary

Single Family

N

360

360

100532397

YONG M DONE

23606

Primary

PUD

N

360

360

100534881

DONALD E OSBORNE

92647

Investor

Single Family

N

360

360

100547547

CARL B OLSON

83864

Investor

Single Family

N

360

360

100550483

BOK LIM KIM

90019

Primary

4 Units

N

360

360

100561221

DEBRA A STOCKDALE

36109

Investor

Single Family

N

360

360

100564756

KARL W MILLER

30228

Primary

PUD

N

360

360

100576073

MATTHEW A LANNING

92253

Investor

Single Family

N

360

360

100576153

ANDRES C JUAREZ

92026

Primary

Single Family

N

360

360

100576193

ALEXANDRA ORTIZ

92026

Investor

Single Family

N

360

360

100580175

PATRICK G TINNEY

94019

Primary

Single Family

N

360

360

100583103

MICHAEL LONG

89015

Primary

Single Family

N

360

360

100585509

STEVEN J MARTIN

95206

Primary

Single Family

N

360

360

100591600

ROSA M PERALTA

95382

Investor

Single Family

N

360

360

100611139

DAVID E MC COLLISTER

93505

Investor

Single Family

N

360

360

100614795

ANGELA K CAMPELLONE

34236

Primary

Single Family

N

360

360

100621860

RICHARD HOYT

92211

Primary

Single Family

N

360

360

100643737

GEORGE C METCALFE

29403

Second Home

Single Family

N

360

360

100649052

BILL SHELY

40475

Investor

Single Family

N

360

359

100659222

MARIA ISABEL MONTALVO

20152

Primary

PUD

N

360

360

100666375

TODD S PHILCOX

32082

Primary

PUD

N

360

360

100679928

RUSSELL S ABERNATHY

30248

Primary

Single Family

N

360

360

100684337

ANDREAS KALLINIKOS

92008

Second Home

PUD

N

360

360

100684385

GEORGE WITHEROW

92596

Primary

PUD

N

360

360

100686102

BRENDA RAMIREZ

92505

Primary

Single Family

N

360

360

100686222

MARIA JUAREZ

92404

Primary

Single Family

N

360

360

100755043

KATRZYNA K DYGAS

60611

Primary

Condominium

N

360

360

100762967

RALPH HAHN

85225

Second Home

PUD

N

360

360

100763191

RALPH HAHN

85202

Investor

PUD

N

360

360

100765865

JORGE J CANN

92337

Primary

Single Family

N

360

360

100768968

JAMES C HIGHTOWER

92571

Primary

Single Family

N

360

360

100803491

RICHARD J PANKRAT

1748

Primary

Single Family

N

360

360

100805338

GELENE M STANTON

60653

Primary

Single Family

N

360

360

100818856

OSCAR LLORD

33143

Primary

Single Family

N

360

360

100829715

ARLENE B ROSENBERG

2072

Primary

Single Family

N

360

360

100846940

LOUIS DAHARB

80220

Investor

Single Family

N

360

360

100847569

LEON J COOPERSMITH

93933

Primary

Single Family

N

360

360

100849516

DANNY W MAY

40511

Investor

Single Family

N

360

360

100850604

FABRIZIO GUERRA

92119

Primary

Single Family

N

360

360

100852086

STEPHEN M BURKE

87124

Investor

Single Family

N

360

359

100852638

NORA W PIERCE

87109

Primary

PUD

N

360

360

100890815

ANJANETTE M DAVENPORT

48235

Primary

Single Family

N

360

360

100907659

ANDRZEJ POWROZNIK

60618

Primary

Condominium

N

360

360

100930495

MARC KAYE

60148

Primary

Single Family

N

360

360

100932906

MICHAEL NUBLA

89148

Second Home

PUD

N

360

360

100939598

ADAM B DENTON

40208

Investor

2 Units

N

360

360

100941000

MASSAIUKI KUMAGAI

32836

Primary

Single Family

N

360

360

100946153

MARK PICKETT

92057

Primary

PUD

N

360

360

100948221

GREG ROGERS

21628

Primary

Single Family

N

360

360

100952863

MARK BOLTON

92056

Primary

Single Family

N

360

360

100956092

REY ANGEL AGUILERA

95307

Primary

Single Family

N

360

360

100959069

JULIE GREIF

90501

Primary

4 Units

N

360

360

100959912

NIKOLAS SLESAR

92832

Primary

Single Family

N

360

360

100975229

EVANGELINE M ALOTA

85239

Second Home

PUD

N

360

360

100977438

EMILIO BRANCHINELLI

33432

Second Home

Condominium

N

360

360

100980110

DANIEL JIMENEZ

7059

Primary

Single Family

N

360

360

100983391

CARLOS CARMONA

89081

Investor

PUD

N

360

360

100983559

JAMES CAPOBIANCO

7458

Primary

Single Family

N

360

360

100985167

JOEL J WEBER

80904

Primary

2 Units

N

360

360

100985775

AJAY LAKHAN

60193

Primary

Single Family

N

360

360

100987007

JERRY L OLIVER

37302

Primary

Single Family

N

360

360

100999681

MICHAEL J FRANTI

94124

Primary

Single Family

N

360

360

101001297

MARIA M PEINADO

89156

Primary

Single Family

N

360

360

101003881

PAMELA M WALTER

33062

Primary

PUD

N

360

360

101005601

EDWIN MARTINEZ

34758

Primary

PUD

N

360

360

101009714

RAYMOND NATH JACKSON

96706

Second Home

PUD

N

360

360

101014298

HUGO VENCES

95004

Primary

Single Family

N

360

360

101015595

SEGUNDO CALIBUSO YADAO

96761

Primary

Single Family

N

360

360

101017443

LUCIENNE IBRAHIM

33019

Second Home

Condominium

N

360

360

101019195

MARK A KURPIL

34996

Primary

Single Family

N

360

360

101020835

HAYKUHI TATEVOSIAN

89148

Primary

PUD

N

360

360

101021107

AMBROSE FERNANDEZ

20105

Primary

PUD

N

360

360

101022011

MATTHEW LIGHTFOOT

96150

Investor

2 Units

N

360

360

101022451

RAPHAEL E LEYVA

33172

Investor

Condominium

N

360

360

101023083

DOUGLAS K BERGERON

81615

Second Home

Condominium

N

360

360

101026044

THOMAS C AMICO

27407

Primary

PUD

N

360

360

101030468

JOSE FRANCISCO DUART

33131

Primary

Condominium

N

360

360

101035485

MAURA DE LA CERNA

95993

Investor

Single Family

N

360

360

101036613

CARLOS O SEIXAS

33183

Investor

Condominium

N

360

360

101039238

LYNN FALLON

32164

Primary

Single Family

N

360

360

101041510

ORLANDO G WOOLFORK

53216

Primary

Single Family

N

360

360

101044374

ANTHONY VAZ

33487

Primary

Single Family

N

360

360

101045862

BRIAN BIRD

80005

Primary

PUD

N

360

360

101047839

MICHELLE H WELLS

45207

Investor

2 Units

N

360

360

101069935

MIA MANSFIELD

23693

Primary

PUD

N

360

360

101071388

AMY C CZERWINSKI

37075

Investor

Single Family

N

360

360

101074497

PATRICK J SCHUETTE

23322

Primary

PUD

N

360

360

101098039

AUDREY GARY

60617

Primary

Single Family

N

360

360

101110301

JUDITH A PATTON

93436

Primary

Single Family

N

360

360

101115581

VIRENDRA PRASAD

97123

Primary

Single Family

N

360

360

101116829

STEVEN D SPURLOCK

40212

Investor

Single Family

N

360

359

101118430

CHRISTOPHER IZZARD CHEN

96814

Investor

2 Units

N

360

360

101118518

NELSON GENJI OYADOMARI

96797

Investor

Condominium

N

360

360

101119846

MOHAMMED S ISLAM

8406

Primary

2 Units

N

360

360

101128231

KAREN L BASSETT

95993

Investor

Single Family

N

360

360

101132919

LUIS RODRIGUEZ-TORRE

34746

Primary

PUD

N

360

360

101133563

GINO VALENTIN

21163

Primary

PUD

N

360

360

101138838

MARUP AHMED

19149

Primary

Single Family

N

360

360

101141015

LAURIE A MOUSSEAU

49707

Primary

Single Family

N

360

360

101142347

MICHAEL A SANCHEZ

80808

Investor

Single Family

N

360

360

101148669

ERIN E CELELLO

53703

Primary

Condominium

N

360

360

101158885

KENNETH BELL

95014

Primary

Single Family

N

360

360

101166020

PHILIP H MORGAN

94565

Primary

Single Family

N

360

360

101166212

STEPHANIE HUYNH

95206

Primary

Single Family

N

360

360

101188657

JOHN R MCDOUGALL

27519

Primary

PUD

N

360

360

101191177

WILLIAM M LETSON JR

34292

Primary

PUD

N

360

360

101195858

MICHAEL WALLER

89147

Investor

Single Family

N

360

360

101203387

STEVEN M LINDEMAN

98685

Primary

Single Family

N

360

360

101221459

LUZ A RESTREPO

91710

Primary

Single Family

N

360

360

101227847

DANTE R CAPRIOTTI III

22939

Primary

PUD

N

360

360

101228459

GIUSEPPE INTILI

7662

Primary

Single Family

N

360

360

101261359

BALTAZAR GALINDEZ

92026

Primary

Single Family

N

360

360

101287736

JENNIFER LUISTRO-PRING

8817

Primary

Single Family

N

360

360

101289560

WILLIAM D CASSIDY

48307

Primary

Single Family

N

360

360

101291011

THEODORE R TORRES

94015

Primary

Single Family

N

360

360

101291203

PAMELA HANSEN

94124

Primary

Single Family

N

360

360

101291499

ANABELLA FERNANDEZ

94066

Primary

Single Family

N

360

360

101291523

PHYLLIS BROWN

95051

Primary

Single Family

N

360

360

101292477

THUY B PHAM

85236

Investor

PUD

N

360

360

101302440

JAMES C ECONOMY

60618

Investor

2 Units

N

360

360

101304672

IRMA G GUDIEL

95122

Primary

Single Family

N

360

360

101310105

PETER R STERLING

77004

Investor

2 Units

N

360

360

101314674

MICHAEL A GRANT

30253

Primary

Single Family

N

360

360

101315674

LYNNE KORTENHAUS

2129

Primary

Single Family

N

360

360

101315762

STEVEN F GLENDENNING

80907

Investor

Single Family

N

360

360

101319522

KUM SOK KIM

19120

Primary

Single Family

N

360

360

101334227

RODNEY SCHAFFNER

78664

Investor

Single Family

N

360

360

101334235

SANDRA SCHAFFNER

78660

Investor

Single Family

N

360

360

101341612

JOHN J EPPS IV

29072

Primary

PUD

N

360

359

101346813

LUCIA GUTIERREZ

95355

Primary

Single Family

N

360

360

101348580

CHANDRASEKHA MUKHERJEE

95014

Primary

Single Family

N

360

360

101350086

ROGER JOSLYN

33912

Second Home

Condominium

N

360

360

101353143

CRAIG L BROWN

78245

Investor

PUD

N

360

360

101353207

CODY KEMP

78209

Primary

Single Family

N

360

360

101355363

NIVIA M CARRERA

33183

Investor

PUD

N

360

360

101366853

SHENANDOAH CHILDERS

95368

Primary

Single Family

N

360

360

101371221

CLARENCE WRIGHT

7065

Primary

2 Units

N

360

360

101375673

JAIME S LAPENA

89134

Primary

PUD

N

360

360

101390134

PAMELA MCKAY

93901

Primary

Single Family

N

360

360

101391866

TONNA S STEWART

80634

Primary

Single Family

N

360

360

101396386

JONG TAEK BAE

94702

Primary

3 Units

N

360

360

101398610

DAVID EDWARD BUKOVINSKY

80234

Investor

Condominium

N

360

360

101400435

COLLEEN S ZAMBON

49337

Primary

Single Family

N

360

360

101401643

JOSEPH H GRUSHKIN

6880

Primary

Single Family

N

360

360

101410380

DONNA LYNCH

96761

Primary

PUD

N

360

360

101411700

DAMIEN SMITH

90810

Primary

Single Family

N

360

360

101415030

JAMES E TURNER

36853

Investor

Condominium

N

360

360

101439748

ZULEMA MARLE GOMEZ

95835

Primary

PUD

N

360

360

101441745

PAUL A VERMILLION

32176

Investor

Condominium

N

360

360

101447474

RICHARD WHEELER

95112

Primary

Condominium

N

360

360

101448102

VINCENT BUSALACCHI

53051

Primary

Single Family

N

360

360

101451741

LINH K VUONG

20121

Primary

PUD

N

360

360

101457715

LESTER J LEWIS

55407

Investor

2 Units

N

360

360

101475915

SYLVIA MENDEZ

91342

Primary

Condominium

N

360

360

101476929

CONCEPTION T CALLEJA

89141

Primary

PUD

N

360

360

101482727

MICHAEL D HOUSH

94533

Primary

Single Family

N

360

360

101513591

WILLIAM C SCHLEGEL

40222

Primary

Single Family

N

360

360

101514636

RUBEN LUGO

90044

Investor

Single Family

N

360

360

101519523

STEPHEN G ALLEN

99205

Investor

Single Family

N

360

360

101519950

LESLIE BUCHANAN JR

20695

Primary

PUD

N

360

360

101520216

PHILLIP GIUNTA

7726

Primary

Single Family

N

360

360

101521229

CHRISTINA LOGAN

92544

Primary

Single Family

N

360

360

101532619

ALICE PAGELS

53220

Primary

Single Family

N

360

360

101537088

JOHN P THOMPSON

92234

Second Home

Condominium

N

360

360

101542160

HOWARD E MEMMER

79416

Investor

2 Units

N

360

360

101542176

HOWARD E MEMMER

79416

Investor

2 Units

N

360

360

101548496

MEHRAN VALAFAR

91762

Investor

Single Family

N

360

360

101548850

SOODIE  T S ODEGARD

95032

Primary

2 Units

N

360

360

101551012

PAUL KAREKINIAN

11566

Primary

Single Family

N

360

360

101560690

DIEGO F AMAYA

33028

Primary

PUD

N

360

360

101561010

EDWARD WETZEL

33611

Investor

Condominium

N

360

360

101562218

CHAD A SHANNON

34113

Primary

PUD

N

360

360

101564066

MARTHA RESTREPO

33071

Primary

Condominium

N

360

360

101564154

XUONG THANH DO

27217

Primary

Single Family

N

360

360

101569979

ELIZABETH S MULLINAX

29406

Primary

PUD

N

360

360

101572251

GAIRY ISAACS

33063

Investor

PUD

N

360

360

101579460

EDGAR N CONSTANTINO SR

89141

Primary

PUD

N

360

360

101582548

RITCHIE COLEMAN

89031

Primary

Single Family

N

360

360

101583340

WESLEY G BLIZZARD

92253

Primary

Single Family

N

360

360

101583588

CLEMENTINA CONSTANTINE

92544

Primary

Single Family

N

360

360

101588429

SCOTT STEPHAN

55330

Primary

Single Family

N

360

360

101590517

MELVIN SMITH

94591

Primary

Single Family

N

360

360

101592445

DONALD E YOST

92397

Second Home

Single Family

N

360

360

101593806

CYNTHIA B EIKELBERGER

21740

Primary

Single Family

N

360

360

101594182

SONIA SARAH BAKER

85258

Primary

PUD

N

360

360

101596302

RICH WHEELER

98042

Investor

Single Family

N

360

360

101597710

RANE K AL-JAPPAYA

48377

Primary

Condominium

N

360

360

101603543

HARVEY KNOLL

83705

Investor

2 Units

N

360

360

101609368

LESLIE PERRY

95831

Primary

Single Family

N

360

360

101623086

JOHN P STRATTON

92585

Primary

Single Family

N

360

360

101638811

KURT CLOTFELTER

95060

Primary

Single Family

N

360

360

101638819

KURT CLOTFELTER

95062

Investor

Single Family

N

360

360

101639877

GHAZI M SALAHUDDIN

89138

Second Home

PUD

N

360

360

101651106

JOHN DORUSINEC

91042

Investor

2 Units

N

360

360

101663036

ALBERT R BOULERICE

80231

Primary

PUD

N

360

360

101671673

KEITH W GIBSON

95348

Investor

Condominium

N

360

360

101672002

SERVANDO FERREIRA

93041

Investor

2 Units

N

360

360

101672730

SAID EL-SISS

77057

Primary

PUD

N

360

360

101673066

GERALD F SHANAHAN

96746

Investor

Condominium

N

360

360

101673570

SEAN MAURER

90038

Investor

2 Units

N

360

360

101674890

JEANNIE DELGADO

92101

Primary

Condominium

N

360

360

101676154

ILYAS ABSAR

95014

Investor

3 Units

N

360

360

101676698

DOUGLAS  JOH TAKAMIYA

96732

Primary

PUD

N

360

360

101678890

ROCIO ORLANDO

89015

Investor

PUD

N

360

360

101680763

LAURA NORGAARD

57106

Primary

Single Family

N

360

360

101686027

JENNIFER C JOHNSTON

83619

Primary

Single Family

N

360

360

101686971

ROBYN KEENAN

27948

Primary

PUD

N

360

360

101696788

JESSE G CHESS

81240

Primary

Single Family

N

360

360

101696844

JOHNCHRISTOP TONISH

81212

Primary

Single Family

N

360

360

101703258

URVI DESAI

60102

Primary

Single Family

N

360

360

101723958

LAURA A KNOX

85742

Investor

PUD

N

360

360

101736648

ROBERT A SPRAGIS SR.

18914

Primary

Single Family

N

360

360

101738984

KAREN L AMES

94558

Primary

PUD

N

360

360

101760663

JAMES E MULLER

55760

Investor

Single Family

N

360

360

101774258

JING JIAO ZHANG

91801

Primary

Condominium

N

360

360

101783035

GRUJICA PETRUSIC

32738

Primary

Single Family

N

360

360

101799469

ROBERT COLE

63640

Primary

Single Family

N

360

360

101813419

KAREN MESTIER

92057

Primary

PUD

N

360

360

101815968

JOHN M PONS

32408

Primary

Single Family

N

360

360

101816604

KNOWLAN J DAWSON

34746

Investor

PUD

N

360

360

101824236

HERMELINDA MOYA

90059

Primary

Single Family

N

360

360

101829853

LANA KOSMOGORLOV

90069

Primary

Condominium

N

360

360

101847408

MICHAEL O DE WATTEVILLE

95762

Primary

PUD

N

360

360

101852854

RAUL BOYD

33810

Primary

PUD

N

360

360

101863326

SILVIA GUZMAN

20136

Investor

PUD

N

360

360

101864987

ANTHONY J MACCARELLA

8053

Primary

Single Family

N

360

360

101895719

JOEL REICHSTEIN

33433

Primary

PUD

N

360

360

101903480

ANDREA J WEBB

29412

Primary

Single Family

N

360

360

101910929

ENRIQUE PEREZ

92126

Investor

Single Family

N

360

360

101913257

CATHERINA T BUI

89147

Primary

PUD

N

360

360

101913281

WAYNE BARZEKOFF

89139

Primary

Single Family

N

360

360

101914489

CHRISTOPHER N EDGAR

29485

Primary

Single Family

N

360

360

101914929

TAMU M TAYLOR

27560

Primary

PUD

N

360

360

101931481

JOSE H LUNA

1843

Primary

Condominium

N

360

360

101946454

TALIBUN NOOR

11375

Primary

Single Family

N

360

360

101953814

ANH MINH TRAN

22310

Primary

Single Family

N

360

360

101959627

GOLINA FIEDLER

28227

Primary

Single Family

N

360

360

101959708

JOHN L SHOKA

95062

Investor

PUD

N

360

360

101962700

MICHAEL T MEEGAN

49117

Second Home

Single Family

N

360

360

101985931

KATHLEEN A CHILCOTT

95687

Primary

Single Family

N

360

360

101986059

LYNN THOMPSON

95687

Primary

Single Family

N

360

360

101988988

FRANK K POOLE

53185

Primary

Single Family

N

360

360

102007822

EVENS JOSEPH

19083

Primary

Single Family

N

360

360

102008510

ROBERT E WALDRON

95125

Primary

Single Family

N

360

360

102024577

MARK P BRAATEN

36561

Investor

Condominium

N

360

360

102024883

HARRY L JULIAN

31406

Primary

Single Family

N

360

360

102063064

YOLANDA SPEDDEN

92708

Primary

PUD

N

360

360

102069748

VERA AGOPIAN

90802

Second Home

Condominium

N

360

360

102075559

NICOLE A DIFIORE

32137

Primary

PUD

N

360

360

102075743

JOHN H GUSTIN

55304

Primary

Single Family

N

360

360

102078111

ERNEST J HARWOOD II

48423

Primary

Condominium

N

360

360

102079360

PATRICIA ANN FREEMAN

92276

Primary

Single Family

N

360

360

102081328

BRIAN HIMES

34233

Investor

3 Units

N

360

360

102085848

ESEQUIEL BECERRA

93510

Primary

PUD

N

360

360

102086096

DANIELLE M BROUSSEAU

55427

Primary

PUD

N

360

360

102088393

GAIL S BUNDY

89117

Primary

PUD

N

360

360

102115090

MARYLOU MEDIANA

92054

Primary

Single Family

N

360

360

102119064

CHRISTOPHER D MCDILL

95382

Primary

Single Family

N

360

360

102146648

ARQUIMIRO MONTOYA

77429

Primary

PUD

N

360

360

102149205

MONIQUE P DANIEL

23234

Investor

Single Family

N

360

360

102151254

PHILIP F FINSTON

92220

Second Home

Single Family

N

360

360

102156818

MARIA V CARROLL

34741

Investor

PUD

N

360

360

102163661

JEFFREY J KRAYBILL

94110

Primary

Condominium

N

360

360

102167097

BRYAN J DURBIN

73120

Primary

Single Family

N

360

360

102170424

ROBERT W KING

33767

Second Home

Condominium

N

360

360

102171475

DANA J HRABE

89131

Investor

PUD

N

360

360

102173585

PIERRE BOUMERHI

28465

Investor

2 Units

N

360

360

102175529

TODD A WAKELIN

85268

Primary

Single Family

N

360

360

102176489

DAVID A KASHIFI

94518

Primary

Single Family

N

360

360

102186026

ANNA LAMBOURNE

89048

Investor

Single Family

N

360

360

102195691

FRANK A MACIAS JR

91320

Primary

PUD

N

360

360

1022014169

SCOTT ZAHLER

08753

Primary

Single Family Detached

N

360

358

1022014392

MARGARET BRATTON

07756

Primary

Single Family Detached

N

360

357

1022014574

JAMES PAGNOTTA

07083

Primary

Single Family Detached

N

360

358

1022014634

FRANK FULCO

08243

Investor

Single Family Detached

N

360

359

1022014635

FRANK FULCO

21057

Primary

Single Family Detached

N

360

359

1022014638

MOHAMMAD AMJAD

07302

Primary

Single Family Attached

N

360

359

1022014673

CLIFFORD POLLACK

08054

Primary

PUD

N

360

358

1022014674

FRANK ROGERS

19348

Primary

Single Family Detached

N

360

358

1022014704

DARREN KEENAN

08722

Primary

Single Family Detached

N

360

359

1022014708

CYNTHIA BRAIN

07724

Investor

Condominium

N

360

358

1022014745

WLODZIMIERZ PEKALA

18360

Primary

Single Family Detached

N

360

358

1022014751

RICHARD KATZ

33558

Primary

Single Family Detached

N

360

358

1022014753

SUSAN DOS SANTOS

07205

Primary

2 Units

N

360

359

1022014780

SHARON PLUMMER

08016

Primary

Single Family Detached

N

360

358

1022014847

MICHAEL STACHITAS

20121

Primary

PUD

N

360

358

1022014851

LUIS UMANA

08527

Primary

Single Family Detached

N

360

358

1022014879

WILLIAM GODWIN

19711

Primary

Single Family Detached

N

360

358

1022014888

DENNIS MCGORTY

07762

Primary

Single Family Detached

N

360

358

1022014903

KEVIN MENDILLO

07647

Primary

2 Units

N

360

358

1022014908

FRANK NORA

08836

Primary

Single Family Detached

N

360

359

1022014961

DARREN BEEDE

08822

Investor

Single Family Attached

N

360

359

1022015139

VIRGINIA PORCARO

07643

Primary

Single Family Detached

N

360

359

102206932

MICHAEL A WAGNER

49544

Primary

Single Family

N

360

360

102217774

MARGARITA MILAM

91360

Investor

Condominium

N

360

360

102224218

JUDY HARRELL

39183

Investor

Single Family

N

360

360

102229349

MAI TRUONG

22182

Primary

Single Family

N

360

360

102245852

ROSA FERNANDEZ

93010

Primary

Single Family

N

360

360

102245876

YOLANDA NAVARETE

93033

Primary

Single Family

N

360

360

102279205

CLAIRE TANGLAO

94526

Investor

Condominium

N

360

360

102293456

RANDY L TOUCHSTONE

36575

Primary

Single Family

N

360

360

102295335

LINDA CROSBY

91710

Primary

Single Family

N

360

360

102306624

RUBEN G BARCELO JR

95608

Investor

Single Family

N

360

360

102316338

LARRY D GRIGGS

38930

Primary

Single Family

N

360

360

102325010

ARTURO VILLANUEVA

94560

Investor

Single Family

N

360

360

102333218

MOHAMMED IST KHAN

94545

Primary

Single Family

N

360

360

102333938

MANUELA Y HINES

89129

Second Home

Single Family

N

360

360

102334994

BALBINA NEPOMUCENO

94117

Primary

2 Units

N

360

360

102343627

KATHERINE G DIMAYA

94545

Primary

Single Family

N

360

360

102358253

MARGARITA LEON

93308

Primary

Single Family

N

360

360

102361414

MICHAEL CRANSTON

36542

Investor

Condominium

N

360

360

102365518

JUSTIN J CALI

85086

Primary

PUD

N

360

360

102367470

FRANK L TAMRU

8203

Primary

Single Family

N

360

360

102367998

JEFFERY DALE LYNN

42001

Primary

Single Family

N

360

360

102370263

DARLENE JOHNSON

45065

Primary

Single Family

N

360

360

102374439

GABRIELLE KEMLY

8260

Second Home

Condominium

N

360

360

102374607

SHARI W GOLDSTEIN

27516

Primary

PUD

N

360

360

102387663

VENKATA DHARBHAMULLA

20164

Investor

PUD

N

360

360

102397613

BRIAN CLINE

82609

Investor

Single Family

N

360

360

102398918

DAVID REDMOND

32526

Investor

Single Family

N

360

360

1024014295

HENRICH CHIGIRINSKY

07746

Primary

Single Family Detached

N

360

359

1024014723

ROBERT CORMIER

19350

Primary

Single Family Detached

N

360

359

102422110

CARLOS G MARIN

94531

Primary

Single Family

N

360

360

102435744

JEFFERY LEVINE

78749

Second Home

Single Family

N

360

360

102446826

PATRICIA J RUCH

95032

Primary

Single Family

N

360

360

102451637

RUSSELL K MONEYHUN

33186

Primary

PUD

N

360

360

102455748

ENRIQUE MEDINA

1104

Investor

3 Units

N

360

360

102456165

KENNETH WOOLSEY

94534

Primary

Single Family

N

360

360

102462341

ANGELA LOVEMORE

33181

Primary

Condominium

N

360

360

102463421

PAMELA BRINLEY

40245

Primary

Single Family

N

360

360

102463477

NORMA S GIGANTE

89129

Second Home

PUD

N

360

360

102478003

LANCE M EVANS

33756

Second Home

Condominium

N

360

360

102497447

OLIVIA COLEMAN

30274

Investor

Single Family

N

360

360

102516664

RICHARD W ENNIS

2780

Primary

Condominium

N

360

360

102524173

TERRICE MAY

40515

Primary

Single Family

N

360

360

102545258

JOHN F HASSON

19709

Primary

Single Family

N

360

360

102554204

ANDREA LAIN

84102

Investor

Single Family

N

360

360

102567087

ISABEL L MONTEVERDE

33131

Primary

Condominium

N

360

360

102567143

SANDRA MONTEVERDE

33131

Primary

Condominium

N

360

360

102582886

NINA DESSART

94110

Primary

2 Units

N

360

360

102589322

RICHARD J CHOUINARD

91384

Primary

Single Family

N

360

360

102635331

ERIC J BURKE

95355

Primary

Single Family

N

360

360

102635371

CARLOS A RODRIQUEZ

95206

Investor

Single Family

N

360

360

102635379

CARLOS A RODRIQUEZ

95206

Investor

Single Family

N

360

360

102652280

SAMUEL J JONES JR

8402

Second Home

Single Family

N

360

360

102662798

JOHN A GAMBLE JR

28590

Primary

Single Family

N

360

360

102669222

MATTHEW MAHBOUB

87114

Investor

PUD

N

360

360

102676475

MICHAEL A KRILL

53066

Primary

Single Family

N

360

360

102677163

KENNETH D GLASSMEYER

41017

Investor

PUD

N

360

360

102680110

RALPH HAHN

85225

Investor

PUD

N

360

360

102683161

WARREN T MERRIMAN III

34217

Primary

Condominium

N

360

360

1027000642

MICHAEL BRANCA

19462

Primary

Single Family Detached

N

360

358

102734303

ENRIQUE MEDINA

1843

Investor

Condominium

N

360

360

102734383

ENRIQUE MEDINA

1104

Investor

3 Units

N

360

360

102738179

TED R OLEARI

83854

Investor

PUD

N

360

360

102745318

MARK A MCKEE

59829

Primary

Single Family

N

360

360

102746975

BEATRICE G DIAZ

93308

Primary

Single Family

N

360

360

102756696

JESSE N PUGH

95758

Investor

Single Family

N

360

360

102760064

TANIESHA E MAGEE

44139

Investor

Single Family

N

360

360

102773442

JOHNNY EDWAR PIERCE

37014

Primary

Single Family

N

360

360

102779859

CASSIE LEE BRUNS

71854

Primary

Single Family

N

360

360

102783771

CHRISTOPHER BERCHAK

44116

Primary

Single Family

N

360

360

102786828

IHAB HANNA

89129

Second Home

PUD

N

360

360

102789468

CAROL J BISHOP

3246

Investor

3 Units

N

360

360

102811170

ALAN MILLER

84088

Investor

Single Family

N

360

360

102815423

TERRENCE E JOYNES

92308

Primary

Single Family

N

360

360

102928663

STEVEN WARREN

21222

Investor

Single Family

N

360

360

102930812

BERNADIETH PATTERSON-CLARK

33936

Second Home

Single Family

N

360

360

102934282

JOSEPH F O'LOUGHLIN

2186

Primary

Single Family

N

360

360

102938925

KIMBERLY K SKROBIZA

92075

Primary

Condominium

N

360

360

102957556

ERIN N PARKER

98102

Primary

Condominium

N

360

360

102962696

JEFF D BUBB

85308

Investor

Single Family

N

360

360

102985736

LOWMAN WHEELER

7050

Primary

Single Family

N

360

360

103013352

ERIC J HAMILTON

92054

Primary

Single Family

N

360

360

103014068

JOSEPH LAFAUCI

94061

Primary

Single Family

N

360

360

1043015041

MAURICE COWAN

32837

Primary

PUD

N

360

359

1043015139

PATRICIA DIMEO

34684

Investor

PUD

N

360

358

1043015148

PATRICIA DIMEO

34690

Investor

Single Family Detached

N

360

358

1043015154

PATRICIA DIMEO

34698

Investor

Condominium

N

360

358

1043015434

DAVID KILINSKI

34997

Primary

PUD

N

360

359

1066000861

ALEXANDER PERELDIK

11224

Primary

2 Units

N

360

357

1066001615

STEVEN HULTAY

07735

Primary

Single Family Detached

N

360

358

1067002101

RAFAL DRADRACH

33060

Primary

Single Family Attached

N

360

359

107394441

GARY R MITCHELL SR

32407

Second Home

Condominium

N

360

360

107435403

CAROLINE COULTON

37215

Primary

PUD

N

360

360

107544840

LEE E LUNDY

55305

Primary

Single Family

N

360

360

107552145

WILLIAM B MITZELFELD

48306

Primary

Single Family

N

360

360

107559642

HARRY A MAYS JR

39571

Investor

Single Family

N

360

360

107577565

MIGUEL A MORAN

94517

Primary

Single Family

N

360

360

1099000053

SALOMON MONTEZINOS

34108

Primary

Single Family Detached

N

360

358

11504290

MELINDA MELINDA

92627

Primary

Condominium

N

360

359

16010864

ENRICO DEL MAR

92126

Primary

Condominium

N

360

358

16011356

ROGER NICHOLLS

92630

Primary

PUD

N

360

358

16011686

MONICA AMADOR GARCIA

90650

Primary

Single Family

N

360

359

1894312

MARK DIGAETANO

89149

Investor

PUD

N

360

358

189797

MARY MONTALBANO

89129

Primary

PUD

N

360

356

21031484

OVIDIO MARIN

91340

Primary

Single Family

N

360

359

21032898

MARK S. ROSS

93428

Second Home

Single Family

N

360

358

21033763

JAMES A. DYKENS

92024

Primary

PUD

N

360

358

21034776

DAVID  I. FELDSTEIN

91356

Primary

Single Family

N

360

360

284808

MELANIE L. LIETZ

46102

Primary

Single Family

N

360

358

290169

FELIX CISNEROS J

92563

Primary

Single Family

N

360

359

292603

CHRISTOPHER D. PARMER

95501

Investor

Single Family

N

360

359

292641

CHRISTOPHER CHARLES ANDERSON

85050

Primary

PUD

N

360

359

293088

VIVIAN KANNO

95355

Primary

Single Family

N

360

359

293283

SONIA TOBAR

90027

Investor

Single Family

N

360

359

293287

MICHELE L. FERNANDEZ

91911

Primary

Condominium

N

360

359

294181

SERGEY ANTONOV

98004

Primary

Single Family

N

360

359

295138

MARIA SOUZA

97007

Primary

PUD

N

360

359

298081

JEFF COMPTON

95762

Investor

Single Family

N

360

359

299303

BRADFORD C BRINKMAN

85006

Investor

Single Family

N

360

360

337014

Esteron Froilan

93635

Investor

Single Family Detached

N

360

358

337998

Colby Aaron

95492

Primary

Single Family Detached

N

360

359

338673

Rushton Carl

89052

Primary

PUD

N

360

358

340166

Purtell Matthew

95425

Investor

2 Units

N

360

358

342154

Piller Dean

93010

Investor

PUD

N

360

358

343046

Simpson Craig

94595

Investor

Condo Low-Rise

N

360

357

347260

Padilla Ramon

95407

Primary

Single Family Attached

N

360

357

347559

Grevenberg Renee

93702

Investor

4 Units

N

360

358

347724

Baade Eric

95765

Primary

Single Family Detached

N

360

358

348052

Hernandez Elena

95123

Primary

Single Family Detached

N

360

359

349258

Van Altena Paul

95965

Investor

Single Family Detached

N

480

478

350595

Jarvis Norma

93657

Investor

PUD

N

360

358

351551

Bowerman Kenneth

94515

Primary

Single Family Detached

N

360

358

351627

McGahan Carl

95403

Primary

Single Family Detached

N

360

358

351825

Cornelius Esther

94806

Primary

Condo Low-Rise

N

480

478

352427

Tantarelli Thomas

95401

Investor

PUD

N

360

357

352781

Monaghan Martin

95148

Primary

Single Family Detached

N

480

478

353052

Dalupan Christopher

94521

Primary

PUD

N

480

479

3535198

ROBERT FLUKE

48917

Primary

Single Family

N

360

360

354878

Tresenrider Harold

95472

Primary

Single Family Detached

N

360

358

355644

Kelly Daniel

94954

Investor

Single Family Detached

N

360

358

356147

Tadros Amal

92129

Primary

Single Family Detached

N

480

478

356287

Ramos Abrahan

94589

Investor

Single Family Detached

N

480

478

356550

Prendergast Peggy

94043

Primary

Condo Low-Rise

N

360

359

356949

Robles Alfred

95476

Primary

Single Family Detached

N

360

358

357368

McPherson Martha

95448

Primary

Single Family Detached

N

360

358

357756

Ghosh Joy

92009

Primary

PUD

N

480

478

357772

Judd Darin

94510

Primary

Single Family Detached

N

480

478

359182

Tudoni David

94404

Primary

PUD

N

360

358

362160

Peglow Steven

95228

Second Home

PUD

N

360

358

362244

Singh Priyanshu

94582

Primary

PUD

N

480

479

363515

Chin Nicholas

94531

Investor

Single Family Detached

N

360

359

364240

Swann Judith

95401

Investor

Single Family Detached

N

480

479

366799

Perez Alejandro

95492

Investor

Single Family Detached

N

360

359

367094

Padilla Jr. Eugene

94558

Investor

Single Family Detached

N

480

479

367177

Miller Rebecca

95949

Investor

Single Family Detached

N

480

479

367516

Guess Robert

95462

Primary

Single Family Detached

N

480

479

367532

Fields Charmaine

95376

Primary

Single Family Detached

N

480

479

367896

Guinaran Mercedes

92126

Investor

Single Family Detached

N

480

479

368472

Johnson Raymond

91362

Primary

Single Family Detached

N

480

479

368845

Simons Cynthia

92887

Primary

PUD

N

360

359

370924

Massey Lloyd

92660

Primary

Single Family Detached

N

480

479

370973

Crowell Jill

90731

Primary

Single Family Detached

N

480

479

371674

Jones Sonya

95405

Investor

Single Family Detached

N

360

359

371708

DiMeola Matthew

95401

Investor

PUD

N

360

359

374660

Ritz, Jr. Jay

89147

Primary

PUD

N

360

359

375162

Martinez Juan

89015

Investor

PUD

N

360

359

37996311

DAVID W SINGLETARY

34202

Primary

PUD

N

360

358

41355356

ANNY SANCHEZ

33130

Second Home

Condominium

N

360

358

44533502

MICHAEL A ROMERO

95304

Primary

Single Family

N

360

355

46929871

LONNIE R JACKSON JR

89031

Investor

PUD

N

360

358

48151722

MARY K HOCK

34242

Investor

Condominium

N

360

358

49089979

EDWIN RUANO

95842

Primary

Single Family

N

360

360

5637127

REGINALD BRYANT

89131

Investor

PUD

N

360

359

59172545

SHARON YU

77584

Primary

PUD

N

360

349

61520751

MARSHA L WEBB

92395

Primary

PUD

N

360

357

62116247

DEANNE J HIGLEY

34286

Primary

Single Family

N

360

358

63299381

STEPHEN W LITTIG

89052

Primary

PUD

N

360

357

63453585

LYNDA SURRATT

78645

Primary

PUD

N

360

358

63818606

PAMELA R CARTMILL

93907

Primary

Single Family

N

360

358

63818654

DENISE K LOCKE

93907

Primary

Single Family

N

360

358

63837242

PAUL A DAMIBA

7094

Primary

Condominium

N

360

357

64323743

J ROBERT TATE

85204

Investor

Single Family

N

360

357

64713061

AMIR V PATEL

32566

Investor

Single Family

N

360

357

64819705

THEODORE E ROBERTS

93271

Primary

Single Family

N

360

358

65151397

TERRY L SLOAN JR

20693

Primary

Single Family

N

360

360

65282270

DARYLL BRYANT

29016

Primary

PUD

N

360

357

65761714

KEITH GAY

31328

Investor

Condominium

N

360

358

66079003

BRET M EVENSON

97502

Primary

PUD

N

360

359

66103746

JOHN A FALASCA JR

34203

Primary

Condominium

N

360

360

67064026

KENNETH BENITEZ

11717

Investor

Single Family

N

360

358

67497589

MONIQUE SOMO DIMITRAKAKIS

07827

Investor

2 Units

N

360

358

68037871

PARKER RUSH

75070

Primary

PUD

N

360

360

68182207

GUADALUPE SALGADO

90745

Primary

Single Family

N

360

358

6820811

JOHN A SAARI

2540

Primary

Single Family

N

360

358

68216034

DAVID OCAMPO

92105

Primary

Single Family

N

360

358

68216098

DAVID OCAMPO

92411

Investor

Single Family

N

360

358

6829135

JOSE L RODRIGUEZ

02571

Primary

Single Family

N

360

358

76652253

JOSE HERNANDEZ

33037

Investor

Single Family

N

360

358

76785888

DANIEL DUVAL

96743

Primary

Condominium

N

360

359

76791313

TINA R FUNK

85086

Primary

PUD

N

360

357

77182050

DAVID C FISHEL

83002

Primary

Single Family

N

360

357

77325869

LUIS A HEREDIA

2130

Primary

3 Units

N

360

354

77361185

PETER CAUDWELL

33139

Primary

Condominium

N

360

360

77412391

DAVID A MABIRE

32583

Primary

Single Family

N

360

358

77412799

SHEILA C TUCKER

32566

Investor

PUD

N

360

358

77412975

WILLIAM R FINLAY SR

36561

Primary

Condominium

N

360

360

77413111

DONALD T BREWSTER

32534

Investor

Single Family

N

360

360

77420912

RITA AHUJA

20874

Investor

PUD

N

360

357

77740371

ELIZABETH BAJUK

90046

Primary

Single Family

N

360

352

78380004

HEIDI K MARTIN

8527

Primary

Single Family

N

360

354

78430258

LISA M WARDEN

60123

Primary

Single Family

N

360

353

79465147

SARBJIT S JOHAL

93638

Investor

3 Units

N

360

356

79584786

JASON R. WRUCK

63601

Primary

Single Family

N

360

356

79641730

GEORGE STANFORD PIERCE Jr.

33703

Primary

Single Family

N

360

355

79747940

MARY ANN HOCKMAN

48009

Primary

Condominium

N

360

357

79979582

REEMBERTO T CABRERA

33028

Primary

PUD

N

360

358

80150891

MATTHEW E JANUS

60610

Primary

Condominium

N

360

357

80190232

DAVID COOK

95828

Primary

Single Family

N

360

356

80195233

EMIN OROUDJEV

93117

Primary

Condominium

N

360

356

80211915

PAMELA HOLT

60615

Primary

Condominium

N

360

358

80258889

STEVE M SONGER Jr.

21403

Primary

PUD

N

360

356

80259113

KELLY T BRENNAN

33467

Primary

PUD

N

360

356

80264978

ADAM ROY

22042

Primary

Single Family

N

360

356

80273059

RICHARD D ROBERTS

95630

Primary

Single Family

N

360

356

80292445

SCOTT ALLEN PHELPS

92675

Primary

PUD

N

360

358

80364646

EDWIN T BOERNER

03054

Primary

Single Family

N

360

356

80397506

MARION N MERRITT

32408

Primary

Condominium

N

360

356

80412644

CHRISTOPHER M HICKS

24523

Primary

Single Family

N

360

356

80421957

MICHAEL COSTA BRUM

96821

Primary

PUD

N

360

356

80426086

MOHAMMAD ALAKHRAS

20110

Primary

PUD

N

360

356

80435311

FRANK R CONTINO

97701

Primary

PUD

N

360

359

80465539

JEFFREY GUENTHER

60137

Primary

Single Family

N

360

357

80482757

HARTFORD H HOWELL III

33463

Primary

PUD

N

360

356

80487757

JAMES D. WEIDINGER

95642

Primary

Single Family

N

360

356

80501959

JAMES KRIEG

97239

Investor

4 Units

N

360

357

80523226

ADRIANA GONZALEZ

33407

Primary

PUD

N

360

357

80529795

ANTHONY OGBODO

94546

Primary

Single Family

N

360

356

80531611

WAYNE MACINTOSH

84720

Investor

Single Family

N

360

356

80532339

CAROL MCDONALD

28269

Investor

Single Family

N

360

356

80542276

ANTHONY L MONTOYA

92679

Primary

PUD

N

360

357

80544596

JAIME S CARDENAS

89031

Primary

Single Family

N

360

356

80545517

CHARLES MASONER

89084

Primary

PUD

N

360

358

80546085

GREGORY CLIPPER

89703

Investor

Single Family

N

360

357

80560950

ARMAN HASHEMI

89131

Second Home

PUD

N

360

356

80562351

ROBIN R MATHIAS

84770

Investor

Single Family

N

360

357

80563415

NANCY MCMAHON

77379

Primary

PUD

N

360

356

80604460

KAREN TABACK

91001

Primary

Single Family

N

360

356

80624550

NATHANIEL JAMES

95062

Primary

Single Family

N

360

357

80628151

DAVID HAGIWARA

95817

Investor

Single Family

N

360

356

80630103

VON ALLEN

93535

Primary

Single Family

N

360

358

80635824

DAVID A RODRIGUEZ

91739

Primary

Single Family

N

360

358

80639632

JOSEF TAL

33160

Primary

Condominium

N

360

356

80641769

RAYMOND E COLGLAZIER III

92262

Primary

Single Family

N

360

357

80652186

HARRIETT SUSAN WADE

92688

Primary

Condominium

N

360

357

80661059

SALVATORE SABIA

06870

Primary

Single Family

N

360

357

80670036

FREDERICK D FORSMAN

95030

Primary

Single Family

N

360

356

80678109

PABLO BRITO

92530

Primary

Single Family

N

360

358

80693927

GABRIEL L STEWART

92804

Primary

Single Family

N

360

357

80695351

ROBIN L STANDIFIRD

85213

Primary

Single Family

N

360

357

80697600

KANDACE L COMPTON

20169

Primary

PUD

N

360

357

80703480

LARRY E HODGE

27948

Investor

Single Family

N

360

357

80713258

MARIA A DESOTO

94506

Primary

PUD

N

360

358

80715570

PAUL W. RUTTER Jr.

21061

Primary

Single Family

N

360

358

80726283

JOSEPH FRANK MEARMAN Jr.

21108

Primary

Single Family

N

360

358

80726947

KEVIN D O'FARRELL

33705

Investor

Single Family

N

360

357

80731716

KURTIS C BARON

93060

Primary

Single Family

N

360

358

80733004

IDOLINA MARIA MARQUEZ

92545

Primary

Single Family

N

360

358

80738101

STEVEN RADY

60108

Primary

Condominium

N

360

357

80827624

FRANK STEVENS

33050

Primary

Single Family

N

360

357

80828128

ULRICH TORRES

93445

Investor

Condominium

N

360

357

80841170

MARTIMIANO GASPAR

92804

Primary

Single Family

N

360

358

80853899

KAREN T BULLOCK

8065

Primary

Single Family

N

360

359

80857748

SUSAN CILIA

98203

Primary

Single Family

N

360

358

80863820

MICHAEL D. STILLMAN

95409

Primary

Single Family

N

360

357

80864861

EDMUND A SMITH

96069

Second Home

Single Family

N

360

358

80868309

STEPHEN MICHAEL PHELPS Jr.

92677

Primary

Condominium

N

360

357

80877206

GUADALUPE HERRERA

93638

Primary

Single Family

N

360

357

80879198

KEVIN W. GEIGER

80130

Primary

PUD

N

360

357

80885559

JEREMY S CORNELL

91913

Primary

PUD

N

360

358

80891200

DANA R REISNER

11566

Primary

Single Family

N

360

357

80907626

SANDRA K. ROGERS

95969

Primary

Single Family

N

360

358

80913075

MIKE M O'NEILL

97213

Primary

Single Family

N

360

357

80913363

YOUNG SON MIN

8012

Primary

PUD

N

360

357

80916435

CAROL BROWNSTEIN

92683

Primary

PUD

N

360

357

80924708

MARTIN L PETERSEN

94546

Primary

Single Family

N

360

357

80925572

RICHARD BARNETT

11558

Primary

Condominium

N

360

357

80934421

CRAIG N HELMKAMP

93065

Primary

PUD

N

360

358

80936309

MALAIKA L. LYNCH

94608

Primary

Condominium

N

360

357

80940646

DOROTHEA M. THOUSAND

92660

Primary

Single Family

N

360

357

80944470

ROBERTA E RUSSO

92025

Primary

Single Family

N

360

357

80953192

THOMAS D ZARLETTI

53142

Primary

Single Family

N

360

357

80974906

JOHN CHEUNG

94541

Primary

Condominium

N

360

358

80998197

MICHAEL A. BLOOM

19807

Primary

Single Family

N

360

356

81004062

GABRIELLE PARKER

90034

Primary

Single Family

N

360

358

81005534

SOCORRO SANCHEZ

95360

Primary

Single Family

N

360

357

81005846

JOHN-PAUL A MACY

95610

Primary

Single Family

N

360

358

81009383

JAMES R FULLER

89423

Primary

Single Family

N

360

357

81009951

RAUL MARTINEZ

93004

Primary

Single Family

N

360

357

81012319

JAVIER BURGOS

7885

Primary

2 Units

N

360

357

81019768

JASON CHANG

8520

Primary

Condominium

N

360

357

81023720

CARLOS M. GUTIERREZ

92880

Primary

Single Family

N

360

357

81025161

DARRYL R RICHARDSON

85339

Primary

Single Family

N

360

357

81035018

YVETTE BERUMEN

91732

Primary

Single Family

N

360

357

81049060

DARRELL AKERFELDS

85335

Primary

PUD

N

360

357

81054996

SUSAN CROSS

22032

Primary

PUD

N

360

357

81058549

KURT ARMSTRONG

33071

Primary

Condominium

N

360

357

81068830

CHERI M JANSSEN

89106

Investor

Single Family

N

360

357

81070478

LOU SAECHAO

95833

Primary

Single Family

N

360

357

81071846

EBRAHIM MASALEHDAN

33160

Second Home

Condominium

N

360

357

81076055

ROBERT A AGUILAR

93444

Primary

Single Family

N

360

357

81078271

EDWARD S MACHADO

96792

Primary

Single Family

N

360

357

81080087

GEORGE P GOINS

33917

Primary

Single Family

N

360

357

81085088

HESUN LEE

22033

Primary

Condominium

N

360

358

81086504

EUGENE J GRABAU

89130

Primary

PUD

N

360

357

81089401

MIRCEA MILESCU

11379

Investor

3 Units

N

360

357

81114748

ROBERT ARENDS Jr.

94061

Primary

Single Family

N

360

357

81116732

CARRIE GILKERSON

89123

Investor

PUD

N

360

357

81118548

KELVIN W. KOTERA

91321

Primary

Condominium

N

360

358

81123653

CRAIG A DOUGLAS

48843

Investor

Condominium

N

360

358

81127349

ABHINATH CHAND

94030

Primary

Single Family

N

360

357

81135238

CHARLES MUDD

60610

Primary

Single Family

N

360

357

81153353

TRINIDAD OCHOA

91744

Primary

Single Family

N

360

357

81157297

MERLE LEE

53151

Primary

Condominium

N

360

357

81157481

FLORENCIO SANCHEZ

91722

Primary

Single Family

N

360

357

81162018

DEEPAYAN ACHARJYA

98177

Primary

Single Family

N

360

357

81162626

BEVERLY L. ACOSTA

92394

Primary

Single Family

N

360

358

81166778

ALVIN GENE TONEY

91950

Primary

Single Family

N

360

357

81193878

VANESSA CARRANZA

95307

Primary

Single Family

N

360

357

81194902

CAROL CALDWELL-EWART

95405

Primary

Single Family

N

360

357

81199214

DENNIS D. CHASE

21108

Primary

PUD

N

360

358

81199390

FRANK A SOTTILE

92395

Primary

PUD

N

360

357

81206327

THOMAS J MCDONALD

08005

Primary

Single Family

N

360

357

81208144

ABRAHAM W SALVATIERRA

91206

Primary

Single Family

N

360

358

81208744

CARLOS A CASANOVA

93543

Primary

Single Family

N

360

358

81228418

SHAWNE BOWEN CHRISTIAN

95655

Investor

PUD

N

360

357

81231202

JAMES J EARLY

20169

Primary

PUD

N

360

358

81235435

MARY ANDERSON

20147

Primary

PUD

N

360

357

81246140

RYAN W MARSHALL

55434

Primary

Single Family

N

360

357

81249629

RODOLFO VASQUEZ

90601

Primary

Single Family

N

360

358

81255765

WILLIAM MCLEAN

89122

Second Home

PUD

N

360

358

81261134

DOMINGO SANG

33029

Primary

PUD

N

360

357

81269503

NEIL SCHROEDER

83440

Primary

Single Family

N

360

357

81271495

LOUIS R SWEET

94803

Primary

Condominium

N

360

358

81274936

PAUL KIM

89128

Second Home

Condominium

N

360

359

81277112

DONALDSON SHUMPERT

95835

Investor

Condominium

N

360

358

81277904

VICTOR HARTLEY

93535

Investor

Single Family

N

360

358

81280913

DEBORAH K. BURKE

92397

Primary

Single Family

N

360

357

81282633

MICHELLE KIM

89118

Investor

PUD

N

360

358

81286569

PAUL SONNY GUERRA

90601

Primary

Single Family

N

360

357

81286841

ROD SCRUGGS

97123

Investor

2 Units

N

360

358

81296947

CLAUDIA MARGARITA MILLAN

92404

Primary

Single Family

N

360

357

81302571

MARC E LEEDIKER

75218

Primary

PUD

N

360

357

81304804

JAMES A VEREB

89129

Primary

Single Family

N

360

358

81305140

GARY G DUNCAN

27107

Primary

Single Family

N

360

357

81307012

SCOTT A SAARIO

98110

Investor

Condominium

N

360

357

81309436

GREG GIVENS

90278

Primary

Single Family

N

360

358

81321598

MATEO N. MIGUEL

98118

Primary

Single Family

N

360

358

81324926

BILL DUNN

95621

Primary

Single Family

N

360

358

81329287

BA A TRAN

20176

Primary

Single Family

N

360

358

81331743

STACEY J DENT

21403

Primary

PUD

N

360

358

81341912

JAMES C LERMA

85225

Primary

PUD

N

360

358

81343808

OLIVIA PASTEAN

85259

Primary

Single Family

N

360

357

81345985

DEBRA KRAUS

33703

Primary

Single Family

N

360

358

81348065

RILEY E BAKER

91761

Primary

PUD

N

360

358

81348481

JOSEPH CALENDA

85044

Primary

PUD

N

360

358

81353266

HECTOR A. ALBIZO

94536

Primary

Single Family

N

360

358

81354002

MARIBETH T MANALO

90650

Primary

Single Family

N

360

358

81355218

CAMERON R.F. SMITH

33405

Primary

Single Family

N

360

358

81357090

MAYTHA D REATHER

96097

Primary

Single Family

N

360

358

81358666

URIEL ORTIZ

95076

Primary

Single Family

N

360

358

81361435

JOSE J GAMBOA

91706

Primary

Single Family

N

360

359

81367595

EDWARD F. GALLAGHER

5672

Second Home

Single Family

N

360

357

81368060

TRACY L ROGERS

55038

Primary

Single Family

N

360

357

81369396

JOHN W HEARD

48420

Primary

Single Family

N

360

358

81373052

MELISSA NEMETH

33428

Primary

PUD

N

360

359

81373276

QUINN QUELLO

53158

Primary

Single Family

N

360

357

81376181

HASAN ABDALLAH

07450

Primary

Single Family

N

360

357

81384350

JOHN DAVENPORT

32953

Primary

Single Family

N

360

357

81386366

ERIN K JANES

21617

Primary

PUD

N

360

358

81387166

ANDREI OUGAROV

92688

Primary

PUD

N

360

357

81388206

GARY W COATES

95821

Primary

Single Family

N

360

358

81390510

ROBERT PROCTOR

95682

Investor

PUD

N

360

357

81391670

MATTHEW C LUCK

83340

Investor

PUD

N

360

357

81393871

SUTEP WOPECH

89113

Primary

Single Family

N

360

358

81399767

GREGG D. RENKES

98110

Second Home

PUD

N

360

358

81404064

NANCY GOODRICH

12564

Primary

Single Family

N

360

357

81410393

ROBERT P BALUM

18055

Primary

Single Family

N

360

358

81412393

MANUEL A GONZALEZ

92335

Primary

Single Family

N

360

359

81414649

ERIC DEAN GARBOCCI

95490

Investor

3 Units

N

360

357

81416034

MARIA-DELMY MONTANO

89131

Primary

PUD

N

360

358

81418754

ROBERT SANTANA

92223

Investor

2 Units

N

360

357

81419858

RICARDO RAMOS

33143

Investor

Condominium

N

360

359

81422834

KIM QUALLS

91104

Primary

Single Family

N

360

358

81424035

JACQUELINE S BOYD

98038

Primary

PUD

N

360

359

81439116

MOHAMED CHOUMIL

27927

Second Home

Single Family

N

360

357

81449214

ROSS S JORDAN

95602

Primary

Single Family

N

360

358

81450678

CHANCELLOR L. PERRY

28269

Primary

PUD

N

360

357

81453638

ALBERT BARAZIN

92676

Primary

PUD

N

360

358

81453830

JESUS FELIX

93263

Primary

Single Family

N

360

358

81454990

THERON D MINDEK

19520

Primary

PUD

N

360

358

81456951

JOE WILLIAM BANDY

95403

Primary

Condominium

N

360

357

81459359

VERNON R HYBERGER III

32548

Investor

Condominium

N

360

357

81467144

GUSTAVO FAJARDO

92404

Primary

Single Family

N

360

358

81468128

LUCY GUNDAKIAN

11590

Primary

Single Family

N

360

358

81470696

STACY HICKERSON

33334

Primary

Single Family

N

360

358

81471440

LEONE A BENJAMIN

89509

Primary

PUD

N

360

357

81479834

VICTOR HARTLEY

93551

Investor

Single Family

N

360

358

81489723

CHARLES W. ROBINSON

30043

Primary

Single Family

N

360

358

81490699

WILLIAM BAUMAN

89147

Second Home

Condominium

N

360

358

81499428

JOHN LAROCCA

7920

Primary

Single Family

N

360

358

81504413

W. STEVEN WATSON

48138

Primary

Single Family

N

360

358

81523759

GISELA PEREZ

33035

Investor

Condominium

N

360

358

81528788

JESSICA RULAND

95547

Primary

Single Family

N

360

358

81532100

JESUS A LOPEZ

90280

Primary

Single Family

N

360

358

81545126

HERB E GULLINGSRUD

92057

Primary

Single Family

N

360

358

81553183

FLORINA OSTRO

33702

Second Home

PUD

N

360

358

81555415

JAMES WENDELL NORRIS

75034

Primary

PUD

N

360

358

81556647

ELIZABETH OGURECK

07901

Primary

Single Family

N

360

358

81557375

KIMBERLY R. TAYLOR

95340

Primary

Single Family

N

360

358

81559479

THAY T NGUYEN

95757

Primary

Single Family

N

360

358

81563936

BILLIE HANDSBUR

92114

Primary

Condominium

N

360

358

81568697

ALYSSHIA ARMSTRONG

11746

Primary

Single Family

N

360

358

81568865

LEMUEL N JACKSON Jr.

92571

Primary

Single Family

N

360

358

81575321

ROBERT F LUCIANI

86001

Primary

PUD

N

360

358

81576738

FRANCISCO J ABARCA

91340

Primary

Single Family

N

360

358

81580978

GERALD A JANKOWSKI Jr.

48320

Primary

Single Family

N

360

358

81581066

KEVIN NHATHUY QUANG TRAN

92708

Primary

Single Family

N

360

358

81581122

HERIBERTO M NEGRETE

92583

Primary

PUD

N

360

358

81587867

DARYL BARTON

97222

Primary

Single Family

N

360

358

81591715

LIDIA AYALA

94621

Primary

Single Family

N

360

358

81592116

MENG TUCK LAI

89119

Investor

4 Units

N

360

358

81592828

RICHARD L. VICKERY

94519

Primary

PUD

N

360

358

81599924

ESTANISLADO VARGAS

93646

Primary

Single Family

N

360

359

81600045

CRYSTAL BANKSTON

49548

Primary

Single Family

N

360

359

81606917

JOHN S SOUSA

95051

Primary

Single Family

N

360

358

81607981

DEBORAH K BURKE

92397

Investor

Single Family

N

360

357

81612350

RAYMOND KAMILLE

95833

Primary

Single Family

N

360

358

81622351

ROCKY BATEMAN

92260

Primary

Condominium

N

360

358

81624584

ARUTYUN KVRYAN

91401

Primary

Single Family

N

360

358

81631512

MYRNA SORIANO

93458

Primary

Single Family

N

360

357

81633297

EFREN CARBAJAL LOPEZ

95425

Primary

Single Family

N

360

358

81638657

ERIC MICHAEL RARDIN

92392

Primary

Single Family

N

360

358

81650099

MARCEL HAMMER MIZRAHI

91390

Investor

Single Family

N

360

358

81660668

ADRIAN L SCOTT

29650

Primary

PUD

N

360

358

81664813

BETTE G PHILLIPS

85224

Primary

Single Family

N

360

358

81666429

KEITH R. DANZ

77345

Primary

PUD

N

360

358

81670085

JOANNE RICCIARDI

8723

Primary

Single Family

N

360

358

81670613

FRANCISCO E GARCIA

95360

Primary

Single Family

N

360

358

81673750

JENNIE P HERNANDEZ

95204

Primary

Single Family

N

360

358

81675286

PARRIS ALLAIRE

32504

Primary

Condominium

N

360

358

81678054

JOSE A PEREZ

91730

Primary

Single Family

N

360

358

81680287

RUSLAN CHERNEY

95821

Primary

2 Units

N

360

358

81686295

RUDY MADRIGAL

92880

Primary

Single Family

N

360

358

81690464

MARTIN BERNAL

60634

Primary

Single Family

N

360

359

81695592

JACQUELINE PEARSON

85260

Primary

Condominium

N

360

358

81701825

TERRAYNE L ROUNSAVILLE

94561

Primary

Single Family

N

360

358

81705138

GARY L MCENTEE

22405

Primary

PUD

N

360

358

81705754

HELEN L HAMMOND

20136

Primary

PUD

N

360

358

81706298

HAU CONG DAO

95660

Investor

Condominium

N

360

358

81706362

RICARDO HUEZO

90715

Primary

Single Family

N

360

358

81709778

HAU CONG DAO

95660

Investor

Condominium

N

360

358

81722604

BRUCE CHRISTENSEN

96001

Investor

Single Family

N

360

358

81725492

MICHAEL P WALSH

2766

Primary

Single Family

N

360

359

81935927

LEOBARDO ALARCON

92553

Primary

Single Family

N

360

360

82208357

JUSTIN V STEEDMAN

30542

Primary

PUD

N

360

358

82478655

SHIRLEY RICHARDS

33815

Investor

2 Units

N

360

358

82478663

SHIRLEY RICHARDS

33815

Investor

2 Units

N

360

358

82478671

SHIRLEY RICHARDS

33815

Investor

2 Units

N

360

358

82478679

SHIRLEY RICHARDS

33811

Investor

2 Units

N

360

358

82984339

ISIDRO F JULCA

33176

Primary

Condominium

N

360

358

83220340

MICHAEL P SMITH

60462

Primary

Condominium

N

360

358

83236204

JESSE LEGASPI

92009

Primary

PUD

N

360

360

83453711

RAUL BARAJAS

90061

Primary

2 Units

N

360

360

83513519

CLEMENTE G HEREDIA

95747

Primary

PUD

N

360

360

83573734

JIANMIN LI

2421

Primary

Single Family

N

360

360

83610540

LYNN E WESTLEY

29582

Second Home

Condominium

N

360

358

83722837

JOHN R STEVENS

96740

Primary

PUD

N

360

358

83818341

JAMES S BASSETT

20119

Investor

Single Family

N

360

360

83831442

DAVID WILLINGHAM

95687

Primary

Single Family

N

360

357

83897371

STEVE C HASTINGS

89149

Primary

PUD

N

360

357

83921677

JAMES F WALLACE

92692

Primary

PUD

N

360

357

84029189

JEFF W SHOOK

92399

Primary

Single Family

N

360

357

84158374

ESTANISLAO M GARCIA

34208

Investor

PUD

N

360

357

84395410

MICHAEL JACOBS

23661

Investor

Single Family

N

360

358

84396234

GARY L MARTIN

23669

Primary

Single Family

N

360

360

84481046

MICHAEL S TANTRAPHOL

95747

Investor

PUD

N

360

358

84496081

MINDY PAGSOLINGAN

95209

Primary

Single Family

N

360

358

84640159

EMILY J TORRANCE

35773

Second Home

Single Family

N

360

357

84873503

ANGELICA VILLANUEVA

90220

Primary

Single Family

N

360

357

85125490

HALL TAM

89156

Second Home

Condominium

N

360

358

85432129

DMITRIY SHTEYNBUK

53092

Primary

Condominium

N

360

358

85494272

MARK DIGAETANO

89149

Investor

PUD

N

360

358

85624641

ROGER FU

89011

Primary

PUD

N

360

357

85679984

RAMON DORADO

93103

Primary

Single Family

N

360

358

85726197

ARIF AMIRALI

33016

Primary

Single Family

N

360

358

85748856

TOLENTINO I TAN

89121

Primary

Single Family

N

360

358

85770555

SILVANO SALAZAR

60647

Primary

3 Units

N

360

357

85834742

SCOTT STIMSON

19440

Primary

Single Family

N

360

357

85885817

SONIA G LANCING

89122

Primary

PUD

N

360

358

85917853

GEORGIA N PHILIP

94301

Investor

Single Family

N

360

357

86087828

CHAD MICHAEL LALLY

96789

Primary

Condominium

N

360

360

86284296

R SCOTT KRABBENHOFT

80601

Investor

Single Family

N

360

358

86298517

LISA VICTOR

90056

Primary

Single Family

N

360

357

86298653

OLUSOLA ADIO OLABODE

91342

Primary

Single Family

N

360

358

86299029

APOLINAR TORRES

90302

Primary

Single Family

N

360

359

86312422

KARINE ARUTUNYAN

33333

Primary

PUD

N

360

357

86441625

HECTOR A RODRIGUEZ

7107

Primary

3 Units

N

360

354

86486336

JANET DERICO

07094

Primary

Condominium

N

360

358

86652810

MICHAEL U PELTEKCI

91741

Primary

Single Family

N

360

358

86653570

EL CID DE RAMUS

90044

Investor

4 Units

N

360

357

86654402

RUBEN MATA

92335

Primary

Single Family

N

360

358

86877726

KIMBERLY S STROUD

34238

Primary

Condominium

N

360

359

86910659

JIM L BUTLER

91711

Primary

Single Family

N

360

358

86930645

MARINO MARIN

95366

Primary

Single Family

N

360

357

87115590

SOLEDAD HERNANDEZ

72758

Primary

Single Family

N

360

357

87125975

EDWARD A KELLER

93105

Primary

Single Family

N

360

357

87154363

CARI A RUBIDOUX

93908

Primary

Single Family

N

360

356

87166273

JAMES G DUGGER

37067

Primary

PUD

N

360

360

87198003

RICHARD A WARREN

43025

Investor

2 Units

N

360

358

87202668

STEVEN E STROBEL

55736

Second Home

Single Family

N

360

360

87203084

RODOLFO J SANCHEZ

88203

Second Home

Single Family

N

360

360

87278861

ROSMARY A JOHNSON

34238

Primary

Condominium

N

360

359

87278869

RAYMOND B SOLA JR

34238

Investor

Condominium

N

360

359

87332902

DONOVAN A PALM

95682

Primary

Condominium

N

360

360

87370392

DURELL M HENSLEY

90066

Investor

Single Family

N

360

357

87418040

LUIS CASTILLO

92154

Investor

Single Family

N

360

358

87418048

LUIS E CASTILLO

91913

Primary

PUD

N

360

358

87494984

RICHARD A BOSCH

94553

Primary

Single Family

N

360

357

87520080

JOHN MURRAY

45241

Primary

PUD

N

360

356

87550035

ROBERT CHARL BRUTON

55303

Primary

Single Family

N

360

360

87665366

PATRICIA J UNDERWOOD

98685

Investor

Single Family

N

360

360

87677654

REICHELLE PALO

89148

Second Home

PUD

N

360

359

87703696

JOHN M ROOSA

92530

Primary

Single Family

N

360

358

87707453

ASIN SHAH

60564

Primary

PUD

N

360

360

87722114

ALAN J WEIDEL

93455

Primary

Single Family

N

360

358

87726428

JANICE RECORD

95528

Primary

Single Family

N

360

358

87745189

ANDREW H KIM

90094

Primary

Condominium

N

360

357

87760749

FABIAN M HERNANDEZ

33065

Primary

Single Family

N

360

357

87799116

JOHN R FINLAY

85925

Primary

Single Family

N

360

357

87801427

DEON HAWKINS

94025

Investor

Single Family

N

360

357

87866516

JULIE YARBROUGH

85014

Investor

Condominium

N

360

359

87866524

JULIE YARBROUGH

85014

Investor

Condominium

N

360

360

87882556

YUK YUYAU

89031

Primary

PUD

N

360

357

87974304

RICHARD C CHU

89081

Primary

PUD

N

360

357

88015621

MOON CHOE

11355

Primary

Single Family

N

360

357

88019701

HORMOUZ EISHO

95382

Primary

Single Family

N

360

358

88025142

JEANNE A PATRICK

89148

Investor

PUD

N

360

360

88025790

MICHAEL P LE TOURNEAU

34102

Second Home

Single Family

N

360

356

88044520

DANIEL R MULLALY

02601

Investor

Condominium

N

360

357

88070444

JOSEPH ALCARAZ

60613

Primary

Single Family

N

360

357

88129957

GUSTAVO ZAMORA

89031

Primary

PUD

N

360

357

88130573

TOM E PEARSON

94560

Primary

PUD

N

360

357

88158823

KHALILULLAH BARKZAI

92123

Primary

Single Family

N

360

360

88216071

T MICHAEL WOODS

97702

Primary

Single Family

N

360

358

88286221

DEREK COLAMARIA

10304

Primary

Single Family

N

360

358

88289898

CARLOS A HERRERA

92201

Primary

Single Family

N

360

358

88290826

MICHAEL V BANNISTER

92210

Primary

PUD

N

360

358

88302199

NOVERT L EBIYA

89110

Investor

Single Family

N

360

358

88354527

KONSTANTIN VARSAMIS

33020

Investor

Condominium

N

360

357

88361312

ANABELLE O CABILES

95757

Primary

Single Family

N

360

358

88364759

RUTH E RANKIN

89521

Primary

PUD

N

360

360

88373315

MARIA AVA BE A VEGA

90503

Primary

Single Family

N

360

357

88379412

SURINDER S ATHWAL

95843

Second Home

Single Family

N

360

357

88419987

ROMAN YULCHEVSKY

10309

Primary

Condominium

N

360

358

88439309

ALLISON CHAMBERLAINE

98335

Primary

Single Family

N

360

358

88458760

GALEN V BOHNER

92307

Primary

Single Family

N

360

359

88464017

BEN FELDMAN

91367

Primary

Single Family

N

360

357

88468577

JOSEPH B SHEA

1867

Primary

2 Units

N

360

360

88486545

THOMAS D FOLKMAN

34238

Investor

Condominium

N

360

360

88539120

LEWIS MOORE

89074

Primary

Condominium

N

360

358

88611896

THOMAS E MITCHELL

34114

Investor

Condominium

N

360

356

88623218

WILLIAM R HERTEL

98006

Investor

Condominium

N

360

358

88635703

NANCY ORTIZ

33160

Investor

Condominium

N

360

357

88670425

RUBEN SALAZAR

60651

Investor

3 Units

N

360

358

88672090

JOHN R COOK

24179

Primary

PUD

N

360

358

88672147

MICHAEL S MARTIN

12010

Primary

Single Family

N

360

360

88674259

KAREN L GOOD

86333

Primary

Single Family

N

360

358

88681056

ALAN C BIRCHALL

34275

Investor

Single Family

N

360

357

88691548

ESMANUEL R RUIZ

92563

Primary

PUD

N

360

357

88704292

ARLENE GUINA

85310

Primary

PUD

N

360

357

88717573

JOHNNY G XIONG

53223

Primary

Single Family

N

360

357

88768517

RICARDO GONZALEZ

33130

Primary

Condominium

N

360

358

88802037

ROGELIO M VERA

93117

Primary

Single Family

N

360

358

88803613

BERKELEY S HOLMAN

97701

Primary

Single Family

N

360

358

88803765

GERALD JAYCE BRAZIER

96740

Primary

Single Family

N

360

358

88823082

THOMAS J SMITH

34238

Investor

Condominium

N

360

359

88873187

ROBERT E SNOW

19701

Primary

Single Family

N

360

357

88877491

TIM R CRAMBLET

77379

Investor

PUD

N

360

358

88881300

MARK MCGARRY

89130

Investor

Single Family

N

360

358

88881868

JON V MCDADE

95354

Investor

2 Units

N

360

358

88978999

BRIAN J MCGINN

34238

Investor

Condominium

N

360

360

89005679

LARRY V HOUSTON

34238

Investor

Condominium

N

360

360

89005719

JAMES E PERRON

34238

Investor

Condominium

N

360

360

89005759

DAVID A AVISHAR

34238

Investor

Condominium

N

360

360

89005807

PATRICIA A SULLIVAN

34238

Primary

Condominium

N

360

359

89005823

PATRICIA A SULLIVAN

34238

Investor

Condominium

N

360

359

89008026

KERMIT L MC CLENDON

53225

Primary

Single Family

N

360

357

89026750

DAVID J POFFENBERGER

92880

Primary

Single Family

N

360

357

89058528

LINDA S CARROLL

92584

Primary

Single Family

N

360

358

89078313

KIMBERLY KELLEY-HARPER

96734

Primary

Single Family

N

360

357

89083562

WINSTON M MCINTOSH

34238

Investor

Condominium

N

360

360

89084423

DARRIN P SCHULTZ

93103

Second Home

Single Family

N

360

358

89097547

RICHARD WOODSON

11706

Investor

Single Family

N

360

360

89132766

PATRICK WAYN SMITHSON II

92109

Investor

Condominium

N

360

357

89163401

JEANNETTE N TEPPER

34238

Investor

Condominium

N

360

360

89163409

JEANNETTE N TEPPER

34238

Investor

Condominium

N

360

360

8918678

CESAR MORA

91767

Primary

Single Family

N

360

358

8918967

JUNG LEE

94928

Primary

Single Family

N

360

358

8919158

JIN PARK

90638

Primary

PUD

N

360

358

8919160

JAY KIM

92335

Primary

Single Family

N

360

358

89193963

VALENTINE M BAL

32221

Investor

PUD

N

360

358

89201657

WALTER ISLAND JR

95687

Investor

Single Family

N

360

357

89202794

SUSAN L GARAYAR

93422

Primary

Single Family

N

360

357

89216359

TURHAN B DOUGLAS

93536

Investor

Single Family

N

360

358

89224644

CHARLES F GASEK

34238

Investor

Condominium

N

360

359

89238243

DOUGLAS E MC CRARY

91107

Primary

Single Family

N

360

357

89246379

ROBERT D LINDEMANN

95758

Primary

Single Family

N

360

358

89246395

CONSUELO RAMOS

95376

Primary

Single Family

N

360

356

89247253

ROSALIO REYES

93010

Primary

Single Family

N

360

360

89249194

AVA COFFEE BURKS

7666

Primary

Single Family

N

360

357

89273935

MICHAEL GADZINSKI

11901

Primary

Single Family

N

360

358

89290005

WILLIAM L NOAKES

95650

Investor

PUD

N

360

358

89313839

SHARON BANTA

89131

Primary

PUD

N

360

358

89321336

GERMAN PORRAS

34743

Primary

PUD

N

360

358

89326712

JOHN L WEAVER

98360

Primary

PUD

N

360

357

89328857

JENNIFER K MAE

95376

Investor

Single Family

N

360

358

89358704

CHUE YANG

53218

Investor

2 Units

N

360

357

89363283

KENT ALLEN LARSEN

96150

Second Home

Single Family

N

360

357

89366331

THOMAS TURNER

93638

Primary

Single Family

N

360

357

89366875

JAMES COOK

94513

Primary

Single Family

N

360

358

89366891

MARK MICHALISZYN

95334

Primary

Single Family

N

360

358

89382184

CAROLE L BOVE

80521

Investor

Single Family

N

360

359

89395703

MIKE TOBIN

90808

Primary

Single Family

N

360

357

89423811

ARMAND TORCHIA

33316

Second Home

Condominium

N

360

356

89424278

MICHAEL J HOLT

36542

Second Home

Single Family

N

360

357

89430812

JAMES A WATERS

34238

Investor

Condominium

N

360

360

89430828

JAMES A WATERS

34238

Investor

Condominium

N

360

360

89441297

VALERIE D BENTO

02906

Investor

2 Units

N

360

358

89444392

DANNY W MAY

40509

Primary

PUD

N

360

357

89449683

PANKAJ CHANDHOK

8873

Investor

PUD

N

360

360

89460278

CRAIG CARTER

75082

Primary

Single Family

N

360

358

89502250

CHARLES M MATHESON

89139

Primary

PUD

N

360

357

89510143

JUNE M KENICK

92563

Investor

PUD

N

360

357

89516412

FLAVIO VILLA

90806

Primary

Single Family

N

360

357

89540395

VICTOR H LOPEZ

94605

Primary

Single Family

N

360

358

89548382

MARY-CLAIRE HAVAS

7960

Primary

Condominium

N

360

357

89575132

REED A SLOBUSKY

89120

Primary

PUD

N

360

360

89580465

NESTOR GIROUD

33141

Primary

Condominium

N

360

358

89583882

ROBERT E HALL

83687

Investor

PUD

N

360

358

89587186

JANICE MORGAN-LIEFERMA

98532

Primary

Single Family

N

360

358

89589290

ROSEMARIE KIRBY

19116

Primary

Single Family

N

360

358

89607335

JASKARAN SINGH

98422

Primary

PUD

N

360

358

89621423

ANDREW FASBACH

8831

Primary

Single Family

N

360

357

89677869

MARGARET J VERKAY

2830

Primary

2 Units

N

360

357

89702077

ISMAEL CARRASCO

92404

Primary

Single Family

N

360

358

89707245

NANCY M GOMES

2558

Primary

Single Family

N

360

359

89719989

MAX AMON

32801

Investor

Condominium

N

360

357

89727183

PETER G DE ROGATIS

07016

Investor

Condominium

N

360

358

89737052

RONALD S KEMPTON

36532

Primary

Single Family

N

360

357

89737485

ROSELLE STARK

37209

Investor

Single Family

N

360

357

89745170

ABDUL R ARAF

29229

Primary

PUD

N

360

357

89754999

MARY ELLEN LECOCQ

76051

Investor

Single Family

N

360

357

89758360

JANE STEPHENSON

34235

Investor

Condominium

N

360

357

89758880

NANCY J FISH-MOONEY

34222

Primary

Condominium

N

360

357

89759448

MALINDA A STARR

34232

Primary

Single Family

N

360

358

89760104

MICHAEL STUART

34239

Investor

Single Family

N

360

360

89765591

EMILY CAVAZOS

92591

Primary

PUD

N

360

357

89781567

STEPHEN CARNEY

1844

Primary

Single Family

N

360

358

89795180

MARJORIE M HAYES

83340

Second Home

Single Family

N

360

360

89808944

JACK LINFORD JR

95354

Primary

Single Family

N

360

358

89834746

BRYAN KLAWITTER

92236

Investor

Single Family

N

360

360

89841710

WARREN J PHILLIPS

95842

Primary

Single Family

N

360

358

89844231

JUAN R CRUZ

95350

Investor

Condominium

N

360

358

89857648

HENRY LOPEZ

33130

Primary

Condominium

N

360

358

89860777

LAURA ELLEN WIKLUND

95688

Primary

Single Family

N

360

357

89863234

HARVEER SING ANAND

92503

Primary

Single Family

N

360

357

89865039

MARK PANISSIDI

92106

Investor

Condominium

N

360

357

89874113

THOMAS O MADDEN

95687

Primary

Single Family

N

360

357

89876792

EMMA V GUARNES

91910

Investor

Condominium

N

360

357

89876904

EVA RUIZ

91910

Primary

Single Family

N

360

358

89878206

DENNIS A MCBRIER

46706

Investor

Single Family

N

360

358

89888434

ABRAHAM M SCHRYER

1945

Primary

Single Family

N

360

358

89889459

MYRON H HARRIS

90047

Primary

Single Family

N

360

358

89892577

YAMILET HERNANDEZ

33018

Investor

Condominium

N

360

358

89985825

JENNIFER MCCARLEY

95401

Primary

Single Family

N

360

358

89987585

TIMOTHY D BROCK

19006

Investor

Single Family

N

360

358

89990433

STEVEN T WILSON

80537

Investor

PUD

N

360

357

9000007488

HOMSEY, DEBBIE

34243

Primary

PUD

N

360

350

9000007490

SHOMSTEIN, GREGORY

07677

Primary

Single Family

N

360

350

9000007491

DUNN, JERRY

33469

Primary

PUD

N

360

350

9000007574

SARMIENTO, DANNIE

92595

Primary

PUD

N

360

351

9000007732

HILLENBURG, KENNETH

92563

Primary

Single Family

N

360

351

9000007775

ESCOLAR-CHUA, ROBERT

89117

Primary

PUD

N

360

351

9000007845

HARTH, KATHRYN

07719

Primary

Single Family

N

360

352

90002673

JOHN P SHELTON

34240

Investor

Single Family

N

360

358

90002721

CHAD B STUTZMAN

34288

Investor

PUD

N

360

358

90013197

ALBERT J ERMI

80602

Primary

PUD

N

360

357

90013277

DOROTHY A SHANAHAN

80401

Investor

Single Family

N

360

357

90014243

BRENT M FORD

32550

Second Home

PUD

N

360

357

90020904

JEFFREY REETZ

85268

Second Home

Condominium

N

360

360

90022800

JOHN D CABLE

97439

Investor

Single Family

N

360

358

90034724

JOSHUA O IGELEKE JR

89156

Primary

Condominium

N

360

358

90035831

KANTI S PATEL

60622

Primary

Condominium

N

360

358

90040526

LESLAW SRODEK

34238

Investor

Condominium

N

360

360

90040534

LESLAW SRODEK

34238

Investor

Condominium

N

360

360

90043022

DOYLE COZZENS

91010

Primary

Single Family

N

360

360

90051173

ERICA RIOS

93003

Primary

Condominium

N

360

358

90051909

ALICIA THU

89015

Investor

PUD

N

360

358

90052701

NORMA LINDA SALDANA

90650

Primary

Single Family

N

360

358

90055149

EDWARD O GUERRERO

95351

Investor

Single Family

N

360

358

90066743

JAMES WHITE

7080

Primary

Single Family

N

360

357

90090489

ROBERT ALAN KATZMAN

96815

Second Home

Condominium

N

360

357

90100334

MONICA G CHEN

7052

Primary

Single Family

N

360

357

90100939

CARMEN CARINGAL

90039

Primary

Single Family

N

360

357

90129926

ARTHUR WILLIAMS

94565

Primary

PUD

N

360

358

90133723

QUANG DUONG

19145

Primary

Single Family

N

360

360

90146269

CHRISTINA M BURKE

60115

Primary

2 Units

N

360

358

90147076

RICHARD L DIANOVSKY

60611

Second Home

Condominium

N

360

357

90177661

LAWRENCE S CUTLER

91006

Primary

Single Family

N

360

357

90180466

PATRICIA WILKERSON

19104

Primary

Single Family

N

360

358

90188651

MORAYMA MORENO

91355

Primary

Single Family

N

360

358

90189195

EMMA LEE F BALTHAZAR

95831

Primary

Single Family

N

360

358

90194072

ELISABETE VILLARINO

7105

Primary

2 Units

N

360

357

90198924

DANIEL H ASHER

90502

Primary

Condominium

N

360

358

90206421

JESSICA PASSARELLA

33029

Primary

PUD

N

360

358

90206669

PAUL K SMERDON

33009

Investor

Condominium

N

360

358

90218495

ETELVINA CASTILLO

93203

Primary

Single Family

N

360

357

90218631

RODOLFO MERCADO

90061

Primary

Single Family

N

360

357

90218935

MARTIN VERA

90650

Primary

Single Family

N

360

358

90256038

RALPH K BAKER

32408

Second Home

Condominium

N

360

357

90258331

CHERYL A REILLY

20147

Primary

PUD

N

360

357

90259262

DAVID P WEBB

80303

Investor

Condominium

N

360

357

90275858

GIOVANNI GUANUNA

92131

Primary

Single Family

N

360

357

90296374

LAURA HENDERSON

84087

Investor

Single Family

N

360

358

90302930

LONNELL ROBERTS

20602

Investor

PUD

N

360

357

90315460

DAVID N GALLINA

34747

Investor

Condominium

N

360

358

90317272

WILLIAM W PEARSON

92780

Investor

Single Family

N

360

357

90318423

MICHAEL A BENZA

32570

Investor

Single Family

N

360

358

90319969

MARLIN R DUNCAN JR

30310

Investor

2 Units

N

360

357

90320219

PATRICK GEORGE

92692

Primary

PUD

N

360

357

90320743

ILENE LAURA HART

85018

Primary

Single Family

N

360

357

90321597

ALBERT C DAGRACA

23320

Primary

Single Family

N

360

358

90338451

ITAMAR OLIVEIRA

33063

Primary

PUD

N

360

358

90342347

FRANK P COLAPINTO

92881

Investor

Single Family

N

360

358

90343987

BARBARA S SNOOK

54311

Primary

Single Family

N

360

360

90362706

ALEJANDRO BOWERS

33134

Investor

Condominium

N

360

358

90385807

ROGER EVAN KISLINGBURY

91101

Primary

Single Family

N

360

357

90394542

CONRADO ARNU BONGCO JR

94531

Primary

Single Family

N

360

357

90394750

TINA DRESS

94402

Primary

Single Family

N

360

358

90395200

GEORGE SERRANO

92673

Primary

PUD

N

360

357

90396094

SERGIO VILLALVA

91913

Primary

Single Family

N

360

357

90396174

MICHAEL ENGLEMAN

91913

Primary

Single Family

N

360

358

90406647

STANNA STEPHENS

80127

Primary

PUD

N

360

357

90414695

ROGER J ATTICK

80439

Primary

Single Family

N

360

358

90414951

ERIC D DAVID

94801

Investor

Single Family

N

360

358

90415575

DARLENE HONEYSUCKER

53218

Investor

4 Units

N

360

359

90424464

MICHAEL MURPHY

91351

Investor

Condominium

N

360

358

90426001

AILEEN R WILSON

6107

Primary

Single Family

N

360

359

90428898

DAVID R ANTHONY

34202

Investor

PUD

N

360

357

90428922

DARRIN E FAGAN

33701

Investor

Single Family

N

360

357

90429912

DARREN MCCARROL'JONES

48223

Primary

Single Family

N

360

358

90450515

ANTHONY PROCACCIO

60532

Investor

Condominium

N

360

357

90454202

JUDITH MOTTA

32963

Primary

Single Family

N

360

360

90457089

NANCY KELLY

85737

Primary

PUD

N

360

358

90493255

MARCELO SILVA

7108

Investor

3 Units

N

360

358

90494117

ERICK DWIGHT UMPHRESS

96821

Primary

Single Family

N

360

358

90494601

DANIEL C MAHOWALD

31419

Investor

Condominium

N

360

357

90494649

GEORGE E SWINFORD

31419

Investor

Single Family

N

360

357

90508398

MICHELLE PAPPAS

33138

Primary

Single Family

N

360

359

90511974

GREG JORDAN

34222

Primary

Single Family

N

360

358

90512582

BACH VAN T NGUYEN

89135

Primary

PUD

N

360

358

90519135

BRYAN C MITCHELL

89123

Investor

Single Family

N

360

359

90523568

LEANDRO VLASTARIS JR

89113

Investor

Single Family

N

360

358

90526341

JAMES K TILLEY

93728

Investor

Single Family

N

360

357

90548809

CRAIG CONWAY

95301

Primary

Single Family

N

360

357

90550600

STEPHANIE Y EVANS

32607

Primary

Condominium

N

360

357

90551180

CARLOS COUTO

7083

Investor

Single Family

N

360

357

90557652

RICARDO M HACKLEY

92083

Investor

2 Units

N

360

357

90602531

DYLAN A PETROVIC

98329

Primary

Single Family

N

360

357

90613244

STEVE ALTON

89149

Primary

Single Family

N

360

358

90615868

KATHRYN A WERNING

34145

Second Home

Condominium

N

360

358

90617845

CHESTER PON

94618

Investor

Single Family

N

360

358

90619765

VICTOR FLORES

33157

Primary

Single Family

N

360

358

90628074

CASIE LAMP

85250

Investor

Condominium

N

360

357

90629729

JAMES E SIEGEL

85284

Primary

PUD

N

360

356

90653319

JENIFER J SIST

29910

Primary

PUD

N

360

357

90653351

CONNIE L YOST-SCHWERDT

29910

Primary

PUD

N

360

358

90681124

ROBERT F GRAF JR

32796

Second Home

Single Family

N

360

358

90682988

ERIC FONTANA

33767

Primary

Condominium

N

360

358

90683260

DIRK G LITTEN

33432

Investor

Condominium

N

360

358

90704383

GALI SPIRO

02152

Primary

Single Family

N

360

358

90718655

LAURA BRIBIESCA

95368

Primary

Single Family

N

360

357

90721973

ROBERT HOLTZMAN

19147

Investor

Single Family

N

360

358

90724493

FELIPE CERVANTES

89129

Investor

PUD

N

360

358

90729638

JAWAD JAWAD

48126

Primary

Single Family

N

360

358

90736135

ROBERTO PLASENCIA

89015

Primary

Single Family

N

360

358

90737783

JAMES E GRIMES

34234

Investor

Single Family

N

360

358

90737959

JAMES E GRIMES

34234

Investor

Single Family

N

360

358

90741509

MARY ANTOL-WROBEL

85331

Primary

PUD

N

360

358

90752776

KENNETH M JOHNSTON

92024

Primary

PUD

N

360

357

90759143

GABRIELLA LERCARA

11554

Primary

Single Family

N

360

358

90768663

KEVIN F PETTICOLAS

92342

Primary

PUD

N

360

357

90769114

KRISTIN M PALMIOTTO

7748

Investor

Single Family

N

360

358

90769943

LAWRENCE E NWAKI

94591

Primary

Single Family

N

360

357

90769992

SALVADOR R GIRON

93312

Primary

PUD

N

360

358

90770672

JAGEER SINGH

93307

Primary

Single Family

N

360

358

90771448

THAT H NGUYEN

93312

Investor

Single Family

N

360

360

90772105

ALFONSO ANDERSON

53210

Primary

Single Family

N

360

358

90823861

LORENA VASQUEZ

93033

Primary

Single Family

N

360

357

90827098

BILLY J COUSINO

43608

Investor

2 Units

N

360

358

90829770

GLADYS BRICENO

33178

Second Home

PUD

N

360

359

90833370

TANDA EIDSVOOG

55444

Primary

Single Family

N

360

359

90838915

ROGER NUSTAD

93003

Investor

Single Family

N

360

358

90841379

MARY A DANKWA

98026

Primary

Single Family

N

360

359

90841771

UVALDO DIAZ

95624

Primary

Single Family

N

360

359

90843380

LYNN RYAN

63129

Investor

Single Family

N

360

358

90854225

DAVID LEROW

6470

Primary

Single Family

N

360

357

90854523

JON GUNDERSEN

95070

Primary

Single Family

N

360

358

90864346

RUBEN NICOLAS

33184

Primary

Single Family

N

360

358

90865828

DOUGLAS V TRENT

20623

Primary

PUD

N

360

357

90886176

CLAUDIO A GONZALEZ

91754

Primary

Single Family

N

360

358

90886724

DAVID C HOOD

30189

Investor

Single Family

N

360

357

90886861

ROGER L MALKUS

92571

Investor

Single Family

N

360

358

90890459

WAYNE HOFFMAN

95630

Primary

Single Family

N

360

357

90915439

ALBERTO TRINIDAD

34737

Primary

Single Family

N

360

357

90916417

CIRILO MARTINEZ

60156

Primary

Single Family

N

360

357

90916820

ELENA MARGOLIS

19012

Primary

Single Family

N

360

358

90928380

RENE ERIC VONWILLER

28613

Primary

Single Family

N

360

358

90930500

JOHN R BRADFORD III

29455

Investor

PUD

N

360

358

90933149

PAUL D GENOVA

96753

Investor

Condominium

N

360

358

90933725

MICHAEL W JORDAN

94605

Primary

Single Family

N

360

358

90937093

KHADIJA SHOUCAIR

48167

Primary

Condominium

N

360

358

90937757

JONG SOON JEON

89121

Primary

PUD

N

360

359

90938197

THEODORE D ROHLWING

55419

Investor

2 Units

N

360

358

90939773

HYACINTH HENRY

33023

Primary

Condominium

N

360

359

90948881

KENNETH R NOVAK

21798

Primary

Single Family

N

360

357

90953105

PHILLIP JAME WRIGHT

93065

Primary

Single Family

N

360

358

90958673

KATHY H MEIER

30265

Investor

Single Family

N

360

357

90963237

FORREST R SULLIVAN

95678

Primary

Single Family

N

360

357

90969360

REMIGIO L RAMOS

95377

Primary

Single Family

N

360

360

90971991

JERRY ARMEN

91202

Primary

Single Family

N

360

357

90977395

TONY K SMITH

92108

Primary

Condominium

N

360

359

90977707

JOHN J BOTTONI

89074

Primary

Single Family

N

360

358

90982699

ELSA MANCILLA

89032

Primary

PUD

N

360

358

90982987

AUSENCIO N NUNEZ

80501

Investor

Single Family

N

360

358

90997371

PERSEVERANDA TRINIDAD

94080

Primary

Single Family

N

360

358

90997379

PERSEVERANDA J TRINIDAD

94103

Investor

4 Units

N

360

358

90997395

WEI G OUYANG

94607

Investor

Condominium

N

360

358

91001751

LEONARDO MORIN

33018

Investor

Condominium

N

360

358

91014043

ALEXANDRA DUNN

33139

Second Home

Condominium

N

360

358

91014195

PERRY M SUTARIA

33139

Investor

Condominium

N

360

357

91014579

JORGE DIAZ

32832

Investor

PUD

N

360

358

91015179

ENRIQUE DILLON

33149

Primary

Single Family

N

360

358

91015235

LUIS MONTES DE OCA

33193

Investor

Condominium

N

360

358

91015885

HELENE CROWDER

89145

Investor

Condominium

N

360

358

91016762

SANDRA J WOODWORTH

1906

Primary

Single Family

N

360

357

91018740

ALFRED E VELLUCCI

2141

Investor

3 Units

N

360

357

91028564

THOMAS GUZMAN PORTILLO

22193

Primary

Single Family

N

360

357

91028612

ERLINDA VILCA

20164

Primary

Single Family

N

360

357

91073248

JULINA K ENSIGN

92399

Investor

Single Family

N

360

358

91082323

KAREN A HUNTER

77070

Primary

PUD

N

360

358

91086223

LELAND D ANDERSON

95747

Primary

PUD

N

360

357

91098519

JACK M DANGELO

92625

Primary

Condominium

N

360

360

91104680

NELSON V JIMENEZ-CRUZ

20111

Primary

PUD

N

360

357

91104728

UN CHA JOHNSON

22079

Investor

PUD

N

360

357

91113528

DENNIS MICHA MCDANIEL

33037

Second Home

Condominium

N

360

358

91126331

SCOTT SICILIANO

91423

Investor

Single Family

N

360

358

91129637

MARK S CORNWALL

93110

Investor

Single Family

N

360

358

91130080

GLYNLORD RAMOS

89117

Primary

PUD

N

360

358

91131812

ROBERT M SALES

31328

Second Home

Single Family

N

360

357

91137417

NATHAN ELAM

91387

Primary

Single Family

N

360

357

91137425

CHRISTOPHER ELAM

91387

Primary

Single Family

N

360

357

91144821

JANICE REGIN WIMBERLEY

96708

Primary

Single Family

N

360

358

91148181

CLARENCE CHAUVIN

29169

Primary

Single Family

N

360

358

91153566

GARY OLSON

73003

Investor

PUD

N

360

360

91154070

RICHARD ALBERTY

33129

Primary

Single Family

N

360

360

91157863

NOEL PASCUA DAOANG

96706

Primary

PUD

N

360

358

91166536

GEORGE E GEER

49036

Primary

Single Family

N

360

359

91175553

WILLIAM B BADROW

29451

Investor

Condominium

N

360

359

91177713

GEORGE MURAD

85225

Investor

PUD

N

360

358

91181034

KENNETH A SWEENEY

1832

Investor

2 Units

N

360

358

91192148

JACK R CHAFFIN

92008

Primary

Single Family

N

360

357

91192293

DAVID L REESE

28120

Primary

Single Family

N

360

357

91200051

PATRICK J DARCY

22554

Investor

PUD

N

360

357

91203189

SEAN MCBRIDE

7442

Primary

Single Family

N

360

357

91203608

MARI J CASALE

33710

Primary

Single Family

N

360

358

91217059

VERONICA B WATTERSON

92069

Primary

Single Family

N

360

358

91229569

ROY MOGHARABI

92399

Investor

2 Units

N

360

358

91230405

HIRAM NEAL

89128

Second Home

Condominium

N

360

358

91244378

ALFREDO JIMENEZ

75082

Primary

PUD

N

360

359

91244978

ROBERT A QUEJADO

95360

Primary

Single Family

N

360

358

91250859

TANYA L COLON

95354

Primary

Single Family

N

360

358

91256476

LAWRENCE R SINGER

80210

Investor

Single Family

N

360

358

91261012

EDWARD BRANFORD GIBSON

89701

Investor

Single Family

N

360

359

91262124

EDITH RUIZ

91352

Primary

Single Family

N

360

358

91263068

JOANN GAGLIARDI

02144

Primary

2 Units

N

360

358

91274286

SALVADOR CEJA

90706

Primary

Single Family

N

360

358

91276966

HUNG HOANG

95828

Primary

Single Family

N

360

359

91281175

JONATHAN GARDNER

17055

Investor

Single Family

N

360

358

91292584

GLEN BARBER

84115

Primary

Single Family

N

360

358

91292720

RAMON PEREA

90805

Primary

Single Family

N

360

358

91295064

WARD C LILLARD

95301

Investor

Single Family

N

360

358

91298257

MARIA CLARA MORELLI

33009

Primary

Condominium

N

360

358

91303890

IMER J OJEDA

92647

Primary

Single Family

N

360

358

91311811

THADDEUS COREA

85282

Investor

3 Units

N

360

358

91314099

NANCY WINER

48322

Primary

Single Family

N

360

360

91318907

LARRY E STODDARD

95204

Primary

Single Family

N

360

358

91321604

SCOTT HARPE

95482

Primary

Single Family

N

360

358

91322644

DONALD HUTCHINSON

33404

Primary

PUD

N

360

358

91328501

NITANT PRASAD

93955

Primary

Single Family

N

360

358

91330941

WALTER LEMASTER

94590

Primary

Single Family

N

360

358

91345311

TYRONE R HORN

92377

Primary

Single Family

N

360

358

91365937

AUDRA E ZIMMERMANN

6415

Primary

PUD

N

360

359

91369298

BASSAM KARIM

48324

Primary

Single Family

N

360

358

91371658

JAMES A. CROWE

95864

Second Home

Single Family

N

360

358

91372154

STANFORD K HUNTER

75035

Primary

PUD

N

360

358

91373898

GLENN C SHORB

92618

Primary

Condominium

N

360

359

91382307

XOCHITL T MAYORGA

60441

Primary

PUD

N

360

358

91388500

TOM N ORTIZ

89511

Primary

Single Family

N

360

360

91394781

ALEJANDRO B LOPEZ

93033

Primary

Single Family

N

360

359

91395933

JULIO CESAR MONTEROS

85706

Primary

PUD

N

360

358

91397853

CATHERINE R THRASHER

95005

Primary

Single Family

N

360

359

91402022

CARLOS G MIRAMONTES

95340

Investor

Single Family

N

360

358

91404726

MARLO M VERDUGO

91762

Primary

Condominium

N

360

359

91409151

HEINER E WAIS

01850

Primary

Single Family

N

360

358

91412247

RENE MENDEZ Jr.

91732

Primary

Condominium

N

360

358

91414599

CLAUDIA RODRIGUEZ

91702

Primary

Single Family

N

360

359

91415448

ANNE M GAGNON

02852

Primary

Single Family

N

360

358

91422280

JUAN CARLOS PINEDA

92404

Primary

Single Family

N

360

359

91424721

MICHAEL P VERRY

85296

Primary

PUD

N

360

359

91425265

NELLY MORALES

91331

Primary

Single Family

N

360

359

91425273

BOB WILLIAMS

85225

Primary

PUD

N

360

358

91439621

GLORIA J CHISLEY

93604

Investor

Single Family

N

360

358

91440573

MATTHEW MARK DANZI

74012

Primary

Single Family

N

360

358

91441021

DINNE B KNOTTS

95490

Primary

Single Family

N

360

358

91441029

GEORGE A THEILMANN

95436

Primary

Single Family

N

360

358

91443806

PETER J. APOSTLE

49456

Primary

Single Family

N

360

358

91445798

LOUIS GEYER

89123

Investor

PUD

N

360

358

91450270

ELIAS CRUZ

33029

Primary

PUD

N

360

359

91452695

WALTER WYNNE

93551

Second Home

Single Family

N

360

359

91458071

LEATHA HENDERSON

95842

Investor

Single Family

N

360

358

91458471

JUAN CARLOS NAVARRO

92882

Primary

Single Family

N

360

359

91460896

MARTHA RAMOS

91342

Primary

Single Family

N

360

359

91465152

PATRICK J MESTAS

91764

Primary

Condominium

N

360

359

91470449

WARREN RICHARD WOODALL

20170

Primary

Single Family

N

360

359

91470777

ROBERTO GARCIA-PALOMINO

97503

Primary

Single Family

N

360

358

91477186

CHRISTOPHER FERRARA

95209

Investor

Single Family

N

360

358

91477402

RONALD E. PRIBBLE

92026

Primary

Single Family

N

360

359

91480674

DAVID ZINZUN

95648

Primary

Single Family

N

360

359

91481506

JOSE GUADALUPE MARTIN

92335

Primary

Single Family

N

360

359

91485427

JULIAN MARCELLIS

97239

Primary

Single Family

N

360

359

91486723

PABLO BELTRAN

33702

Primary

Condominium

N

360

358

91487091

JOSIE KULP

34654

Primary

PUD

N

360

358

91487899

ALFONSO TUCKER

94547

Primary

Condominium

N

360

359

91488075

EDWARD M. AFF

95471

Investor

2 Units

N

360

358

91488219

SONDRA D ADSIT

75052

Investor

Single Family

N

360

358

91492692

SAEED ANWAR

99208

Primary

Single Family

N

360

358

91498700

FRANK JONNA

48331

Primary

Single Family

N

360

359

91503765

DONALD GRANT

93023

Primary

Single Family

N

360

358

91513102

VANGEL KARANGELOV

92708

Primary

Single Family

N

360

358

91514814

STEPHANIE CARCERENY

90706

Primary

Single Family

N

360

358

91515983

PETER B SUTTON

92583

Primary

Single Family

N

360

359

91516567

EVA SORBIAN

55311

Primary

Single Family

N

360

359

91516743

MARIA ANGELICA NASIR

33331

Primary

PUD

N

360

358

91520095

MIGUEL BRAVO

93292

Primary

Single Family

N

360

359

91520551

RODNEY MARTIN

7112

Investor

2 Units

N

360

358

91524848

DAVID W ROSS

95632

Primary

Single Family

N

360

358

91526008

JODI LEE JOHNSON Sr.

94565

Primary

Single Family

N

360

359

91529160

WILLIAM R GORDON

40031

Primary

Single Family

N

360

358

91540674

MICHAEL C WEBSTER

46069

Investor

Single Family

N

360

359

91548683

JAMES ANDERSON

94609

Investor

2 Units

N

360

359

91553339

ANITA STEPHENS

94533

Primary

Single Family

N

360

359

91553507

FRANCISCO JAVIER ABARCA

93535

Primary

Single Family

N

360

358

91558172

HENRY O'CONNELL

20187

Primary

PUD

N

360

359

91561740

ROSEMARY GRODER

11559

Primary

Single Family

N

360

358

91567205

SUN BORTLES

89139

Investor

PUD

N

360

359

91567421

DONNA DAE ADAMSON

89145

Primary

Single Family

N

360

359

91567973

ARASH HAFIZI

91355

Primary

PUD

N

360

359

91572150

RAMON R. PUENTES

91977

Primary

Single Family

N

360

359

91572334

JEDEDIAH S BECKSTEAD

84095

Primary

Condominium

N

360

358

91573502

TOU THAO

92336

Primary

Single Family

N

360

358

91574054

DAVID L. MCCOY

61008

Primary

Single Family

N

360

359

91574910

REGINALD J LHERAULT

1820

Primary

Condominium

N

360

359

91575046

DEBRA A JAKOWIEC

2744

Primary

Single Family

N

360

359

91577718

RONALD D FILLEY

33411

Second Home

PUD

N

360

359

91580463

MARK MAZZA

85248

Primary

PUD

N

360

358

91583415

JOHN A CRIMINS

92692

Primary

PUD

N

360

359

91594984

AARON ELKINS

92203

Primary

Single Family

N

360

359

91595040

DR. MARK A WATSON

95117

Investor

Single Family

N

360

360

91595697

TIMOTHY TAYLOR

20657

Primary

PUD

N

360

359

91596201

EDMOND RUSHAJ

48042

Primary

Single Family

N

360

358

91597961

BRUCE E CELIZ-HAGEN

86001

Primary

Single Family

N

360

359

91598737

FILOMENO ESPINOZA

92683

Primary

Single Family

N

360

359

91601393

CEL R DELEON

89138

Second Home

PUD

N

360

359

91602161

DARREN CONOVER

8753

Investor

Single Family

N

360

359

91602889

CAROL DONOVAN

95382

Primary

Single Family

N

360

358

91607386

CHARLES MCCUEN

95776

Primary

Single Family

N

360

358

91607434

THOMAS F SIMJIAN

06405

Investor

Single Family

N

360

358

91608346

GENARO BAUTISTA

92335

Primary

Single Family

N

360

358

91609090

DAVID BRITTEN

32837

Primary

PUD

N

360

359

91609226

FLOR M MEJIA

33326

Primary

Condominium

N

360

359

91610154

BERNARDO GUTIERREZ

91737

Primary

Single Family

N

360

358

91615371

RON KARLEN

95694

Primary

Single Family

N

360

358

91615707

MICHAEL S MORRIS

95687

Primary

Single Family

N

360

358

91615915

GARRETT L BLANKENSHIP

32904

Primary

Single Family

N

360

359

91621956

JULIE F FENNIMORE

95404

Primary

Single Family

N

360

358

91622540

GREGORY J RODIN

91350

Primary

Single Family

N

360

358

91622716

JAVIER O LOPEZ

92335

Primary

Single Family

N

360

359

91626644

EMAD Z BOKTOR

92804

Primary

Single Family

N

360

359

91629661

LEENA MOURTAZA

94539

Primary

Condominium

N

360

358

91636182

CHESTER MIERZWINSKI

89117

Primary

PUD

N

360

358

91644207

LENA BRAGA

92404

Primary

Single Family

N

360

358

91650911

MIGUEL MACIEL

93638

Primary

Single Family

N

360

359

91657072

SHARON F STYLES

19115

Primary

Single Family

N

360

358

91661849

IAN AITKEN

34228

Investor

Single Family

N

360

360

91663361

ANGELICA SEPULVEDA

95209

Investor

Single Family

N

360

358

91664273

JOHN S RYAN

98037

Investor

Single Family

N

360

359

91666601

DAVID BETTENCOURT

93458

Primary

Single Family

N

360

359

91667026

LILIANA LO

93722

Investor

Single Family

N

360

359

91668186

DANIEL TOPETE

90221

Primary

Single Family

N

360

358

91673746

ONYA M HANNAWACKER

98312

Investor

2 Units

N

360

358

91675219

KIM KIRK

92115

Primary

Single Family

N

360

359

91679779

RACHEL LARSEN

85205

Primary

PUD

N

360

359

91682211

ANDRES OTERO

32818

Second Home

Condominium

N

360

358

91682523

SAMANTHA DURRETT

48915

Primary

Single Family

N

360

359

91686924

LESLIE M HOLLOWELL

23322

Investor

Single Family

N

360

359

91687700

LEONARD D OWENS

48322

Primary

Single Family

N

360

360

91689300

ANDREA C PARSONS

94928

Primary

Single Family

N

360

359

91691229

ERICA W ROED

98008

Primary

Single Family

N

360

359

91694357

TRAIAN TRIF

33021

Primary

Single Family

N

360

359

91694701

ALLAN WIEBE

92211

Second Home

Condominium

N

360

358

91697533

AGAPITO RAMIREZ

91766

Primary

Single Family

N

360

359

91698821

JOSE CONSEPCION JARA GUTIERREZ

93668

Investor

Single Family

N

360

359

91699902

ANN DUFFTY

95020

Primary

Single Family

N

360

359

91704278

KENNETH SUDDUTH

34240

Primary

Single Family

N

360

358

91705470

SAMIR A ILEIWAT

7013

Primary

Single Family

N

360

358

91708927

DANIEL CAPOTA

60077

Primary

Single Family

N

360

358

91709415

SCOTT MATREYEK

85234

Primary

PUD

N

360

359

91709631

MICHAEL J FICHERA

7728

Primary

Condominium

N

360

359

91713079

ALEXANDER GIVERTS

85022

Investor

PUD

N

360

358

91718832

WILLIAM J MATTHEWS

97702

Investor

PUD

N

360

359

91719904

JEWELL S SIMPKINS

91767

Primary

Single Family

N

360

359

91731274

DORIN NEMES

33009

Primary

Condominium

N

360

359

91734034

DARRIN W GUSTAFSON

21045

Primary

PUD

N

360

359

91738218

ROBERT PAVEY

33009

Primary

Condominium

N

360

359

91743123

GARLAND J PARRIS

85743

Primary

PUD

N

360

358

91746187

CHESTER C. CARLOS

85208

Second Home

PUD

N

360

359

91749060

BETSY L. CASWELL

33437

Second Home

Single Family

N

360

360

91750924

MITCHELL D REID

48067

Investor

Single Family

N

360

359

91754604

ANTHONY NAPOLEONI

33035

Primary

PUD

N

360

359

91758965

MARCELINO PENA

92114

Primary

Single Family

N

360

359

91763150

HECTOR H. PAIZ

33023

Primary

Single Family

N

360

358

91766190

RAQUEL SCHORR

8701

Investor

Single Family

N

360

359

91773183

MICHAEL DILORENZO

11368

Investor

Single Family

N

360

359

91774927

WILLIAM L. ROSE

95436

Primary

Single Family

N

360

358

91777903

ROBERT E LEVITON

98312

Investor

2 Units

N

360

358

91784848

TRAVON MOSS

91406

Primary

Single Family

N

360

359

91785688

ROBERT A. YNZUNZA Jr.

94541

Primary

Single Family

N

360

359

91785880

PAUL H RAY

91711

Primary

Single Family

N

360

359

91787513

SUSANA BLANCO

33149

Primary

Condominium

N

360

359

91790681

LORETO HERNANDEZ

91913

Primary

PUD

N

360

359

91792441

MARY ANN ELLIOT

23503

Second Home

Single Family

N

360

359

91793257

OSCAR HERRERA

90250

Primary

Single Family

N

360

359

91795642

ELENA GOLOVANOVA

33458

Primary

PUD

N

360

359

91798538

ERNESTO URIBE

90022

Investor

2 Units

N

360

358

91805027

RUFUS FELDER

22556

Primary

PUD

N

360

359

91811516

NICOLLE ARRINGTON

92688

Primary

Condominium

N

360

359

91817892

DALE G ROBINS

89503

Primary

Single Family

N

360

359

91819621

LUIS CAMOU

91786

Primary

Single Family

N

360

360

91820941

CARMEN RODRIGUEZ

85257

Primary

Condominium

N

360

359

91837351

EVANGELINA FERNANDEZ

33129

Primary

Condominium

N

360

359

91840847

KRISTIN ZAKARY

87501

Primary

Single Family

N

360

359

91843552

SCOTT JONES

89121

Primary

PUD

N

360

359

91843840

GIOVANNY A ROSSINI

91342

Primary

Single Family

N

360

359

91845480

LEESHA EVANS

95336

Investor

PUD

N

360

359

91845640

LEESHA EVANS

95336

Investor

PUD

N

360

359

91853417

MICHAEL J MUSCAT

33411

Primary

PUD

N

360

359

91854761

EARNEST M WATSON

85323

Primary

PUD

N

360

359

91856305

GRACIELA ZAMBRANO

92335

Primary

Single Family

N

360

359

91859458

BILLY R. WILLIAMS

93644

Investor

PUD

N

360

360

91859786

WESLEY D WYLES

98274

Primary

Single Family

N

360

359

91863690

CAMILLA J EGGLESTON

92867

Primary

PUD

N

360

359

91872571

SANDRA L VILLA

20170

Primary

PUD

N

360

359

91872755

WAYNE K WASANO

85249

Second Home

PUD

N

360

359

91877884

ROY W ARRINGTON

28575

Second Home

Single Family

N

360

360

91879876

AMI RADUNSKAYA

92025

Investor

Single Family

N

360

359

91883453

TERESA A. PAZNY

92130

Primary

PUD

N

360

359

91883901

BENJAMIN GREENSTEIN

8701

Investor

Single Family

N

360

359

91884485

SHIRLEY A BROOKS

92557

Primary

Single Family

N

360

359

91885893

SHERRYL L HOHNSTEIN

33912

Primary

PUD

N

360

359

91887677

JERRY L CHAMLEE

48162

Primary

Single Family

N

360

359

91892142

ARMANDO AGUIRRE

93230

Primary

Single Family

N

360

359

91892606

NAJIA KAMALZADEH

20171

Primary

PUD

N

360

359

91892726

JESUS LEYVA

92105

Primary

2 Units

N

360

359

91892998

FOTINI SOURIS

97007

Primary

PUD

N

360

359

91895702

STEVEN C RAVIT

33071

Primary

PUD

N

360

359

91899999

INNA POPLAVSKIY

95678

Primary

Single Family

N

360

359

91901783

ALEXANER GIVERTS

85024

Investor

PUD

N

360

359

91904223

KELLY M JACKSON

95621

Investor

Single Family

N

360

359

91907512

DANIEL J MARGOLIS

87501

Primary

Single Family

N

360

359

91907528

DIANNE WALKER

87507

Primary

Single Family

N

360

359

91908376

TERRY L PAKE

48473

Primary

Single Family

N

360

359

91919321

THOMAS G. WILLIAMS

21012

Second Home

Single Family

N

360

360

91921001

MATTHEW R SEVENAU

97756

Investor

Single Family

N

360

359

91921761

PETRINA A MORANDI

34683

Primary

Single Family

N

360

359

91921921

RAYMOND L ADAMS

95033

Primary

Single Family

N

360

360

91922241

JEFFREY C. NETCELL

92307

Primary

Single Family

N

360

359

91922313

RANDAL LEE BUESCHER

60622

Primary

Condominium

N

360

359

91926226

FRANCISCO MORALES

94954

Primary

Single Family

N

360

359

91927026

CHARLES J. DELGADO

91801

Primary

Single Family

N

360

360

91928786

JAIME LOZANO HERNANDEZ

92065

Primary

PUD

N

360

360

91938444

CHARLES W RUMER III

32174

Primary

Single Family

N

360

359

91941804

ROBERTO SALAZAR

95632

Primary

Single Family

N

360

359

91947013

ELAINE Z BONDA

33446

Primary

PUD

N

360

359

91951165

CHRISTOPHER HOFELICH

95462

Primary

Single Family

N

360

359

91952037

BARRY W. NEEL

85259

Primary

Single Family

N

360

359

91955486

ROBERT SARGISIAN

95382

Primary

Single Family

N

360

359

91956838

RICHARD A STAELIN

27516

Primary

PUD

N

360

359

91957734

RONALD J DANEAU

2703

Primary

2 Units

N

360

359

91961366

FELICIA CHADWICK

89032

Primary

Single Family

N

360

359

91962687

LAQUAN HARRIS

7203

Primary

2 Units

N

360

359

91965215

DERRICK BARNETT

60422

Primary

Single Family

N

360

359

91968295

HAK MAN LEE

33180

Investor

Single Family

N

360

359

91969807

YEHIA W ATA

7002

Primary

2 Units

N

360

359

91970616

ANTHONY E RESPETO

93536

Primary

Single Family

N

360

359

91971952

PASQUALE BELLOMO

10990

Primary

Single Family

N

360

360

91972208

JACOBO E NAVAS

33186

Primary

Condominium

N

360

359

91972232

HECTOR BUCCHIANERI

89703

Primary

Single Family

N

360

359

91972752

SHIRIN G. KAVYANI

21550

Primary

PUD

N

360

359

91974368

LIEU NGUYEN

92410

Investor

4 Units

N

360

359

91977968

BRIAN P MCGARRY

94539

Primary

Single Family

N

360

359

91978008

RONALD L KLAPHAKE

85383

Primary

PUD

N

360

359

91980073

JAMES A. MAYNARD

95519

Primary

Single Family

N

360

359

91981313

EILEEN WHITAKER

98027

Primary

PUD

N

360

359

91989010

DAVID M. ESCAMILLA

92345

Primary

Single Family

N

360

359

91991362

KENNETH K ZAND

33755

Investor

Single Family

N

360

359

91992034

MARTA A MALINA

1778

Primary

Single Family

N

360

359

91992098

MARIA HOBAFCOVICI

33301

Primary

Condominium

N

360

360

91993210

PAVEL SERDYUK

95823

Primary

Single Family

N

360

360

91993978

CYNTHIA SMITH

95824

Investor

2 Units

N

360

359

92001147

SUSAN P. WOODRUFF

75219

Primary

Condominium

N

360

359

92001435

RICHARD P CORBELLO

77095

Primary

PUD

N

360

359

92002740

LARRY BRICE

94591

Primary

Single Family

N

360

359

92002748

ROBERT ARNOLD

85226

Investor

PUD

N

360

359

92003484

AYOUB BARGHELAME

80524

Primary

Single Family

N

360

359

92005284

WILLIAM S CHAIRSELL

89141

Primary

PUD

N

360

359

92008820

MICHAEL ASLANIAN

7112

Investor

2 Units

N

360

359

92012677

JOSE GONZALEZ

91324

Primary

Single Family

N

360

359

92013005

KAREN M CRUZ

92123

Primary

Single Family

N

360

359

92013685

OTONIEL SALGADO

92509

Primary

Single Family

N

360

358

92015989

SHARON L TAUB

90066

Primary

Single Family

N

360

359

92016045

JUAN MARTINEZ

95621

Investor

Single Family

N

360

359

92021182

RICHARD J POJMAN

85029

Investor

Single Family

N

360

359

92021278

DAWN HAVEL

93308

Investor

2 Units

N

360

360

92021766

SIFET OSMANOVIC

95117

Primary

Single Family

N

360

359

92024646

RAAD SHAAIA

92040

Primary

Single Family

N

360

359

92027159

SHALOM SCHEINERMAN

8701

Investor

Single Family

N

360

359

92029111

DAVID E GARDNER

85335

Investor

Single Family

N

360

359

92029319

JOAQUIM LOPES

33063

Primary

Condominium

N

360

359

92031207

FRANCES C CAMPOS

92056

Primary

PUD

N

360

359

92031311

VALERIE SLAMKA

7003

Primary

Single Family

N

360

359

92033047

GILBERT MENDEZ

95340

Investor

Single Family

N

360

359

92036032

ANTHONY D MANALILI

89052

Second Home

PUD

N

360

359

92036272

SUZANNE E FLENNIKEN

93427

Primary

Single Family

N

360

359

92041088

FELIX EDNILAO

94503

Primary

Single Family

N

360

359

92041496

RICHARD K WEEKS Jr.

96130

Primary

Single Family

N

360

359

92043185

JOHN A PALMER

32408

Second Home

Condominium

N

360

360

92043529

WILLIAM C PITTS Jr.

35234

Investor

2 Units

N

360

359

92043937

MARGO DUBOIS

95826

Primary

PUD

N

360

359

92044097

WILLIAM C PITTS Jr.

32534

Investor

2 Units

N

360

359

92044425

MICHAEL P BELANGER

33469

Primary

Single Family

N

360

360

92049313

RAYMUNDO P. FRANQUEZ

92335

Primary

2 Units

N

360

359

92050298

KENNETH JORDAN

94590

Primary

Single Family

N

360

359

92050666

JOSEFINA G BAYOT

89117

Second Home

Single Family

N

360

359

92054570

GRANT W JOHNSON

85044

Investor

Condominium

N

360

359

92054618

LARISSA SOKOLOVA

22312

Primary

Condominium

N

360

359

92056834

ADALBERTO OROZCO

91768

Primary

Single Family

N

360

358

92058419

MICHAEL POIRIER

95405

Primary

Single Family

N

360

359

92060747

RENEE AMOR

8053

Primary

Single Family

N

360

359

92062331

ROY D QUILLAN III

78232

Investor

Single Family

N

360

359

92062563

IVAN MARTI

33013

Primary

Single Family

N

360

359

92062579

KEVIN C DICKMAN

94952

Primary

Single Family

N

360

359

92063699

URIEL GARCIA

95210

Primary

Single Family

N

360

359

92067772

ROGER WESTCOTT

91107

Primary

Condominium

N

360

359

92072732

CARLOS MIRAMONTES

95340

Primary

Single Family

N

360

359

92073788

FRANK DIAZ

33193

Primary

Condominium

N

360

360

92074549

EFRAIN E AMAYA

20902

Primary

Single Family

N

360

359

92076077

SHALOM SCHEINERMAN

8701

Investor

Single Family

N

360

360

92076229

DOUG D RICH

84075

Investor

Single Family

N

360

359

92076461

MICHAEL D COOK

92324

Primary

Single Family

N

360

359

92076733

ROBERT JOHN TOFFT Sr.

95648

Investor

Single Family

N

360

359

92076781

LAMAR WEBSTER

89101

Primary

PUD

N

360

359

92082422

SERGIO AMESQUITA

85053

Primary

PUD

N

360

359

92082494

YOLANDA RIQUELME

33322

Investor

Condominium

N

360

359

92082542

GARY F YOUNG

83876

Primary

Single Family

N

360

359

92084238

DONG JUN SHIN

89138

Primary

Single Family

N

360

359

92085198

GERARDO LOPEZ

93960

Primary

Single Family

N

360

359

92085862

ATOR HORMOZI

95382

Investor

Single Family

N

360

359

92091815

JOSE LUIS FRIAS

92530

Investor

Single Family

N

360

359

92092807

SCOTT W RIVERS

87540

Primary

Single Family

N

360

360

92097519

WHU J KIM

91354

Primary

Condominium

N

360

360

92097551

LAWRENCE WANG

90803

Primary

Single Family

N

360

359

92098111

DELL BARESWELL KELLER

70806

Primary

Single Family

N

360

359

92100016

GLENN SADOWSKY

95340

Investor

Condominium

N

360

359

92100384

MICHAEL JOE BREWER

29575

Second Home

Single Family

N

360

359

92100936

JUAN PADILLA

90002

Primary

2 Units

N

360

359

92102176

NIEM G NGUYEN

8701

Primary

Condominium

N

360

360

92102624

MARTHA CARRILLO

92882

Primary

PUD

N

360

360

92103160

HAROLD E SCOFIELD

92064

Primary

Single Family

N

360

359

92105328

RICHARD J BONDESON Sr.

97424

Primary

Single Family

N

360

359

92105600

KIERAN GALLAGHER

85250

Primary

Single Family

N

360

359

92105624

JENNIFER N. UNDERHILL

27603

Primary

Single Family

N

360

359

92108985

MAURO L. ESTRADA

20906

Primary

Single Family

N

360

359

92119098

CYNTHIA HUIE-ROSE

95125

Primary

Single Family

N

360

359

92119842

MARLENE REYES

90016

Primary

2 Units

N

360

359

92120250

ROBERT L. BOYD

92040

Primary

Single Family

N

360

359

92120482

LAURA L WOODWARD

60481

Primary

Single Family

N

360

359

92120882

ALFRED URIBE

95337

Primary

Single Family

N

360

360

92123667

JOSEPH MEGALE

83333

Investor

Single Family

N

360

359

92125339

RAMIRO ISLAS

92234

Primary

Single Family

N

360

359

92126971

JANET LU LUNA

89148

Primary

PUD

N

360

359

92129115

BEAU M HARTWELL

55408

Primary

2 Units

N

360

359

92129707

MICHAEL B. MCGANN

33458

Primary

Single Family

N

360

359

92130468

MARYCELIS KEISER

33319

Investor

PUD

N

360

359

92130580

JOHN GANO

95624

Primary

Single Family

N

360

360

92134644

JEFFREY TORREZ

85041

Second Home

PUD

N

360

360

92136700

WILLIAM ROBERT ROSSI

7712

Investor

Condominium

N

360

359

92139893

MOUNA M. KARKABA

48126

Primary

Single Family

N

360

359

92140653

PAMELA S MCDONALD

21054

Primary

PUD

N

360

360

92140693

ANN S TYLER

95377

Primary

Single Family

N

360

359

92141077

WALTER BUKOWSKI

7090

Primary

Single Family

N

360

359

92141293

SULANZ ORREGO

33190

Primary

PUD

N

360

359

92144693

ROXANA FERNANDEZ

33173

Primary

Single Family

N

360

359

92146334

MICHAEL J. MORRISS

93257

Primary

Single Family

N

360

359

92146630

DAVID J SHELTON

91761

Primary

Single Family

N

360

359

92146870

WANDA T SILVEIRA

95380

Investor

Single Family

N

360

359

92148142

JASON M FROMI

33161

Primary

Single Family

N

360

359

92152654

ROBERT ORTIZ

92679

Primary

PUD

N

360

359

92153054

TANIA IRATO

95382

Primary

Single Family

N

360

359

92157407

FERNANDO FRANCO

33351

Primary

PUD

N

360

360

92162424

SAMUEL C RIVERA

85213

Primary

Single Family

N

360

359

92164376

SAGE MAJOR

92807

Primary

Single Family

N

360

359

92164552

GARY B OSBORN

60089

Primary

Single Family

N

360

359

92165160

KENNETH W KESLER

92345

Primary

Single Family

N

360

359

92167168

MARIA MENDEZ

90001

Primary

Single Family

N

360

360

92168496

JERRY STATHAM

33444

Second Home

Single Family

N

360

359

92168648

JAMES E CRISMON Jr.

84043

Primary

Single Family

N

360

359

92173521

DEBRA A PETERSON

55303

Primary

Single Family

N

360

359

92174033

D DWIGHT GORDON

22310

Investor

PUD

N

360

359

92177089

MARLA J MORGAN

85006

Primary

Single Family

N

360

359

92177609

KIMBERLY A. ZAGAR

89014

Investor

PUD

N

360

359

92178114

KEITH A LAFFERTY

8204

Investor

Single Family

N

360

359

92184618

CASSANDRA WHITAKER

30213

Primary

PUD

N

360

359

92185314

JOSE G LOPEZ

89115

Primary

Single Family

N

360

359

92186347

SCOTT HILLER

92019

Primary

Single Family

N

360

359

92187467

JAMES T. MULREADY

94087

Primary

Single Family

N

360

359

92191595

LORELIE LOPEZ

33029

Primary

PUD

N

360

360

92195124

LARRY J KOOIMAN

92583

Primary

PUD

N

360

359

92195140

EMIL F FELARCA

92154

Primary

PUD

N

360

360

92197804

ROBERT L MARCH

85028

Primary

PUD

N

360

359

92197988

RICHARD LUJAN

89431

Primary

Single Family

N

360

359

92200212

SETH A. SCHOLZ

55024

Primary

Condominium

N

360

359

92200492

RODULFO V. FERRER

89122

Second Home

PUD

N

360

360

92202613

HUNG TRONG NGUYEN

95210

Primary

Single Family

N

360

359

92202709

RAFAEL GONZALEZ RAMIREZ

95360

Primary

Single Family

N

360

359

92204709

RICHARD A JOHNSON

92504

Primary

Single Family

N

360

359

92205349

RALPH STUART

87505

Primary

Single Family

N

360

359

92205477

ROBIN L WILEY

87507

Primary

Single Family

N

360

360

92205517

SPENCER JEFFREY THOMPSON

95361

Primary

Single Family

N

360

359

92205597

JOHN ASHLEY ROWAN

98146

Primary

Single Family

N

360

359

92207381

DOROTHY ANNE KATZENSTEIN

48009

Primary

Single Family

N

360

359

92210198

JOHN AMES CROSS

91406

Primary

Single Family

N

360

359

92218439

MICHAEL W MALONE

89131

Primary

PUD

N

360

359

92219567

MARIA E. ALVAREZ

95824

Primary

Single Family

N

360

359

92220287

TIMOTHY B JULIUSSON

60614

Investor

4 Units

N

360

359

92222823

JAMES R HENTZELL

53089

Primary

Single Family

N

360

359

92225111

DELVON SPEARS

20616

Primary

Single Family

N

360

359

92226736

ISALINO C MELO

1852

Primary

Single Family

N

360

359

92231816

WILLIAM K FULTZ

95119

Primary

PUD

N

360

359

92232528

KELLY KORTEN

98203

Primary

PUD

N

360

359

92234505

DENNIS A JACKMAN

15061

Investor

4 Units

N

360

359

92236081

LINDSEY A DUDEVOIR

84109

Second Home

Single Family

N

360

359

92237457

KIM JON ULLFERS

97377

Primary

Single Family

N

360

359

92244930

EMILY CANO

95363

Investor

Single Family

N

360

359

92245538

JENNIFER BOITEL

49431

Primary

Single Family

N

360

359

92247890

DAN JIMERFIELD

95631

Primary

Single Family

N

360

359

92251171

WALTER MORRIS III

91910

Investor

Single Family

N

360

359

92253795

GREG GOLDSMITH

80229

Investor

Single Family

N

360

360

92255019

EDDIS A HERNANDEZ

7662

Primary

Single Family

N

360

359

92262140

MARK RUNYON

95354

Investor

PUD

N

360

359

92266421

BELINDA M BLADES-KECKLER

98012

Primary

Single Family

N

360

359

92266493

DAVID JOBB

91351

Primary

Condominium

N

360

359

92267349

RODNEY MARTIN

7106

Investor

Single Family

N

360

359

92268413

MICHAEL D STOEPPELWERTH

95492

Primary

Single Family

N

360

359

92269165

DAVID A. LADD

53714

Primary

Single Family

N

360

359

92270085

BRETT NORQUIST

98072

Primary

Single Family

N

360

359

92273037

ROSEANN HUDSON

85304

Primary

Single Family

N

360

359

92274118

ROBERT A. ROSS

33316

Primary

Single Family

N

360

359

92274430

ERNESTO REYES

34743

Primary

Single Family

N

360

359

92274590

ELMER C RIBEIRO

33413

Investor

PUD

N

360

360

92289375

TIMOTHY J CURTICE

95340

Primary

Single Family

N

360

359

92293200

ROBERT B. BARNES

89123

Primary

Single Family

N

360

359

92295032

LUE THAO

95340

Primary

Single Family

N

360

359

92296432

FRANCISCO J FUENTES

34953

Primary

Single Family

N

360

359

92297008

HARRY E JOHNSON

94565

Primary

Single Family

N

360

359

92298809

FLOR A LOPEZ

90022

Primary

Single Family

N

360

359

92301777

RICHARD D. DUFFEY

94568

Primary

Single Family

N

360

359

92304457

SERGEY YELCHANINOV

98604

Primary

Single Family

N

360

359

92305754

PETER CALLISON

85251

Investor

Condominium

N

360

359

92305842

VIRGINIA K. BROACH

92154

Primary

Condominium

N

360

359

92306058

JOHN O'DONNELL

34134

Primary

PUD

N

360

359

92310866

SANDRA L STROMBERG

55102

Investor

2 Units

N

360

359

92310906

PATRICK L MONTGOMERY

45249

Primary

Single Family

N

360

359

92313610

BEVERLY D BOATENG

20708

Investor

Single Family

N

360

360

92314971

AMELIA DIAS

33441

Primary

Condominium

N

360

359

92315651

JESUS GARCIA

92503

Primary

Single Family

N

360

359

92316627

ROGELIO GARCIA

91910

Primary

Single Family

N

360

359

92316955

MELANIE J LONG

33971

Primary

Single Family

N

360

359

92317891

SEAN MACHUSKO

15062

Primary

Single Family

N

360

360

92318307

KENNETH S HENDERSON

85383

Investor

PUD

N

360

359

92318955

TIMOTHY J MCNAMARA

89074

Primary

PUD

N

360

359

92323764

CHRISTOPHER J WRIGHT

92570

Primary

Single Family

N

360

359

92323884

ALLEN T AJERO

91913

Primary

PUD

N

360

359

92324476

ULRICH TORRES

93445

Investor

Condominium

N

360

359

92328364

MICHELLE MADRID

94534

Primary

PUD

N

360

359

92331989

ANTONIO LUNDGREN Jr.

94531

Primary

Single Family

N

360

359

92332109

BRANDON LEE PAGE

90802

Primary

Condominium

N

360

360

92333133

WILLIAM B MEIER

17603

Investor

Single Family

N

360

359

92338302

MARK E RAMOS

89074

Primary

Single Family

N

360

359

92345054

DANA LEVANDUSKI

49345

Primary

Single Family

N

360

359

92345286

THANH NGOC NGUYEN

92703

Investor

PUD

N

360

359

92346623

GUADALUPE ESPITIA

89122

Primary

Single Family

N

360

360

92348423

DENISE KATHLEEN BRYANT

95610

Primary

Single Family

N

360

359

92349311

PHILLIP R. BEARDSLEY

92570

Primary

Single Family

N

360

359

92349407

SHARON P. YOUNG

20721

Primary

PUD

N

360

359

92351775

MARTIN L SMITH

20194

Primary

PUD

N

360

359

92354448

JAMES PATRICK STEFANAK

29572

Second Home

Condominium

N

360

359

92357072

CLAUDIA QUINTANILLA

93610

Primary

PUD

N

360

359

92357216

PAUL CHENGER

34120

Second Home

Single Family

N

360

360

92357736

JOHN E REBERRY

48066

Investor

Single Family

N

360

359

92358256

JEREMY CAMPBELL

33971

Primary

Single Family

N

360

359

92359024

ROBERT J HUGUS

33414

Investor

Single Family

N

360

359

92368161

ELADIO MADRIGAL

95354

Primary

Single Family

N

360

359

92369874

BRIAN R CAMPBELL

85249

Primary

PUD

N

360

359

92375298

CYNTHIA JONES

95252

Investor

Single Family

N

360

359

92375426

PAUL BROWN

95407

Primary

PUD

N

360

360

92379803

DOUGLAS R MAROONEY

80110

Primary

Single Family

N

360

359

92381987

STEVE VENTO

33334

Primary

2 Units

N

360

359

92383579

HAIKYONG CHONG

99504

Investor

4 Units

N

360

359

92383723

HENRY MEDNIKOFF

34951

Second Home

PUD

N

360

359

92383923

BILLY R ADAMS

99504

Primary

Single Family

N

360

359

92384707

MARIAH RIPMA

33469

Primary

Condominium

N

360

359

92385027

BRIAN C JAMES

34242

Primary

Single Family

N

360

360

92385131

CHARLES R. GASKILL

90815

Primary

Single Family

N

360

359

92385419

RONEN OFNER

90024

Primary

Condominium

N

360

359

92385900

DORONIT O. ROTH

85024

Primary

PUD

N

360

359

92387532

JAMES E BLUMER

89031

Primary

Single Family

N

360

359

92388660

NORMAN PHILLIP BENNETT

32550

Investor

Condominium

N

360

359

92389884

KATHLEEN A GASKIN

85375

Second Home

PUD

N

360

359

92390164

NIKKI INNES

85297

Primary

PUD

N

360

359

92397573

ALEXIS KERMANI

91364

Primary

Single Family

N

360

359

92399053

CHRISTOPHER J NIEHAUS

49240

Primary

Condominium

N

360

359

92399165

WILFRED CABALLERO

22046

Primary

Single Family

N

360

360

92399957

EDDIE TRAVIS Jr.

80920

Primary

Single Family

N

360

359

92400445

MARK D. ABRAHAMS

33330

Primary

PUD

N

360

359

92403126

STEVEN D SCHMIDT

33573

Primary

PUD

N

360

360

92404270

FRANCISCO BARRANCO

92707

Primary

Condominium

N

360

359

92405350

CALSANG N IVANCHUKOV

32569

Primary

Single Family

N

360

359

92408094

LETICIA RAMIREZ

91764

Primary

Single Family

N

360

359

92413343

TRAVIS MOORER

95823

Investor

PUD

N

360

359

92413543

PHONG T VO

89138

Primary

Single Family

N

360

360

92413671

PEDRO ARECHIGA

95350

Primary

Single Family

N

360

359

92415399

CHRISTINE ARANA

92507

Primary

Single Family

N

360

359

92415511

ABRAM M CARREON

92337

Primary

Single Family

N

360

359

92416391

SUE A BELZER

93001

Primary

Single Family

N

360

359

92418848

ROGELIO ESTRADA

92504

Primary

Single Family

N

360

359

92422416

TONYA L ROY

53142

Primary

Single Family

N

360

360

92423000

FRANKLIN D. BOYKIN Jr.

29501

Primary

Single Family

N

360

360

92428233

JUDITH JACOBS

11753

Primary

Single Family

N

360

360

92430137

ERNESTINE BOOKER

93277

Investor

Single Family

N

360

359

92430257

GIOVANNI LEONE

92562

Primary

Single Family

N

360

359

92432865

ROGER J GONSOROWSKI

56303

Investor

2 Units

N

360

359

92432897

MITCHELL D SPIEKERMAN

98664

Primary

Single Family

N

360

359

92434026

GLENN A AYERS

38119

Second Home

Single Family

N

360

359

92434194

MICHELLE ANNE WOLLOFF

91604

Primary

Single Family

N

360

359

92435298

ERIN M SALISBURY

85086

Primary

PUD

N

360

360

92436106

ARTURO MERCADO

91706

Primary

Single Family

N

360

360

92441939

FRANCISCO Y. LADO

8034

Primary

Single Family

N

360

359

92443499

CAROLS GOMEZ

80239

Investor

Single Family

N

360

359

92443747

CLARA LEE

8003

Primary

Single Family

N

360

359

92444491

CHERYL L LINERO

90041

Primary

Single Family

N

360

359

92445035

ERICK MOREAU

94708

Primary

Single Family

N

360

360

92449516

PEDRO RIVAS

91950

Primary

Single Family

N

360

359

92449684

MICHAEL C PADDEN

80229

Primary

Single Family

N

360

359

92452876

WILLIAM M SHANER

95828

Primary

Single Family

N

360

359

92456428

WAYNE H. DAVIS

94560

Primary

Single Family

N

360

359

92459381

TRAVIS A ROSS

95380

Primary

Single Family

N

360

359

92459525

PAUL CRANDELL

96161

Primary

Single Family

N

360

359

92459845

ELAINE F PIECHOTA

8008

Investor

Single Family

N

360

359

92463693

TIM SHIU

94805

Primary

Single Family

N

360

359

92463989

BRIAN D SMITH

86404

Primary

Single Family

N

360

359

92467822

CHRISTOPHER GARMAN

85338

Primary

PUD

N

360

359

92468526

ROBERT GRIFE

8048

Primary

Single Family

N

360

359

92470726

XIOMARA PARRA

32703

Primary

PUD

N

360

359

92472494

ERNEST F FALCO Jr.

32137

Primary

Condominium

N

360

359

92472718

CHRISTIAN RAINERI

32176

Primary

Single Family

N

360

359

92473110

PAUL H DALRYMPLE

30019

Primary

PUD

N

360

359

92477223

ROGER B. IMERMAN

48328

Primary

Single Family

N

360

360

92477367

OLGA NINO

11361

Primary

Single Family

N

360

360

92477407

TONY T LUPETALIAAMI

29582

Investor

Condominium

N

360

359

92479679

KENNETH R ALEXANDER

32225

Primary

PUD

N

360

359

92481095

CRAIG CALHOUN

76180

Primary

Single Family

N

360

360

92485112

ALICE M KIBWAA

95401

Investor

Single Family

N

360

360

92487304

FRANCIS MCLAUGHLIN

8753

Primary

Single Family

N

360

359

92491065

VALLERIE VACA

34134

Second Home

Condominium

N

360

360

92493633

JUSTINO O ALARCON

92105

Primary

Single Family

N

360

360

92494337

ANTHONY P BONA

92075

Investor

Condominium

N

360

359

92499074

SHUSHANIK GEOVSHANYAN

91206

Primary

Single Family

N

360

360

92500794

NADIA QURESHI-COMBS

89110

Primary

PUD

N

360

359

92501234

ANTHONY H. KOSAKA

94536

Investor

Condominium

N

360

359

92503570

RICHARD POTESTE

85203

Investor

Single Family

N

360

359

92503858

MICHAEL C JOHNSTON

94010

Investor

Single Family

N

360

359

92504050

MARIE B SMITH

85382

Primary

Condominium

N

360

360

92507763

JOHN ESLICK

93063

Investor

Single Family

N

360

360

92512419

JUNG M. YUN

19115

Primary

Single Family

N

360

359

92514292

JUSTIN BROWN

85085

Primary

PUD

N

360

360

92516460

VIVIAN COONEY

18337

Primary

PUD

N

360

359

92521028

RICHARD FREDERICK GRIEVE

95490

Primary

Single Family

N

360

360

92525733

ROSEMARIE MAROUSEK

89014

Second Home

PUD

N

360

360

92533686

STANLEY I BRODY

19044

Primary

Single Family

N

360

359

92533846

EDWARD A CAMPOS

91935

Primary

Single Family

N

360

359

92537599

DREW J PERSHA

85379

Primary

PUD

N

360

360

92539151

MANUEL G MACIAS

91744

Primary

Single Family

N

360

359

92544087

BRUCE MALNOR

49829

Investor

Single Family

N

360

360

92545768

BEECHARD C MCCONNELL Jr.

29401

Primary

Single Family

N

360

360

92549488

JESUS GUILLEN

91768

Primary

Single Family

N

360

360

92549720

DARRYL E BEMBRY

33404

Primary

PUD

N

360

360

92551232

ELSIE B OSOTIO

95340

Primary

Single Family

N

360

359

92554081

JOSE L ALVAREZ

33068

Primary

Single Family

N

360

360

92556681

SERGEI SELEZNEV

94015

Primary

Single Family

N

360

359

92556913

SANTIAGO OLAGUIBEL

11423

Investor

2 Units

N

360

359

92557001

SHIRLEY A. KUGLER

33067

Second Home

Condominium

N

360

359

92557737

HEIDI F MEREDITH

60202

Primary

Single Family

N

360

359

92558321

JONATHAN G BEAUREGARD

92411

Primary

Single Family

N

360

360

92563210

COLBY BALLINGHAM

89521

Primary

PUD

N

360

360

92566018

ARTHUR DE JOYA

89123

Primary

PUD

N

360

356

92567042

MARIA A FRANCO

33144

Primary

Single Family

N

360

360

92569419

AMTUL KHAN

95835

Primary

Single Family

N

360

359

92570139

ELIZABETH ANNE HERNANDEZ

87507

Primary

Single Family

N

360

360

92570179

RICHARD H CLIFTON Jr.

98684

Primary

Single Family

N

360

360

92572979

CARLOS VILLARREAL

93638

Second Home

Single Family

N

360

360

92573347

KATHLEEN SHORT

30132

Primary

Single Family

N

360

359

92573531

ARMANDO LOPEZ DIAZ

91335

Primary

Condominium

N

360

359

92584036

MICHAEL L. MUSICK

66062

Primary

Single Family

N

360

359

92586189

JUSTIN L FERGUSON

84651

Primary

Single Family

N

360

360

92588461

FRANCIS M. AMBREY

98052

Investor

PUD

N

360

360

92590157

BEULAH I FARRIS

34684

Second Home

PUD

N

360

360

92595006

SEAN GRAMM

8087

Primary

Single Family

N

360

360

92597070

HAE JUNG KIM

99515

Primary

PUD

N

360

360

92601223

SCOTT GRASMOEN

95050

Investor

Single Family

N

360

360

92601231

GILBERTO ALMADER

92154

Primary

Single Family

N

360

359

92604143

GLENN A CARR

87501

Primary

Single Family

N

360

359

92604167

SINEAD C MARRON

87507

Primary

PUD

N

360

360

92606023

DAWN FRITZ

48529

Primary

Single Family

N

360

359

92606199

MASOOD MADANI

95005

Investor

Single Family

N

360

359

92606735

JON PAUL MARTIN

33606

Second Home

Single Family

N

360

360

92611824

PABLO OCHOA SANCHEZ

90605

Primary

Single Family

N

360

360

92618409

GUIDO GONZALEZ

33177

Primary

Single Family

N

360

359

92625057

ANNETTE BEVERLY WILLIAMS

33437

Primary

PUD

N

360

360

92625170

SCOTT COFFEY

92807

Primary

Single Family

N

360

360

92626706

WALTER F AHLES

85296

Investor

PUD

N

360

360

92627586

KAY E FISHER

78759

Primary

Single Family

N

360

360

92631138

KEVIN C. KRIER

33040

Primary

PUD

N

360

360

92631146

HECTOR GOMEZ

91910

Primary

PUD

N

360

359

92641708

VICTOR GARCIA

91335

Primary

Single Family

N

360

360

92642028

SALVADOR PEREZ

95632

Primary

Single Family

N

360

360

92643076

JILL SMITH

76248

Investor

Single Family

N

360

359

92643508

ERVIN KENDALL

94591

Primary

Single Family

N

360

360

92656485

JOHNNY MATHIS

94590

Investor

3 Units

N

360

359

92656597

STEVEN R HEMSTREET

92101

Investor

Condominium

N

360

360

92658006

REYNALDO PEREZ

60171

Primary

Single Family

N

360

360

92662414

MICHAEL T KASSINGER

92253

Primary

PUD

N

360

360

92664102

JOSEPH PEDROZA

60639

Primary

2 Units

N

360

360

92664846

DAVID STEWART CARGILL

90292

Primary

Condominium

N

360

360

92665046

DOUGLAS W SELLERS

33028

Primary

Single Family

N

360

360

92668711

STEVE UNTORIA

91792

Primary

4 Units

N

360

360

92669295

DONALD H. WILCOX

95476

Primary

Single Family

N

360

360

92674280

RONALD W FAIRCHILD

89014

Primary

PUD

N

360

359

92675616

FERNANDO A AYLLON

85250

Second Home

Condominium

N

360

360

92675688

FREDDIE FUENTES

89141

Primary

PUD

N

360

359

92677696

HENRY C WILLIAMS

94601

Investor

4 Units

N

360

360

92685753

BAHRAM KHALIGHI

95834

Primary

Single Family

N

360

360

92687081

SALWANT SINGH

20170

Primary

PUD

N

360

360

92692834

TERRY LAWRENCE

81506

Primary

Single Family

N

360

360

92693130

MARGARITO SILVA

85303

Primary

Single Family

N

360

360

92695226

MARIO A CARLOS

90631

Primary

Single Family

N

360

360

92695322

MARTHA GRACE FLANNERY

87501

Primary

Single Family

N

360

360

92700403

ALFREDO A ALEGRE

94806

Primary

Single Family

N

360

360

92702779

MICHAEL M. KUNCE

78654

Second Home

PUD

N

360

359

92706444

MICHAEL HOLLMAN

94553

Primary

PUD

N

360

360

92706828

KATHY K SCOTT

92570

Primary

Single Family

N

360

360

92707532

JOHANNA CASTRO

8028

Primary

Condominium

N

360

360

92708532

FRANK CATANDO

8002

Primary

Single Family

N

360

360

92710108

JAMES A PRICE

33411

Investor

Condominium

N

360

360

92726206

RUSSELL GLENN

92130

Primary

Condominium

N

360

360

92729543

THULE TRAN

89122

Second Home

PUD

N

360

360

92734535

LOUISE KREINER

1913

Primary

Condominium

N

360

360

92737992

ALEXANDER GIVERTS

85022

Investor

Condominium

N

360

360

92738256

SOO IK OH

8816

Primary

Single Family

N

360

360

92738384

BENJAMIN OSEGUERA

92570

Primary

Single Family

N

360

360

92741304

GILBERT D JUAREZ

92008

Primary

PUD

N

360

359

92741840

BRENDA M MCMILLAN

92879

Primary

Single Family

N

360

360

92742088

KIM NHUNG NGUYEN

95758

Primary

Single Family

N

360

360

92744360

DIANA L MILLER

92203

Primary

PUD

N

360

360

92747385

ELISEU M. LUCASIN

33414

Primary

PUD

N

360

360

92747825

OSWALDO ARIAS

33194

Primary

Single Family

N

360

360

92751561

RICHARD G STEPHENS

89145

Primary

Single Family

N

360

359

92754482

RICHARD LOPEZ Jr.

85210

Primary

Single Family

N

360

360

92757474

HEBA FANGARY

92346

Primary

Single Family

N

360

360

92761235

THOMAS A FOLEY

11758

Primary

Single Family

N

360

359

92765267

SCOTT SHUHWERK

95747

Primary

Single Family

N

360

360

92772220

ALBERT NAVARRO

92570

Primary

Single Family

N

360

360

92777717

RONALD L HENSON

95818

Investor

Single Family

N

360

360

92778677

JAMES SPRINGER

89052

Primary

PUD

N

360

360

92779957

EDWARD RAMIREZ

95076

Primary

PUD

N

360

360

92780133

WILLIAM F ROBBINS

95531

Primary

Single Family

N

360

360

92782365

BALLEY E LAMBDIN

97862

Primary

Single Family

N

360

360

92796815

EDGAR BALLESTEROS

91911

Primary

Single Family

N

360

360

92797511

FRIDA OSIPO

91042

Primary

Single Family

N

360

360

92799279

RAFFI NENEJIAN

11703

Primary

Single Family

N

360

360

92800856

RODNEY BRETHOWER

85263

Primary

Single Family

N

360

360

92809145

DEBORAH NILESMORGAN

1085

Primary

Single Family

N

360

360

92813697

EUGENE C PENABELLA

91915

Primary

Condominium

N

360

360

92819402

DAVID W SCOTT

85236

Investor

PUD

N

360

360

92821146

ROBERT R MACDONALD

33919

Primary

Single Family

N

360

360

92837820

CARY ALLEN NOSLER

95608

Primary

Single Family

N

360

360

92840564

CHARLES B WILLIAMS

20603

Primary

PUD

N

360

360

92841869

JERRY ORTIZ

90660

Primary

Condominium

N

360

360

92842461

JEFFREY M RIFKIN

85086

Primary

PUD

N

360

360

92846493

MARIA ESTHER AYORA

93312

Primary

Single Family

N

360

360

92846965

DENNIS ALESSANDRO

85238

Investor

Condominium

N

360

360

92858463

MARIA R MARROQUIN

92262

Primary

Single Family

N

360

360

92860543

KAREN A KELLEJIAN

94513

Primary

Single Family

N

360

360

92871440

MARY ANN FITZPATRICK

48843

Primary

Single Family

N

360

360

92891595

THOMAS COE HOWLAND

94585

Primary

Single Family

N

360

360

92893291

STEVEN A. ANDERSON

33971

Primary

Single Family

N

360

358

92908557

RAUDEL CASTANEDA

95340

Primary

Single Family

N

360

359

92913606

JODI ANNE CUNNINGHAM

89074

Primary

PUD

N

360

360

92928039

DOK YU RYU

8068

Investor

Single Family

N

360

360

92939241

LANCE J OUBRE

23456

Primary

PUD

N

360

360

92953443

ANTONIO ANAYA

95963

Primary

Single Family

N

360

360

92957355

THOMAS S. SCESNIAK

98144

Primary

Single Family

N

360

360

92962860

EDWARD DAVIS

34113

Investor

PUD

N

360

360

92968004

MERLE L. WALKER

92008

Primary

Single Family

N

360

360

93005505

FRED GUSTAFSSON

91773

Primary

Condominium

N

360

360

93020939

ARISTIDES ALMANZA

32809

Primary

Condominium

N

360

360

93026372

BERNICE V DICKENS

20744

Primary

Single Family

N

360

359

93027356

CYNTHIA LEE PLEHN

90045

Primary

Single Family

N

360

360

93035237

VICTOR M ENRIQUEZ

93041

Primary

Single Family

N

360

360

93050319

THERESA M BOSCO

89506

Primary

PUD

N

360

359

93057072

BRIAN E. LAWRENCE

92009

Primary

PUD

N

360

360

93066057

JOSEPH DUKER

7039

Primary

Single Family

N

360

360

93075546

MARGARET M ADAMS

8724

Primary

Condominium

N

360

360

93081627

LESLIE D BISHOP

65203

Primary

Single Family

N

360

360

93100853

SPIRIDON SARANTIDIS

33405

Primary

Single Family

N

360

359

93110926

JOE CURRIE

89148

Primary

Single Family

N

360

359

93112471

ZYGMUNT ZUKOWSKI

60631

Primary

Single Family

N

360

359

93193457

KERLENE MCKELLOP

6902

Primary

Single Family

N

360

360

93286724

JOSEPH UMIDI

23508

Investor

4 Units

N

360

359

93289133

DAVID A STEPHENS

93602

Primary

Single Family

N

360

360

93310351

THOMAS H CARVER

10301

Primary

Single Family

N

360

359

9335697

MAYOLA A PERRY

90220

Primary

Single Family

N

360

358

93359966

MOHAMMAD DEURA

6615

Investor

2 Units

N

360

359

93366686

ALEXANDER SABONGE

33027

Primary

PUD

N

360

359

9371331

DAVID MARTINEZ

78415

Primary

Single Family

N

360

360

9475303

GENARO CAMPOS

95206

Primary

Single Family

N

360

359

94830816

KATHLEEN A ZIELINSKI

92840

Primary

Single Family

N

360

358

94830872

CANDICE LANDEROS

92840

Primary

Single Family

N

360

358

94835863

JOSE L MARTINEZ

92544

Primary

Single Family

N

360

360

94838559

QINGYAO HUANG

89031

Primary

PUD

N

360

358

94848177

EVA M ALVES

95648

Investor

PUD

N

360

359

94849801

WILLIAM S WILLIAMS

33305

Primary

Single Family

N

360

357

94871688

MAX SWEET

21701

Investor

PUD

N

360

357

94871704

MAX SWEET

21703

Investor

PUD

N

360

357

94872722

ROBERT G BURT

32224

Investor

PUD

N

360

357

94885433

PAUL JACKSON

90059

Primary

Single Family

N

360

360

94887969

MICHAEL DALSIN

33043

Primary

Single Family

N

360

358

94906918

CAROL DELUCCIA

8757

Primary

PUD

N

360

357

94909072

NOOSHIN SHAHABI

92603

Primary

Single Family

N

360

357

94926237

BARBARA EDEN

8882

Primary

Single Family

N

360

357

94926664

TYLER ROBERTS

83713

Investor

PUD

N

360

358

94927687

KEEFE RANIER

08837

Primary

Single Family

N

360

358

94927711

DANI MEJIA

8861

Primary

2 Units

N

360

357

94929148

DANIELLE T NGUYEN

20169

Primary

PUD

N

360

358

94930551

JOHN V MAHAN JR

92653

Primary

Condominium

N

360

358

94945021

MARVIN A MORGENTHAL

89134

Primary

PUD

N

360

359

94945158

KYOUNG OUK HAM

7624

Primary

Single Family

N

360

357

94962820

KENT L PETERSEN

95926

Primary

Single Family

N

360

358

94986965

BARBARA Y ASHLEY

29910

Primary

PUD

N

360

358

94988140

MARLEISA W MONTGOMERY

23434

Primary

PUD

N

360

358

94998761

THOMAS A BEAM

45304

Primary

Single Family

N

360

360

95001846

FRANCISCO ZAVALA

07003

Primary

Single Family

N

360

358

95014614

LISA A MAXWELL

60089

Primary

Condominium

N

360

358

95015774

CLAUDETTE FAKHOURI

92373

Primary

Single Family

N

360

358

95022018

HENRY COLON

33189

Primary

PUD

N

360

358

95022114

FILIBERTO SANCHEZ

33140

Investor

Condominium

N

360

358

95024524

ROBERT V BARKER

98335

Second Home

PUD

N

360

358

95030593

RICHARD S KANG

91602

Investor

Single Family

N

360

358

95030625

HYUNG SOO KIM

91602

Investor

Single Family

N

360

358

95035478

RAQUEL BERGER

07083

Primary

2 Units

N

360

358

95037596

ROBERTO HERNANDEZ

92054

Investor

Single Family

N

360

358

95041161

JESUS DOMING SOSA

92335

Primary

Single Family

N

360

359

95042089

MICHAEL NEST

89113

Primary

Single Family

N

360

358

95044881

DINSHAW HANSOTIA

33160

Investor

Condominium

N

360

358

95053242

ROSA ROSAS

90032

Primary

Single Family

N

360

359

95053498

RAMIRO SANTOS JR

89120

Investor

Single Family

N

360

358

95055771

ELI WEINGARTEN

89144

Investor

PUD

N

360

358

95056667

NORMAN STREICH

33321

Primary

PUD

N

360

360

95062948

RAFAEL S MACHADO

33332

Primary

PUD

N

360

358

95063140

KELLY L RUBI

70006

Investor

Single Family

N

360

358

95065404

GEORGE MURAD

85225

Investor

PUD

N

360

358

95065612

ELIZABETH HUNTE

11217

Primary

2 Units

N

360

359

95070117

ELI WEINGARTEN

89123

Investor

PUD

N

360

358

95077277

ISABEL F SHIRLEY

93446

Primary

Single Family

N

360

358

95077501

LISA ILENE TEICHNER

96785

Second Home

Single Family

N

360

358

95078542

ANTHONY K SONG

89084

Investor

PUD

N

360

359

95079174

KRISTIN PIRANIO

89143

Primary

PUD

N

360

358

95081862

CHAVARAS BENSON

60527

Investor

Condominium

N

360

358

95081982

KEEFE A SCHUNK

55340

Primary

Single Family

N

360

358

95085198

SCOT A FRANCE

89117

Investor

PUD

N

360

359

95089515

FRANK A SEDILLO

87122

Primary

Single Family

N

360

357

95090579

QUINCY A VIRGILIO JR

87505

Investor

Condominium

N

360

358

95095136

LUIS SANCHEZ

33176

Investor

Condominium

N

360

358

95103949

THOMAS M PECHOUS

34217

Primary

Single Family

N

360

357

95108358

DOMINICK FORTUNATO

95650

Investor

PUD

N

360

358

95108447

THOMAS H PRESECAN

22554

Primary

PUD

N

360

357

95129877

PAUL AYOUB

34238

Investor

Condominium

N

360

360

95131755

HERMINIO N VASQUEZ

92804

Primary

Single Family

N

360

358

95137501

H DON HEERMANN

64014

Primary

Single Family

N

360

358

95141483

CHAE MAN PAK

98023

Investor

PUD

N

360

357

95159782

ATKINSON WILLIAMS

90044

Investor

Single Family

N

360

360

95160366

JEFFRY NOMI

95662

Primary

Single Family

N

360

359

9577729

DECLAN O'BRIEN

91501

Primary

Single Family

N

360

357

96191555

DAVID E HUDLOW

32405

Investor

Single Family

N

360

357

96197078

ANDREA V WHYTE

33189

Investor

Condominium

N

360

358

96197256

JOSE R RIVERA

60120

Investor

Single Family

N

360

358

96197513

TERRI HUDSON

94565

Primary

PUD

N

360

358

96197537

PAUL YLARDE

94513

Primary

PUD

N

360

358

96202931

WILLIAM J BRODERICK

60450

Investor

3 Units

N

360

358

96205491

FRED GRAYSON

33334

Investor

Single Family

N

360

359

96206392

SUNDAY OJEH

94806

Primary

PUD

N

360

358

96207584

SALLY O RACKEY

34239

Investor

Condominium

N

360

358

96207632

WILLIAM ZOBRIST

34223

Primary

2 Units

N

360

358

96210258

DANIEL H LOCHTEFELD

92109

Investor

Single Family

N

360

358

96213307

MAVIS LEON

33144

Investor

2 Units

N

360

358

96218277

SHERILYNN NANTKES

80134

Primary

PUD

N

360

359

96223693

ROSA PERALTA

95382

Investor

Single Family

N

360

359

96224525

JESICA AGHASI

95382

Primary

Single Family

N

360

358

96234999

ZURAB AKIRTAVA

10549

Primary

Single Family

N

360

358

96235551

JULIO VINA

33020

Primary

Condominium

N

360

358

96238311

KENT FOX

93612

Primary

Single Family

N

360

358

96248747

JENNIFER L DAVIS

46221

Investor

PUD

N

360

358

96249102

ANDREA S MEISSNER

32504

Investor

Single Family

N

360

358

96249574

SONYA L HUGHES

22191

Primary

PUD

N

360

358

96249654

DAVID T PARDEE

98272

Investor

Condominium

N

360

358

96254588

JUSTIN P HUTCHINSON

84106

Primary

Single Family

N

360

358

96264176

ANTHONY BELLO

07644

Primary

Single Family

N

360

358

96265449

GREGG MCCALLUM

92102

Primary

Condominium

N

360

358

96271651

ERIC D ROSENBLATT

33176

Investor

Condominium

N

360

358

96271683

JAVIER DE LA ROCHA

33411

Investor

PUD

N

360

358

96272886

JENNIFER M ROSS

27949

Primary

Single Family

N

360

358

96279209

LEX SENG PHAN

98031

Investor

PUD

N

360

358

96310142

TIMOTHY D KEYS

22602

Primary

PUD

N

360

358

96310246

JOHN A CANTRALL

20141

Primary

PUD

N

360

358

96310270

ANTHONY S CHOE

22309

Investor

Single Family

N

360

358

96315189

EMILIO SILVEYRA

90631

Investor

Single Family

N

360

360

96319217

ROBERT S SEYBOLT

33870

Primary

Single Family

N

360

358

96319676

LOUIS ABBATO JR

8755

Primary

Condominium

N

360

357

96319684

SYLVAIN CHERESTAL

07083

Primary

Single Family

N

360

358

96323392

LINDA L STEWART

28411

Investor

PUD

N

360

358

96324573

HECTOR I HAYASHI

90248

Primary

PUD

N

360

358

96347795

JOSEPH V DEPAUL

19444

Investor

2 Units

N

360

357

96352029

WALTER D DELSIGNE

92692

Primary

Single Family

N

360

358

96355156

DEREK S EYRING

98403

Investor

3 Units

N

360

358

96399609

MERYL L KAUFMAN

91367

Primary

Single Family

N

360

358

96405186

ANDREW KLEIN

80218

Investor

2 Units

N

360

358

96411314

JOHN J WISOWATY

60622

Investor

3 Units

N

360

358

96411491

ESTELA VILLANUEVA

94560

Investor

Single Family

N

360

358

96417241

RASHAD A BROOKS

22963

Primary

PUD

N

360

358

96423856

JANET T CHEMOTTI

13152

Primary

Single Family

N

360

360

96433694

MELISSA ERLBAUM

93021

Primary

Single Family

N

360

358

96436859

HERMENEGILDO JIM TRINIDAD

94014

Primary

Single Family

N

360

358

96450463

GERALD BLAND

33126

Primary

Condominium

N

360

358

96450511

ROSA Y DEUS

33176

Investor

Condominium

N

360

358

96459539

J JESUS VILLANUEVA

90063

Investor

2 Units

N

360

358

96474814

SHIRLEY B PRICE

92612

Primary

PUD

N

360

358

96475112

KENT J STOVALL

80022

Investor

Single Family

N

360

358

96479216

RICKY N COFFEY

21716

Investor

Single Family

N

360

357

96479240

CURTIS T MASSEY

20019

Primary

Single Family

N

360

357

96479555

DOHUN KIM

07024

Investor

Condominium

N

360

358

96479659

JOHNNY ROSA

08861

Primary

2 Units

N

360

358

96482232

BRUNO BURGIN

92071

Primary

Single Family

N

360

358

96482288

JOHN TISDALE

92107

Primary

Single Family

N

360

358

96482466

SVETOZAR REPAJA

34238

Primary

Condominium

N

360

360

96482482

GERALD J CERCONE

34221

Investor

PUD

N

360

358

96484944

ALEXANDER M SMEDLEY

95209

Primary

PUD

N

360

358

96487545

FRED REYNOLDS

95003

Primary

Single Family

N

360

358

96487585

HOA THI NGUYEN

95126

Investor

Single Family

N

360

358

96494006

MELVIN HIDALGO

90016

Primary

2 Units

N

360

358

96494159

ULISES ANDRADE

98030

Primary

Single Family

N

360

357

96514065

EARL D COKER

83301

Primary

Single Family

N

360

358

96514252

RICK GROSS

75052

Investor

Single Family

N

360

358

96518269

JAMES N HARDWICK

95602

Investor

Single Family

N

360

358

96524849

JAMES D CHILDRESS

32244

Primary

Condominium

N

360

358

96533402

RODELINDA LOPEZ

33025

Primary

PUD

N

360

359

96534274

MICHAEL B GONZALES

85629

Investor

Single Family

N

360

358

96539979

LAURIE MCDOWELL

92036

Primary

Single Family

N

360

359

96545852

AWSAM JAJOU

48030

Investor

Single Family

N

360

359

96550220

NISSIM BEN-SHMUEL

33319

Investor

Condominium

N

360

359

96552381

JACK ALAN GIFT

84414

Primary

Single Family

N

360

359

96560142

IVORY L SCOTT

33905

Primary

Single Family

N

360

360

96565374

ALAN NATHAN

90069

Primary

Single Family

N

360

359

96567326

ANNETTE M MIXSON

29464

Primary

Single Family

N

360

359

96567606

ANTHONY J WERTH

67030

Investor

Single Family

N

360

358

96578896

ANA CINTRA

33131

Primary

Condominium

N

360

358

96589089

JUDY LEMAY

64133

Investor

4 Units

N

360

359

96589145

JUDITH LEMAY

64133

Investor

4 Units

N

360

359

96600395

DAVID PALAFOX

90031

Primary

Single Family

N

360

359

96601307

NEIL P GLANDER

92234

Primary

Condominium

N

360

360

96604243

BRIDGETTE HO CARTER

90703

Primary

PUD

N

360

360

96611377

SANDRA JUNCAL

33160

Investor

Condominium

N

360

358

96611393

WILFRED DIAZ

33154

Investor

Condominium

N

360

358

96614851

JONATHAN A TOTARAM

34736

Investor

PUD

N

360

358

96629665

LEONARD V GIBSON

95348

Primary

Single Family

N

360

358

96647540

THOMAS B EVERLOVE

48138

Primary

Condominium

N

360

358

96651804

REGINALD M HOWARD

20147

Primary

PUD

N

360

357

96651916

THUY N TRAN

22003

Primary

Single Family

N

360

358

96660611

KARLA M ROBINSON

94503

Primary

Single Family

N

360

358

96688071

BENJAMIN SCHERGER

91501

Primary

Condominium

N

360

358

96689204

THOMAS L HULL

34102

Second Home

Condominium

N

360

358

96694133

DOUGLAS HEYDRICK

2155

Investor

2 Units

N

360

359

96694573

ERIC D MCLAUGHLIN

02118

Investor

2 Units

N

360

358

96695750

ARSENIA CATAPUSAN

94521

Primary

PUD

N

360

358

96695822

ERNEL ASUNCION

94517

Investor

Single Family

N

360

358

96698351

STUART J MCALPINE

34286

Investor

Single Family

N

360

357

96700090

JAMES GAY

32724

Investor

PUD

N

360

358

96700130

GLORIA RESTREPO

32708

Investor

PUD

N

360

358

96705682

R BRUCE SAUNDERS

94558

Primary

Single Family

N

360

358

96713550

JOSEPH BARTFIELD

34453

Investor

Single Family

N

360

358

96730692

LAWRENCE P MANSKE

53066

Primary

Single Family

N

360

358

96739802

KATRINA TAYLOR

77581

Primary

PUD

N

360

358

96772188

ARTHUR BRASWELL

90037

Primary

4 Units

N

360

360

96772524

ANITA MERRITT

92704

Primary

Condominium

N

360

360

96775157

DEBORAH A WAGNER

33026

Primary

PUD

N

360

359

96785921

ARGENTINA MARADIAGA MATA

20164

Investor

PUD

N

360

357

96795807

FRANCISCO ABANTO

33126

Primary

Condominium

N

360

358

96797096

RYAN J CSAFTIS

97501

Investor

Single Family

N

360

359

96797137

L BERNARR KELLY

32541

Primary

Single Family

N

360

358

96797483

EDWIN E LORENZANA

2124

Primary

Single Family

N

360

357

96806708

JOHN P DOHERTY

2124

Investor

2 Units

N

360

358

96807580

DEBRA J DUNNE

1930

Investor

Single Family

N

360

358

96807676

JOHN O'DRISCOLL

2171

Investor

Single Family

N

360

358

96810843

J B GUARINO-SANDERS

40207

Primary

Single Family

N

360

357

96816226

R E SAKOWICZ

92264

Primary

Single Family

N

360

358

96816677

KRISTIN OCONNOR

59716

Investor

Condominium

N

360

359

96816805

PETER W DANCZEWSKI

37188

Second Home

Single Family

N

360

358

96882992

MARTIN ARROY CRUZ

92009

Primary

PUD

N

360

359

96887443

PAUL RODRIGUEZ

95642

Primary

Single Family

N

360

358

96905151

GLORIA BOYLE

48334

Investor

Single Family

N

360

358

96920942

PHILIP G BARNES

98390

Primary

Single Family

N

360

358

96926296

SUSAN DEVITT

90292

Primary

4 Units

N

360

358

96927703

MICHAEL E WARREN

32550

Investor

2 Units

N

360

360

96930906

MARJORIE ANN W PRICE

22193

Primary

PUD

N

360

358

96930970

SAHUL N SHARMA

22030

Primary

PUD

N

360

357

96935042

DONNIE WADE

30269

Investor

Single Family

N

360

358

96948848

RICHARD C SIMONE SR

01604

Primary

3 Units

N

360

358

96954702

SUMMER A WIEDENBEIN

45213

Investor

Single Family

N

360

358

96955767

NEMATULLAH AKRAM

22311

Investor

Condominium

N

360

358

96956704

DONALD J HATFIELD

98282

Primary

Single Family

N

360

360

96957011

BARRY LEDFORD

92120

Primary

Single Family

N

360

358

96976832

PAUL L VIANI

92109

Investor

Condominium

N

360

358

96987478

EMILY S SIMONE

93619

Primary

Single Family

N

360

358

96999192

WILY Y SEJAS

20109

Investor

PUD

N

360

358

97025157

CHRISTINA A CHRISTIAN

60544

Primary

PUD

N

360

358

97030737

LANDON W SPEARMAN JR

94546

Primary

Single Family

N

360

358

97031277

MARIA P REDMOND

60070

Primary

Single Family

N

360

358

97032726

FRANK WHITELEY

32926

Primary

Single Family

N

360

358

97039571

MIGUEL GIL CATALA

91040

Investor

Single Family

N

360

357

97041562

JUSTINE WEBB

94555

Primary

PUD

N

360

358

97041754

JOSEPHINE B RAVAL

94080

Primary

Single Family

N

360

358

97042082

ALFONZIA THO HARPER

94112

Investor

Single Family

N

360

358

97042154

BRENDA HAMILTON

95624

Primary

PUD

N

360

358

97064172

MICHAEL R MCALPIN

23112

Primary

Single Family

N

360

358

97076589

VICTORIA KEANE

34289

Investor

PUD

N

360

358

97080492

FERDINANDO SINAGRA

8812

Investor

Condominium

N

360

358

97080661

LAZARO A ORTEGA

33126

Primary

Condominium

N

360

358

97080717

BARBARA M LAMBERT

33018

Investor

Condominium

N

360

358

97081047

GEORGIA N PHILIP

94070

Investor

Single Family

N

360

358

97083773

JOSE M DIAZ

02136

Primary

Single Family

N

360

358

97084289

VANESSA RIVERA

34758

Primary

PUD

N

360

358

97086718

ALEXANDER MEJIA

08861

Primary

2 Units

N

360

358

97086806

GLADYS GUTIERREZ

07011

Primary

Single Family

N

360

358

97086927

JOSHUA MANWARING

83616

Primary

PUD

N

360

358

97092373

ILA WIENER

34986

Investor

Condominium

N

360

358

97097383

THOMAS L EARNSHAW

75218

Investor

Single Family

N

360

358

97101167

PAUL F SCHELL

92108

Primary

Condominium

N

360

358

97106021

DON RAPHAEL RODMEL

92057

Primary

Condominium

N

360

358

97112429

FRED C MACFARLANE

97520

Primary

Single Family

N

360

358

97122378

JUANA R MARQUEZ

95316

Investor

Single Family

N

360

358

97122466

ROBERT HONBERGER

95357

Primary

Single Family

N

360

358

97131469

RICHARD D LANGDON

95503

Investor

Single Family

N

360

359

97135006

SEAN O CURTIS

70117

Investor

Single Family

N

360

358

97142247

IGOR NAROVSKY

95757

Primary

Single Family

N

360

360

97149816

JASON L QUAST

83815

Primary

PUD

N

360

360

97152208

MICHAEL LOFTUS

29451

Primary

PUD

N

360

360

97152624

LEROY SIMMONS IV

89147

Primary

Condominium

N

360

358

97155008

JAIME E GONZALEZ

94806

Investor

Single Family

N

360

359

97161377

HONG-HUONG NGUYEN

89139

Primary

PUD

N

360

358

97176099

MATTHEW T GARDNER

80214

Primary

Condominium

N

360

360

97177131

BRYSON R HILLS

83616

Primary

PUD

N

360

359

97179875

TIMOTHY M FANELLI

80138

Primary

PUD

N

360

360

97185228

ELLA WILEY

94702

Primary

Single Family

N

360

359

97191301

MICHAEL A KHAN

94928

Primary

Condominium

N

360

360

97194781

KHA HOANG TRAN

30083

Primary

Single Family

N

360

359

97195621

THEODORE FLEENER

55347

Investor

PUD

N

360

358

97203070

IMELDA COBIAN

93117

Investor

Condominium

N

360

359

97203654

JOSE M FIGUEROA

2150

Primary

3 Units

N

360

359

97225321

LORI R ANDERSON

32563

Primary

PUD

N

360

359

97226781

RAVINDRA P PERARA

3743

Investor

Single Family

N

360

358

97228756

JOAQUIN GODINEZ

91606

Investor

Single Family

N

360

358

97248965

MARY NALL

89074

Primary

PUD

N

360

358

97249959

RAVINDRA P SHARMA

95823

Primary

Single Family

N

360

358

97250442

ELGIN BRADLEY

95822

Investor

2 Units

N

360

358

97250611

SEAN SEGAL

84095

Investor

Single Family

N

360

358

97255463

MARIA TRIGGS SCOTT

95624

Primary

Single Family

N

360

358

97255719

KIMBERLY ELLISON

93003

Primary

Condominium

N

360

358

97262019

JIM MCCAFFREY

49525

Primary

Single Family

N

360

359

97264075

DON DENNERLINE

96753

Investor

Condominium

N

360

360

97279271

SAUNDREA N BAUER

29412

Investor

4 Units

N

360

358

97280334

RAUL PINERO

33176

Investor

Condominium

N

360

358

97283374

TSEDENIA BEZABEH

22044

Primary

Condominium

N

360

358

97283438

ISSA M HAWA

22311

Primary

PUD

N

360

358

97288161

RONALD J CLINE

92882

Primary

Single Family

N

360

358

97300284

MICHAEL S TANTRAPHOL

95747

Investor

PUD

N

360

358

97300839

JOSE RIVERA

89123

Primary

PUD

N

360

358

97306051

DONALD R MCLEAN JR

20171

Primary

Single Family

N

360

358

97306067

THOMAS S BUERGER

22601

Second Home

Single Family

N

360

358

97307766

JERRY L HALL

74137

Investor

PUD

N

360

358

97307991

GARY W MITCHELL

22801

Investor

PUD

N

360

358

97310064

CHERYL L HASKELL

93704

Investor

Single Family

N

360

358

97310772

WILLIAM H SMITH JR

89123

Investor

PUD

N

360

358

97310804

WILLIAM H SMITH JR

89123

Investor

PUD

N

360

358

97311811

F. J MCCALLUM

98056

Investor

Single Family

N

360

358

97324229

RAJ K SHARMA

95842

Investor

2 Units

N

360

358

97324237

MARIA JACKSON

95124

Investor

2 Units

N

360

358

97324496

DONALD L ARCHER

98335

Investor

Single Family

N

360

358

97351142

CAROL A MARINO

3076

Primary

Single Family

N

360

360

97351294

BRANDI L BUZZETTA

63304

Investor

PUD

N

360

360

97363896

MANUEL CALDERON

93720

Primary

Single Family

N

360

360

97383450

KEVIN STERN

92234

Investor

Single Family

N

360

358

97386398

LEILA M LIM

91040

Primary

Single Family

N

360

358

97386728

ENRICO E VILLAROMAN

20191

Investor

Condominium

N

360

358

97386736

BELEYU BILILIGN

22204

Primary

Condominium

N

360

358

97386808

EDRISY GAITAN

20112

Primary

PUD

N

360

358

97393774

WILLIAM MARTINEZ

07307

Investor

Single Family

N

360

358

97395808

LYNN KERR

95401

Primary

Single Family

N

360

360

97402134

JOEL R ROGERS

85351

Investor

PUD

N

360

358

97405210

MITRA BRINGARD

91316

Primary

Condominium

N

360

360

97408057

MATTHEW CARDEN

2048

Primary

Condominium

N

360

359

97410968

RADMILA GOSTOVIC

60641

Primary

4 Units

N

360

359

97415397

JAMES PATTERSON

95832

Investor

Single Family

N

360

358

97415405

JAMES PATTERSON

95823

Investor

PUD

N

360

358

97426622

MICHAEL SHONG

53215

Primary

Single Family

N

360

359

97426662

GE THAO

53218

Primary

Single Family

N

360

359

97427226

ERNESTO QUEIROZ

33126

Investor

Condominium

N

360

358

97437723

JULIAN SAHAGUN

91406

Primary

Single Family

N

360

358

97446124

JOHN R SHANKLIN

32567

Primary

Single Family

N

360

360

97452321

SAHAG MARKARIAN

91208

Primary

Single Family

N

360

358

97474267

ROBERT R GALES

20121

Investor

PUD

N

360

358

97481488

DEBRA D MORESI

08402

Investor

2 Units

N

360

358

97481625

HECTOR FLORES

94560

Primary

Single Family

N

360

358

97481802

JACOB L STEWART

40509

Primary

PUD

N

360

358

97481851

JOSEMARIANO A VILLARAZA

89139

Second Home

PUD

N

360

360

97481867

JOHN M MCCALL

89138

Investor

PUD

N

360

358

97487441

LESLIE H LIEBENBERG

34238

Primary

PUD

N

360

358

97487554

JOHN T DEADWYLER

20785

Primary

PUD

N

360

358

97487626

BLONDINA MILES-RAMBERT

22204

Primary

Condominium

N

360

358

97491716

BILL V CARNEY JR

85260

Primary

PUD

N

360

358

97499881

RAYMOND S THOMAS

11553

Primary

Single Family

N

360

358

97500897

MANUELA I SCHULZE

34761

Investor

PUD

N

360

358

97505864

DAVID E FRISCH

80004

Primary

Single Family

N

360

358

97517505

NOEL MELO

33018

Investor

Condominium

N

360

358

97517851

CASSANDRA ROHRACKER

89118

Primary

Single Family

N

360

358

97520489

DONALD R RICH

02481

Primary

Single Family

N

360

358

97523440

JAIME ALTAMIRANO

91406

Primary

Single Family

N

360

358

97528325

PATRICIA A LOOKER

94542

Primary

Single Family

N

360

358

97528333

ROXANN MERINO

94552

Primary

PUD

N

360

358

97528373

MICHELLE ZIRKLE-YOSHIDA

95060

Primary

PUD

N

360

358

97539833

GREGORY A GEPHART

22911

Primary

PUD

N

360

358

97547561

TRAVIS GIBSON

95831

Primary

Single Family

N

360

358

97547641

CAROLYN MCINTYRE

95823

Investor

Single Family

N

360

358

97549569

HENRI BARANDAR

95123

Primary

Single Family

N

360

358

97552793

ILA R LEWIS

95758

Primary

Single Family

N

360

358

97552817

MANGAL SINGH

95358

Investor

Single Family

N

360

358

97553413

BRIAN SILVA

95326

Primary

Single Family

N

360

358

97555618

JESSE L HARTLEY

32080

Second Home

Single Family

N

360

358

97569739

DAVID LOPEZ

95322

Primary

Single Family

N

360

358

97577973

LEONARDO C RODRIGUEZ

33126

Primary

Condominium

N

360

358

97578005

SABRINA OCHOA

33129

Primary

Condominium

N

360

358

97583611

KHIEM BINH NGUYEN

20878

Primary

PUD

N

360

358

97595251

JULIE TAYLOR

90638

Primary

Single Family

N

360

358

97651824

JAIRO MEJIA

33460

Investor

Single Family

N

360

358

97669615

ANGELITO MAGBITANG

94591

Primary

PUD

N

360

360

97672444

WALLACE R BEAMER

33556

Primary

PUD

N

360

358

97682720

ADOLPH A OLIVER III

95497

Investor

PUD

N

360

358

97695313

MINION THOMPSON

33326

Second Home

PUD

N

360

359

97696307

JITENDRA SINGH

94544

Investor

4 Units

N

360

358

97696347

JOELLE OSIAS

94306

Primary

Single Family

N

360

358

97700244

SHARI PICA

94514

Primary

PUD

N

360

358

97701872

SONAL A SHAH

60007

Primary

Condominium

N

360

358

97712758

ROY A TURNER

92308

Investor

PUD

N

360

358

97713587

CATHY L BROCKMANN

98503

Investor

Single Family

N

360

358

97744625

MICHEL REYNOARD

78229

Investor

PUD

N

360

358

97753086

JUAN M FREIDEL

33133

Primary

Single Family

N

360

358

97753102

MARK STANZ

33176

Primary

Condominium

N

360

358

97753255

ANDREW HOANG

33068

Investor

Condominium

N

360

358

97753263

DIANE L ZAGORIA

33301

Primary

Condominium

N

360

358

97753311

JORGE E THOMPSON

33547

Investor

PUD

N

360

359

97754374

JESUS J MONSALVE

33331

Primary

PUD

N

360

358

97765547

JOSE M BORDON

20852

Investor

Condominium

N

360

358

97768676

BRIAN KENNEY

22193

Primary

PUD

N

360

358

97818601

DIANE J BALTZELL

80227

Investor

Single Family

N

360

358

97823221

CHRISTINE BRUDNER

34201

Investor

PUD

N

360

358

97823293

STACEY BOSCIA

34238

Investor

Condominium

N

360

359

97824842

MICHAEL MORETTI

95758

Primary

Single Family

N

360

358

97825156

PAUL L THOMAS

28269

Investor

Single Family

N

360

358

97825744

LUCILLE FLORESTA

86442

Second Home

Single Family

N

360

358

97835499

ROMAN OLESCHUK JR

6477

Primary

Single Family

N

360

360

97838411

MENANDRO R MITRA

94547

Primary

Single Family

N

360

358

97846023

JOHN MCCORMACK

2135

Investor

2 Units

N

360

358

97846239

JEFFREY D LEBLANC

01960

Primary

2 Units

N

360

358

97847063

JENNELLE GRAZIANO

1844

Primary

Single Family

N

360

359

97850372

LORI PRIME

95678

Investor

Condominium

N

360

358

97851462

WILLIAM H SMITH JR

89123

Investor

PUD

N

360

358

97851478

WILLIAM H SMITH JR

89123

Investor

PUD

N

360

358

97853630

TOM D LARSON

92270

Investor

Condominium

N

360

359

97854323

VICKI A POPE

93444

Primary

Single Family

N

360

358

97854324

DANIEL DUFFUS

98107

Investor

Single Family

N

360

358

97929901

DONALD J BERGER

33401

Investor

Condominium

N

360

358

97932683

VICTORIA COSTALES

91910

Primary

Single Family

N

360

358

97932771

CARMEN VIZCAYA

92154

Investor

Condominium

N

360

358

97934505

JOSEPH LEO

33931

Investor

Condominium

N

360

358

97934538

MADHUSUDANA REDDY

22042

Investor

Condominium

N

360

358

97934554

SANTIAGO PORTILLO

20164

Investor

Single Family

N

360

358

97934602

MINH V DANG

22030

Primary

PUD

N

360

358

97934634

SHAYLEEN SCHUTZ

20171

Primary

PUD

N

360

358

97937770

FABIO JIMENEZ

32837

Primary

PUD

N

360

358

97938567

DANIEL C MAHOWALD

31419

Investor

Condominium

N

360

358

97943016

CLAUDIO LANZA

33140

Second Home

Condominium

N

360

360

97947130

PAUL RIGGS

41080

Primary

Single Family

N

360

358

97947421

BETTY LEE GANUNG

33948

Second Home

Single Family

N

360

358

97966090

TERESA JIMENEZ

08861

Primary

Single Family

N

360

358

97966227

MATTHEW S DOSS

24574

Primary

Single Family

N

360

358

97969126

ARNAB SARKAR

94619

Investor

4 Units

N

360

358

97969948

SHERWANDA CAWTHORN

23060

Primary

Single Family

N

360

360

97973907

KELLY A MANN

48195

Primary

Single Family

N

360

358

97982801

ROY SMITHHISLER JR

90630

Primary

Single Family

N

360

358

97987116

SANTOS CRUZ

92069

Primary

Single Family

N

360

358

97987140

MICHAEL F SPRAGUE

92352

Primary

Single Family

N

360

358

98012826

CARLOS RIVAS

33140

Investor

Condominium

N

360

358

98012898

DIEGO PEREZ

33196

Investor

Condominium

N

360

358

98013116

MARCIAL MONTERROSO

20109

Investor

Condominium

N

360

358

98013462

MARK HUDSON

32801

Investor

Condominium

N

360

358

98024350

ROBERT A GLADKOWSKI

32821

Investor

PUD

N

360

358

98024640

JANET ESTEVEZ

33133

Investor

2 Units

N

360

358

98029516

NICK R HEINIG

74033

Investor

Single Family

N

360

358

98034004

JOSE J HERNANDEZ

60641

Investor

2 Units

N

360

359

98035762

STEVEN A GARZA

78253

Primary

PUD

N

360

360

98036019

CHARLES J ZAPIEC

29928

Primary

PUD

N

360

358

98050625

CARL E LARSEN

97523

Primary

Single Family

N

360

358

98054095

EILEEN SULLIVAN

98402

Investor

Condominium

N

360

358

98077492

NESTOR H LOPEZ

77316

Investor

PUD

N

360

358

98078716

WALTER P RODRIGUES

34119

Primary

Single Family

N

360

358

98083412

MICHAEL J BULLOCK

32256

Investor

Condominium

N

360

358

98083912

ANNIE A BALDWIN

20743

Primary

Single Family

N

360

358

98083960

LINDA MCDONALD

20744

Primary

PUD

N

360

358

98086135

LAWRENCE C ROUNTREE

78681

Primary

Single Family

N

360

360

98086623

MATTHEW V TOBOLSKY

92009

Primary

Condominium

N

360

360

98090306

NICHOLAS J SEVERT

32082

Primary

PUD

N

360

358

98091616

FRANCESCO FECENTESE

33785

Primary

Single Family

N

360

358

98093017

AURA M REYNOSO

91706

Primary

Single Family

N

360

360

98094010

RALPH DUNCAN

30263

Investor

Single Family

N

360

358

98097623

ROBERT W REINECKE

33301

Investor

Condominium

N

360

358

98106362

KEITH L WINFREY

70122

Primary

3 Units

N

360

358

98106886

LORRI KOHNEN

34239

Primary

Single Family

N

360

360

98112781

LAN-ANH PHUNG

22042

Investor

Condominium

N

360

358

98113535

NATALE LONGORDO

33441

Second Home

Condominium

N

360

358

98114793

JIN H HONG

11749

Primary

Condominium

N

360

358

98114801

YOUNG CHAN PARK

11749

Primary

Condominium

N

360

358

98121360

AMPARO LOPEZ

92407

Primary

Single Family

N

360

358

98121408

MIGUEL ARIAS

92551

Primary

Single Family

N

360

358

98137473

DANIEL MARTINEZ

33186

Investor

Condominium

N

360

358

98142700

JOSEFINA ESTRADA

95351

Investor

2 Units

N

360

358

98142708

THOMAS R JONES

95356

Primary

Single Family

N

360

358

98142740

EDWIN H WELLS

95351

Primary

Single Family

N

360

358

98153509

DAVID CARRILLO

92110

Investor

Condominium

N

360

358

98155219

ARMEL S FLORES

89117

Primary

PUD

N

360

358

98156040

JAMES E DODSON

98122

Investor

Condominium

N

360

358

98156612

MARCELINO C RAMIREZ

95123

Investor

2 Units

N

360

358

98186734

ANA M HEREAU

33126

Investor

Condominium

N

360

358

98191480

JAMES LUBBE JR

30189

Primary

PUD

N

360

358

98191922

CHAT PHAN

07080

Primary

Single Family

N

360

358

98207509

BRADLEY J BATESON

91016

Investor

Single Family

N

360

360

98210441

HEDY CALABRESE

84043

Investor

Single Family

N

360

358

98210916

JON M CLARK

89044

Primary

PUD

N

360

358

98211102

DEJON ANDERSON

92649

Second Home

Condominium

N

360

358

98211991

ALEXANDER V PANASYUK

2420

Primary

Single Family

N

360

360

98221572

LINDAHL L LUCAS II

91321

Primary

PUD

N

360

358

98221894

PARISA GHOLAMI

95834

Primary

Single Family

N

360

358

98225867

MARCY D BURAS

36110

Investor

Single Family

N

360

358

98226092

MICHAEL W ASHTON

98270

Investor

Single Family

N

360

358

98227409

DEAN CABRERA

94546

Primary

Single Family

N

360

358

98266538

STEVEN A GORDON

6870

Primary

Single Family

N

360

360

98279263

GAL SELA

10310

Investor

2 Units

N

360

359

98279923

MAYLA BALMACEDA

92103

Primary

Condominium

N

360

358

98293866

JOSEPH W WALL

20003

Investor

Single Family

N

360

358

98294470

DAVID W CROW

86001

Second Home

PUD

N

360

358

98306049

STEVEN E KANNEY

60540

Investor

Single Family

N

360

358

98306395

JULES S ROMAIN

2907

Investor

3 Units

N

360

360

98307840

ALVERA BLAND

92592

Primary

PUD

N

360

358

98309747

LARRY D BETTIS JR

95624

Primary

Single Family

N

360

358

98326816

CAROL MCMAHON

34293

Primary

Single Family

N

360

359

98326832

JOHN F WERNER

34238

Investor

Condominium

N

360

360

98359437

ROBERT VISSER

19061

Primary

Single Family

N

360

360

98360755

JAMIE M BROWN

32803

Investor

Single Family

N

360

359

98360996

ANGELICA MAISTO

8802

Primary

Single Family

N

360

359

98367473

KANTI S PATEL

60602

Investor

Condominium

N

360

358

98374273

JOSE M CRUZ

22309

Investor

Single Family

N

360

358

98376630

RALPH DUNCAN

30263

Investor

Single Family

N

360

358

98376638

HUBERT H WRIGHT

30265

Investor

Single Family

N

360

358

98377808

CARLOS PONCE

20164

Primary

Condominium

N

360

358

98379638

ZURAYA JURI

85750

Investor

PUD

N

360

358

98382917

LINDA A GILMORE

53546

Investor

Single Family

N

360

358

98388280

FORREST TIGNOR

23103

Primary

PUD

N

360

360

98389578

ELIAZAR GONZALEZ

95111

Primary

Single Family

N

360

358

98398174

DAVID VELA

78745

Investor

Single Family

N

360

360

98398955

JOHN GARY MERTENS

95610

Primary

Single Family

N

360

360

98398971

ELIZABETH KONDOR

95825

Investor

2 Units

N

360

360

98398979

ELIZABETH KONDOR

95821

Investor

2 Units

N

360

360

98399179

DWIGHT D HOERTSCH

96003

Primary

Single Family

N

360

360

98406586

LARRY E LAFATA

89052

Investor

Condominium

N

360

359

98410979

RAQUEL M BANUELOS

92025

Primary

2 Units

N

360

360

98413428

STEVEN M BURT

95356

Primary

Single Family

N

360

358

98413436

STEVEN BURT

95350

Investor

Single Family

N

360

358

98413444

RESHAM SINGH

95355

Investor

Single Family

N

360

358

98413468

STEVEN M BURT

95350

Investor

Single Family

N

360

358

98413476

STEVE M BURT

95368

Investor

Single Family

N

360

358

98413524

GERALD E THOMAS

95357

Primary

Single Family

N

360

358

98415010

JESSICA L ARGUETA

20111

Primary

PUD

N

360

358

98498145

JERRY D SHANER

33853

Investor

3 Units

N

360

358

98508207

PATRICIA H FELZ

90266

Primary

Single Family

N

360

358

98514252

JAMES ORTENZIO

34747

Investor

Condominium

N

360

358

98514397

DENNIS BEGG

94523

Investor

Single Family

N

360

358

98517346

THOMAS WOLF

74110

Investor

Single Family

N

360

358

98536551

ADAM J HESTAD

98115

Investor

Single Family

N

360

358

98545453

JACQUELINE S CHUN

22311

Investor

Condominium

N

360

358

98545533

TAMER F MOUMEN

20120

Investor

Condominium

N

360

358

98561936

PAUL GILMARTIN

85242

Primary

PUD

N

360

360

98576833

CHRISTINE F WEICH

33433

Primary

PUD

N

360

360

98579282

TAMMY MONTGOMERY

6226

Primary

Single Family

N

360

360

98590295

ARTURO F RUIZ

33126

Primary

Condominium

N

360

358

98594279

BRIAN BANNISTER

95624

Primary

Single Family

N

360

358

98595619

JIMMY C TREVINO

95209

Primary

PUD

N

360

358

98596902

KRISTINE V KEDZIOR

85249

Investor

PUD

N

360

358

98615559

JOHN MCNEEL

90043

Primary

Single Family

N

360

360

98615943

ROLAND HARRIS

90056

Investor

Single Family

N

360

360

98616111

ANGEL O RIVAS

90045

Primary

Single Family

N

360

360

9861921

GUSTAVO A RENGIFO

33324

Primary

Condominium

N

360

359

98624100

SOCORRO YUGAR

91007

Primary

Condominium

N

360

358

98624116

DEREK P DWIGHT

95023

Primary

Single Family

N

360

359

98624253

MARK F LETAVISH

32563

Primary

PUD

N

360

360

98635409

AUSTIN B HARRELSON JR

33316

Investor

Single Family

N

360

360

98635449

ILA WIENER

33162

Investor

Condominium

N

360

358

98644619

CHRISTINE N BOCK

21842

Second Home

Condominium

N

360

358

98646927

LOURDES MONT BAYOT

94565

Primary

Single Family

N

360

358

98653507

ROBERTA J MCNAMARA

21550

Second Home

PUD

N

360

358

98653547

LIVY B COX SR

20721

Primary

PUD

N

360

359

98661722

WLADIMIR MONTOYA

7109

Primary

Single Family

N

360

360

98678457

AIDA J LACHAUX-WADLEY

94303

Investor

Single Family

N

360

360

98679934

RYAN T HEDEMARK

95835

Primary

Single Family

N

360

358

98759673

ANH T DO

22042

Primary

Condominium

N

360

358

98776948

DIANA L BARRON

92084

Primary

Single Family

N

360

360

98777238

ANNIE W GITOGNA

8844

Primary

Condominium

N

360

360

98778054

DAE Y HONG

7661

Investor

Single Family

N

360

360

98784900

KARYN A DAVID

33306

Investor

4 Units

N

360

360

98794936

GLEN C FICHARDT

77077

Investor

Single Family

N

360

359

98799203

DAVID SHAKER

89123

Investor

Condominium

N

360

358

98818160

ROME VENTURA

98102

Primary

Condominium

N

360

358

98842855

LEMUEL F RICH

36527

Primary

PUD

N

360

360

98846209

FREDINANDO SINAGRA

8812

Investor

Condominium

N

360

360

98852050

MICHAEL G STOLTZFUS

17602

Investor

Single Family

N

360

358

98852090

CALVIN L STOLTZFUS

17603

Investor

Single Family

N

360

358

98930266

NATALYA BELESON

08857

Investor

Condominium

N

360

358

98943717

PHYLLIS FLOWERS

20735

Investor

Single Family

N

360

359

98955712

EDWARD SHERMAN

8611

Investor

Single Family

N

360

360

98958784

PATRICIA A LAMIA

32825

Investor

PUD

N

360

358

98958792

MICHAEL A SCHLOSSER JR.

33928

Investor

PUD

N

360

358

99031971

KENNETH J JACKSON

83814

Investor

Single Family

N

360

359

99045940

ANGELICA G GONZALEZ

95363

Primary

Single Family

N

360

358

99082933

DECLAN O'TOOLE

2127

Primary

Condominium

N

360

360

99129382

MARTIN COOPER

7601

Investor

Condominium

N

360

360

99130802

MICHAEL P AGATE

85635

Investor

Single Family

N

360

360

99137660

JEFF JUN FEN LIU

96822

Primary

Single Family

N

360

360

99144333

RENAE M DUNN

95357

Investor

Single Family

N

360

360

99146791

ILRICK SELMON

33309

Primary

Condominium

N

360

360

99150314

ERIN VALLETT

37215

Primary

Single Family

N

360

358

99293562

JAMES SPENCER

90806

Investor

4 Units

N

360

359

99309106

TERESA BROWN

33907

Investor

Condominium

N

360

359

99330565

ALICIA L TAYLOR

85379

Second Home

PUD

N

360

360

99344558

STEPHEN KEIRN

33626

Investor

Condominium

N

360

360

99377251

DAVID TRIEU

78653

Second Home

PUD

N

360

359

99455324

ALMERICE BROWN

7103

Investor

3 Units

N

360

360

99463534

BRANISLAV CEJOVIC

60630

Primary

2 Units

N

360

360

99513156

VAN B TANG

33955

Second Home

Condominium

N

360

360

99543381

ROBIN MILLER

32935

Investor

PUD

N

360

359

99563607

FRANK VITALE

48134

Primary

Single Family

N

360

360

99601595

TEOFILO ENRI ARBALLO JR

91724

Primary

Single Family

N

360

359

99602909

HYUN JOO KIM

22304

Investor

Condominium

N

360

360

99618211

VAUGHN LEIGH JONES

30324

Primary

Single Family

N

360

360

99625259

EDUARDO QUINTANA

33125

Investor

Condominium

N

360

360

99646562

DAVID M DECKER

99508

Primary

2 Units

N

360

360

99646770

BRIAN A CLINE

37421

Investor

4 Units

N

360

360

99647656

RENE R CORTINA JR

75002

Primary

Single Family

N

360

359

99647688

TRUMAN WILLIAMS

76119

Investor

Single Family

N

360

360

99667511

CARMEN B KLEINECKE

92651

Primary

Single Family

N

360

360

99670057

GILDA M OSBORN

33463

Second Home

PUD

N

360

360

99693311

BLANCA PEREZ BARAJAS

92584

Primary

Single Family

N

360

359

99693335

SAMUEL SANCHEZ

92084

Primary

Single Family

N

360

359

99693520

ROMEO LATORRE

8846

Primary

Single Family

N

360

360

99694028

JAMES ANTHON REID

80133

Investor

Single Family

N

360

360

99694060

JAMES M STRANGE

80905

Investor

2 Units

N

360

359

99738800

GERARD C CANILLAS

89148

Investor

PUD

N

360

360

99793151

JAMES CHU

7031

Investor

4 Units

N

360

360

99815923

LUIS VALADEZ

95368

Primary

Single Family

N

360

360

99823584

JEFFREY MURRAY

23116

Primary

Single Family

N

360

360

99824123

JIN LEE

7010

Investor

Condominium

N

360

360

99824204

STEPHEN D FERGUSON

24019

Primary

Single Family

N

360

360

99846032

JUAN T PERLA

20170

Primary

Single Family

N

360

360

99862088

THOMAS B GREENE

91935

Primary

PUD

N

360

360

99889456

VIRGILIO A BUENO

11368

Primary

2 Units

N

360

360

99902792

CORINA P MEADE

8755

Primary

Single Family

N

360

360

99913257

ROBERT DIAZ

33715

Primary

PUD

N

360

360

99914612

JOSE R LUIS

33019

Investor

Condominium

N

360

360

99916837

CAROLYN A MORGAN

75143

Second Home

Single Family

N

360

360

99969115

STEVE P FRAHM

33324

Primary

PUD

N

360

360




loan num

LTV

rate

first pay date

mature date

service fee

paid to date

orig balance

09504164

90

2

7/1/2005

06/01/35

0

6/1/2005

157500

09504384

90

2.25

7/1/2005

06/01/35

0

6/1/2005

342000

1000074693

65.16

1

6/1/2005

05/01/35

0

5/1/2005

101000

1000076604

79.1

1

6/1/2005

05/01/35

0

5/1/2005

140000

1000078063

74.68

1

6/1/2005

05/01/35

0

6/1/2005

298704

1000078302

75

1

6/1/2005

05/01/35

0

5/1/2005

195000

1000078324

72.29

1

6/1/2005

05/01/35

0

5/1/2005

120000

1000078498

80

1

6/1/2005

05/01/35

0

6/1/2005

128000

1000078759

67.88

1

7/1/2005

06/01/35

0

6/1/2005

262000

1000078760

44.05

1

7/1/2005

06/01/35

0

6/1/2005

181500

1000078770

78.11

1

7/1/2005

06/01/35

0

6/1/2005

132000

1000078975

69.77

1

6/1/2005

05/01/35

0

5/1/2005

180000

1000079265

62.5

1

6/1/2005

05/01/35

0

6/1/2005

175000

1000079281

80

1

7/1/2005

06/01/35

0

6/1/2005

192000

1000079296

50.64

1

7/1/2005

06/01/35

0

6/1/2005

357000

1000079311

63.83

1

7/1/2005

06/01/35

0

6/1/2005

450000

1000079342

62.5

1

7/1/2005

06/01/35

0

6/1/2005

499999

1000079371

90

2

6/1/2005

05/01/35

0

5/1/2005

252000

1000079463

75

1

6/1/2005

05/01/35

0

5/1/2005

450000

1000079499

75

1

7/1/2005

06/01/35

0

6/1/2005

231000

1000079501

65.37

1

6/1/2005

05/01/35

0

5/1/2005

268000

1000079546

80

1

7/1/2005

06/01/35

0

6/1/2005

360000

1000079624

80

1

7/1/2005

06/01/35

0

6/1/2005

208000

1000079689

75

1

7/1/2005

06/01/35

0

6/1/2005

315000

1000079716

70

1

6/1/2005

05/01/35

0

5/1/2005

175000

1000079795

48.18

1

7/1/2005

06/01/35

0

6/1/2005

159000

1000079830

58.71

1

7/1/2005

06/01/35

0

6/1/2005

182000

100020042

75

6.75

6/1/2005

05/01/35

0.375

5/1/2005

150000

100024250

62

2

7/1/2005

06/01/35

0.375

6/1/2005

1984000

100027587

76.83

5.75

6/1/2005

05/01/35

0.375

5/1/2005

242000

100032939

79.99

5.875

6/1/2005

05/01/35

0.375

5/1/2005

319100

100036588

80

1

7/1/2005

06/01/35

0.375

6/1/2005

320000

100060407

79.45

1

7/1/2005

06/01/35

0.375

6/1/2005

290000

100061199

59.53

1.75

7/1/2005

06/01/35

0.375

6/1/2005

303000

100072176

37.18

1.75

7/1/2005

06/01/35

0.375

6/1/2005

66000

100073568

80

6.25

6/1/2005

05/01/35

0.375

5/1/2005

86400

100107846

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

252800

100108095

80

1

7/1/2005

06/01/35

0.375

6/1/2005

372000

100108151

78.28

1

7/1/2005

06/01/35

0.375

6/1/2005

382000

100108961

80

1

7/1/2005

06/01/35

0.375

6/1/2005

128000

100110192

48.19

1.75

7/1/2005

06/01/35

0.375

6/1/2005

200000

100111995

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

496000

100112974

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

248000

100122243

80

1

7/1/2005

06/01/35

0.375

6/1/2005

368000

100128389

73.89

1

7/1/2005

06/01/35

0.375

6/1/2005

133000

100140686

84.68

2.875

7/1/2005

06/01/35

0.375

6/1/2005

315000

100147695

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

382500

100150143

80

1

7/1/2005

06/01/35

0.375

6/1/2005

232000

100150887

95

3.875

6/1/2005

05/01/35

0.375

6/1/2005

171000

100153991

90

2

7/1/2005

06/01/35

0.375

6/1/2005

279000

100156784

80

1

7/1/2005

06/01/35

0.375

6/1/2005

508800

100167089

90

6.875

6/1/2005

05/01/35

0.375

5/1/2005

231750

100168161

80

6.25

6/1/2005

05/01/35

0.375

5/1/2005

87200

100170489

78.18

1

7/1/2005

06/01/35

0.375

6/1/2005

172000

100176346

47.62

5.25

6/1/2005

05/01/35

0.375

5/1/2005

200000

100181131

72.14

1

7/1/2005

06/01/35

0.375

6/1/2005

360000

100181291

75.76

1

7/1/2005

06/01/35

0.375

6/1/2005

125000

100187028

78.95

1

7/1/2005

06/01/35

0.375

6/1/2005

750000

100187564

77.58

6.5

6/1/2005

05/01/35

0.375

5/1/2005

408872

100195349

80

1

7/1/2005

06/01/35

0.375

6/1/2005

172000

100197493

76.1

6.625

6/1/2005

05/01/35

0.375

5/1/2005

121000

100197669

78.62

6.625

6/1/2005

05/01/35

0.375

5/1/2005

125000

100199325

75

1

7/1/2005

06/01/35

0.375

6/1/2005

600000

100200045

90

6

6/1/2005

05/01/35

0.375

6/1/2005

59310

100203910

66.67

1

7/1/2005

06/01/35

0.375

6/1/2005

1000000

100207318

95

3

7/1/2005

06/01/35

0.375

6/1/2005

323950

100210279

47.52

6.625

6/1/2005

05/01/35

0.375

5/1/2005

96000

100228794

80

1

7/1/2005

06/01/35

0.375

6/1/2005

480000

100231253

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

247500

100241574

63.83

2.125

7/1/2005

06/01/35

0.375

6/1/2005

225000

100247421

80

1

7/1/2005

06/01/35

0.375

6/1/2005

297600

100248277

60.87

1.75

7/1/2005

06/01/35

0.375

6/1/2005

350000

100252573

90

2

7/1/2005

06/01/35

0.375

6/1/2005

80910

100256262

40.87

1

7/1/2005

06/01/35

0.375

6/1/2005

170000

100259574

78.96

1

7/1/2005

06/01/35

0.375

6/1/2005

304000

100263895

60

1

7/1/2005

06/01/35

0.375

6/1/2005

315000

100264079

75

1

7/1/2005

06/01/35

0.375

6/1/2005

345000

100276472

90

2.75

7/1/2005

06/01/35

0.375

6/1/2005

211500

100285923

71.45

1

7/1/2005

06/01/35

0.375

6/1/2005

786000

100296243

90

2

7/1/2005

06/01/35

0.375

6/1/2005

161910

100309635

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

137520

100312646

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

221600

100336005

95

3.75

7/1/2005

06/01/35

0.375

6/1/2005

135850

100336037

90

2.625

7/1/2005

06/01/35

0.375

6/1/2005

122400

100343277

80

1

7/1/2005

06/01/35

0.375

6/1/2005

492000

100348394

90

2.75

7/1/2005

06/01/35

0.375

6/1/2005

270000

100352619

44.44

6

6/1/2005

05/01/35

0.375

6/1/2005

200000

100353611

84.29

7

6/1/2005

05/01/35

0.375

5/1/2005

236000

100355179

79.04

1

7/1/2005

06/01/35

0.375

6/1/2005

113820

100357091

80

1

7/1/2005

06/01/35

0.375

6/1/2005

316000

100357675

78.95

5.75

6/1/2005

05/01/35

0.375

6/1/2005

600000

100361188

60.42

1

7/1/2005

06/01/35

0.375

6/1/2005

725000

100362196

78.83

1.75

7/1/2005

06/01/35

0.375

6/1/2005

161600

100390643

90

4.25

7/1/2005

06/01/35

0.375

6/1/2005

161550

100392170

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

701250

100437318

72.37

1.375

7/1/2005

06/01/35

0.375

6/1/2005

412500

100448092

72.5

1

7/1/2005

06/01/35

0.375

6/1/2005

290000

100469403

74.63

1

7/1/2005

06/01/35

0.375

6/1/2005

250000

100477171

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

127920

100484559

80

1

7/1/2005

06/01/35

0.375

6/1/2005

232000

100487638

71.12

1

7/1/2005

06/01/35

0.375

6/1/2005

500000

100490524

13.43

1.75

7/1/2005

06/01/35

0.375

6/1/2005

92000

100496989

80

1

7/1/2005

06/01/35

0.375

6/1/2005

672000

100502145

79.48

1

7/1/2005

06/01/35

0.375

6/1/2005

488000

100504864

89.96

3.375

7/1/2005

06/01/35

0.375

6/1/2005

214100

100506147

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

128000

100516040

77.78

1.75

7/1/2005

06/01/35

0.375

6/1/2005

210000

100526756

56.76

1

7/1/2005

06/01/35

0.375

6/1/2005

168000

100532397

95

2

7/1/2005

06/01/35

0.375

6/1/2005

371752

100534881

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

450400

100547547

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

177840

100550483

80

1

7/1/2005

06/01/35

0.375

6/1/2005

760000

100561221

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

49200

100564756

80

1

7/1/2005

06/01/35

0.375

6/1/2005

244000

100576073

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

196000

100576153

80

1

7/1/2005

06/01/35

0.375

6/1/2005

479200

100576193

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

339200

100580175

75.29

1

7/1/2005

06/01/35

0.375

6/1/2005

512000

100583103

95

3.75

7/1/2005

06/01/35

0.375

6/1/2005

320150

100585509

78.79

1.75

7/1/2005

06/01/35

0.375

6/1/2005

280500

100591600

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

255000

100611139

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

123750

100614795

79.01

1

7/1/2005

06/01/35

0.375

6/1/2005

640000

100621860

79.98

1

7/1/2005

06/01/35

0.375

6/1/2005

497500

100643737

95

2.75

7/1/2005

06/01/35

0.375

6/1/2005

218500

100649052

75

6.5

6/1/2005

05/01/35

0.375

6/1/2005

170250

100659222

80

1

7/1/2005

06/01/35

0.375

6/1/2005

580000

100666375

90

2

7/1/2005

06/01/35

0.375

6/1/2005

508500

100679928

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

148000

100684337

71.74

1

7/1/2005

06/01/35

0.375

6/1/2005

330000

100684385

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

307200

100686102

79.81

1

7/1/2005

06/01/35

0.375

6/1/2005

328000

100686222

66.67

1

7/1/2005

06/01/35

0.375

6/1/2005

180000

100755043

95

2.75

7/1/2005

06/01/35

0.375

6/1/2005

290700

100762967

90

2

7/1/2005

06/01/35

0.375

6/1/2005

211500

100763191

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

185600

100765865

71.92

1

7/1/2005

06/01/35

0.375

6/1/2005

262500

100768968

80

1

7/1/2005

06/01/35

0.375

6/1/2005

288000

100803491

70

1

7/1/2005

06/01/35

0.375

6/1/2005

483000

100805338

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

356000

100818856

75

1.75

7/1/2005

06/01/35

0.375

6/1/2005

1117500

100829715

46.84

1.75

7/1/2005

06/01/35

0.375

6/1/2005

200000

100846940

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

392688

100847569

75

1

7/1/2005

06/01/35

0.375

6/1/2005

526500

100849516

90

4.25

7/1/2005

06/01/35

0.375

6/1/2005

106200

100850604

80

1

7/1/2005

06/01/35

0.375

6/1/2005

384800

100852086

78.1

2.125

6/1/2005

05/01/35

0.375

5/1/2005

119100

100852638

80

1

7/1/2005

06/01/35

0.375

6/1/2005

116000

100890815

85.06

2

7/1/2005

06/01/35

0.375

6/1/2005

72300

100907659

79.97

1.75

7/1/2005

06/01/35

0.375

6/1/2005

270288

100930495

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

496000

100932906

42.84

1

7/1/2005

06/01/35

0.375

6/1/2005

206500

100939598

90

2.375

7/1/2005

06/01/35

0.375

6/1/2005

130500

100941000

80

1

7/1/2005

06/01/35

0.375

6/1/2005

404000

100946153

78.7

1

7/1/2005

06/01/35

0.375

6/1/2005

340000

100948221

75.34

1

7/1/2005

06/01/35

0.375

6/1/2005

166500

100952863

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

400000

100956092

61

1

7/1/2005

06/01/35

0.375

6/1/2005

244000

100959069

80

1

7/1/2005

06/01/35

0.375

6/1/2005

392000

100959912

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

334400

100975229

79.98

1

7/1/2005

06/01/35

0.375

6/1/2005

190700

100977438

72.65

1

7/1/2005

06/01/35

0.375

6/1/2005

494000

100980110

78.8

1

7/1/2005

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5.875

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5/1/2005

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5/1/2005

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7/1/2005

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5/1/2005

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5/1/2005

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5/1/2005

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5/1/2005

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7/1/2005

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5/1/2005

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5/1/2005

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5/1/2005

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6/1/2005

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5/1/2005

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5/1/2005

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5/1/2005

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6/1/2005

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6/1/2005

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5/1/2005

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6/1/2005

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5/1/2005

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6/1/2005

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5/1/2005

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5/1/2005

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5/1/2005

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5/1/2005

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5.875

6/1/2005

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5/1/2005

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5/1/2005

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360000

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6/1/2005

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260000

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5/1/2005

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260000

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6/1/2005

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5/1/2005

106400

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73.4

6

6/1/2005

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0.375

5/1/2005

345000

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65.31

5.25

6/1/2005

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5/1/2005

225000

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5/1/2005

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223000

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6

6/1/2005

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6/1/2005

532000

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59.09

5.625

5/1/2005

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5/1/2005

650000

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6/1/2005

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6/1/2005

210000

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6/1/2005

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6/1/2005

120000

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5.625

6/1/2005

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5/1/2005

356000

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6

6/1/2005

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5/1/2005

211000

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6.875

5/1/2005

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5/1/2005

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6/1/2005

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6

6/1/2005

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5/1/2005

325000

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90

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6/1/2005

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6/1/2005

260100

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80

6.375

6/1/2005

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0.375

6/1/2005

176000

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1.75

6/1/2005

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6/1/2005

125000

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5.75

5/1/2005

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5/1/2005

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70.23

6

6/1/2005

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6/1/2005

309000

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5.5

6/1/2005

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5/1/2005

295000

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1.375

7/1/2005

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6/1/2005

440000

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5.875

6/1/2005

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5/1/2005

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80

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6/1/2005

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6/1/2005

230000

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80

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6/1/2005

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6/1/2005

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90

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6/1/2005

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6/1/2005

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6/1/2005

124000

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6

5/1/2005

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6/1/2005

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6

5/1/2005

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5/1/2005

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90

7

5/1/2005

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4/1/2005

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90

5.875

5/1/2005

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6/1/2005

313200

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75

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6/1/2005

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5/1/2005

129000

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95

7.125

6/1/2005

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6/1/2005

185250

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80

5.375

5/1/2005

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0.375

6/1/2005

438400

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68

6

5/1/2005

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0.375

6/1/2005

340000

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6

5/1/2005

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6/1/2005

350000

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87.5

6.625

6/1/2005

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6/1/2005

175000

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6

5/1/2005

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6/1/2005

255000

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5/1/2005

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6/1/2005

344000

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90

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6/1/2005

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279000

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5.875

6/1/2005

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7/1/2005

355000

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85

6.625

5/1/2005

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6/1/2005

323000

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5/1/2005

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6/1/2005

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80

6

5/1/2005

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216000

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95

7.125

6/1/2005

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6/1/2005

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14.55

5.875

5/1/2005

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6/1/2005

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1.375

7/1/2005

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6/1/2005

635000

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70

6

5/1/2005

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5/1/2005

273000

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6/1/2005

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6/1/2005

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2.75

6/1/2005

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5/1/2005

319000

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6/1/2005

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5/1/2005

186000

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5/1/2005

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5/1/2005

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5/1/2005

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6/1/2005

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5/1/2005

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6/1/2005

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6/1/2005

470000

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5.875

5/1/2005

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80

6.125

6/1/2005

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6/1/2005

92800

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75

6.5

6/1/2005

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5/1/2005

206250

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65

1

7/1/2005

06/01/35

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6/1/2005

1462500

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71.67

5.5

6/1/2005

05/01/35

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6/1/2005

408500

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80

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6/1/2005

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0.375

5/1/2005

319950

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80

6

6/1/2005

05/01/35

0.375

6/1/2005

288000

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90

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5/1/2005

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5/1/2005

364500

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90

6

6/1/2005

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6/1/2005

297000

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80

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6/1/2005

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5/1/2005

128000

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5.75

6/1/2005

05/01/35

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5/1/2005

525000

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80

1.75

5/1/2005

04/01/35

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5/1/2005

424000

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80

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5/1/2005

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5/1/2005

332000

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80

1.75

5/1/2005

04/01/35

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6/1/2005

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6

6/1/2005

05/01/35

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5/1/2005

101000

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80

1.75

6/1/2005

05/01/35

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6/1/2005

152000

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80

6.5

5/1/2005

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5/1/2005

317600

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6

6/1/2005

05/01/35

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5/1/2005

210000

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6

6/1/2005

05/01/35

0.375

6/1/2005

212000

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90

6

6/1/2005

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5/1/2005

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6

6/1/2005

05/01/35

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6/1/2005

206000

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90

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6/1/2005

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6/1/2005

225000

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5/1/2005

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6/1/2005

208000

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80

1.75

6/1/2005

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6/1/2005

172000

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1

7/1/2005

06/01/35

0.375

6/1/2005

250000

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6.125

6/1/2005

05/01/35

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5/1/2005

184500

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75

5.875

6/1/2005

05/01/35

0.375

6/1/2005

240000

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86.08

6.5

6/1/2005

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6/1/2005

340000

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5/1/2005

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6/1/2005

148000

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6/1/2005

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5/1/2005

256000

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80

6.5

6/1/2005

05/01/35

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6/1/2005

352000

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50.63

6

5/1/2005

04/01/35

0.375

6/1/2005

200000

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90

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5/1/2005

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6/1/2005

335250

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80

6.125

6/1/2005

05/01/35

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5/1/2005

420000

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6.25

6/1/2005

05/01/35

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5/1/2005

424000

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70

6

6/1/2005

05/01/35

0.375

5/1/2005

444500

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80

6

6/1/2005

05/01/35

0.375

6/1/2005

272000

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71.65

1.75

6/1/2005

05/01/35

0.375

6/1/2005

390500

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52.43

5.875

6/1/2005

05/01/35

0.375

6/1/2005

786500

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56.64

6

6/1/2005

05/01/35

0.375

6/1/2005

303000

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80

5.75

6/1/2005

05/01/35

0.375

6/1/2005

211760

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80

6.375

5/1/2005

04/01/35

0.375

6/1/2005

368000

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79.47

1.75

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98093017

68

1.75

7/1/2005

06/01/35

0.375

6/1/2005

255000

98094010

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

109300

98097623

80

6.125

5/1/2005

04/01/35

0.375

4/1/2005

328600

98106362

80

6

5/1/2005

04/01/35

0.375

4/1/2005

203200

98106886

72

1

7/1/2005

06/01/35

0.375

6/1/2005

180000

98112781

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

315920

98113535

63.49

6

5/1/2005

04/01/35

0.375

4/1/2005

200000

98114793

52.24

1.75

5/1/2005

04/01/35

0.375

4/1/2005

256000

98114801

54.08

1.75

5/1/2005

04/01/35

0.375

4/1/2005

265000

98121360

72.86

6.125

5/1/2005

04/01/35

0.375

4/1/2005

153000

98121408

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

236000

98137473

63.89

6.375

5/1/2005

04/01/35

0.375

4/1/2005

115000

98142700

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

378400

98142708

80

5.75

5/1/2005

04/01/35

0.375

4/1/2005

281600

98142740

73.74

5.625

5/1/2005

04/01/35

0.375

4/1/2005

257000

98153509

80

6.5

5/1/2005

04/01/35

0.375

4/1/2005

244000

98155219

90

8

5/1/2005

04/01/35

0.375

4/1/2005

396000

98156040

80

2.125

5/1/2005

04/01/35

0.375

4/1/2005

126392

98156612

80

6.5

5/1/2005

04/01/35

0.375

4/1/2005

560000

98186734

79.99

6.875

5/1/2005

04/01/35

0.375

4/1/2005

147900

98191480

82.86

6.125

5/1/2005

04/01/35

0.375

5/1/2005

203000

98191922

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

282400

98207509

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

380000

98210441

80

6

5/1/2005

04/01/35

0.375

4/1/2005

178400

98210916

55.38

6.25

5/1/2005

04/01/35

0.375

4/1/2005

180000

98211102

80

6.125

5/1/2005

04/01/35

0.375

4/1/2005

256000

98211991

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

840000

98221572

80

6.5

5/1/2005

04/01/35

0.375

4/1/2005

600000

98221894

79.26

6

5/1/2005

04/01/35

0.375

4/1/2005

373300

98225867

71.71

2.125

5/1/2005

04/01/35

0.375

4/1/2005

29400

98226092

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

180520

98227409

56.91

5.75

5/1/2005

04/01/35

0.375

4/1/2005

350000

98266538

80

1

7/1/2005

06/01/35

0.375

6/1/2005

798000

98279263

80

6.5

6/1/2005

05/01/35

0.375

5/1/2005

400000

98279923

70.22

6.25

5/1/2005

04/01/35

0.375

5/1/2005

464887

98293866

80

5.5

5/1/2005

04/01/35

0.375

4/1/2005

248000

98294470

80

6.25

5/1/2005

04/01/35

0.375

5/1/2005

311200

98306049

80

2.125

5/1/2005

04/01/35

0.375

4/1/2005

248000

98306395

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

228750

98307840

80

1.75

5/1/2005

04/01/35

0.375

4/1/2005

283200

98309747

79.03

6.375

5/1/2005

04/01/35

0.375

4/1/2005

245000

98326816

75.56

1.75

6/1/2005

05/01/35

0.375

5/1/2005

182852

98326832

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

165520

98359437

80

1

7/1/2005

06/01/35

0.375

6/1/2005

496300

98360755

80

6.25

6/1/2005

05/01/35

0.375

6/1/2005

207200

98360996

74.77

6.5

6/1/2005

05/01/35

0.375

6/1/2005

486000

98367473

80

2.125

5/1/2005

04/01/35

0.375

4/1/2005

342620

98374273

76.9

6.25

5/1/2005

04/01/35

0.375

4/1/2005

323000

98376630

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

111600

98376638

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

82400

98377808

80

6.25

5/1/2005

04/01/35

0.375

5/1/2005

200000

98379638

80

6.375

5/1/2005

04/01/35

0.375

4/1/2005

216000

98382917

80

6.5

5/1/2005

04/01/35

0.375

4/1/2005

128000

98388280

36.35

1

7/1/2005

06/01/35

0.375

6/1/2005

225000

98389578

80

6

5/1/2005

04/01/35

0.375

4/1/2005

488000

98398174

80

1.375

7/1/2005

06/01/35

0.375

7/1/2005

70400

98398955

78

1

7/1/2005

06/01/35

0.375

6/1/2005

312000

98398971

73.28

1.375

7/1/2005

06/01/35

0.375

6/1/2005

373000

98398979

47.92

1.375

7/1/2005

06/01/35

0.375

6/1/2005

242000

98399179

69.53

1

7/1/2005

06/01/35

0.375

6/1/2005

178000

98406586

75

6

6/1/2005

05/01/35

0.375

5/1/2005

157500

98410979

80

1

7/1/2005

06/01/35

0.375

6/1/2005

392000

98413428

79.37

5.625

5/1/2005

04/01/35

0.375

4/1/2005

500000

98413436

75

5.875

5/1/2005

04/01/35

0.375

4/1/2005

225000

98413444

75

6.25

5/1/2005

04/01/35

0.375

4/1/2005

225000

98413468

80

5.875

5/1/2005

04/01/35

0.375

4/1/2005

196000

98413476

75

5.875

5/1/2005

04/01/35

0.375

4/1/2005

258000

98413524

75

5.875

5/1/2005

04/01/35

0.375

4/1/2005

350250

98415010

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

368000

98498145

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

100800

98508207

55.28

6.5

5/1/2005

04/01/35

0.375

4/1/2005

550000

98514252

80

6.125

5/1/2005

04/01/35

0.375

5/1/2005

177600

98514397

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

400000

98517346

90

3.125

5/1/2005

04/01/35

0.375

4/1/2005

61200

98536551

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

481600

98545453

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

301520

98545533

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

260000

98561936

80

1

7/1/2005

06/01/35

0.375

6/1/2005

201280

98576833

80

1

7/1/2005

06/01/35

0.375

6/1/2005

360000

98579282

79.87

1.75

7/1/2005

06/01/35

0.375

6/1/2005

127000

98590295

79.99

6.125

5/1/2005

04/01/35

0.375

4/1/2005

147900

98594279

80

6.5

5/1/2005

04/01/35

0.375

5/1/2005

464000

98595619

74.92

1.75

5/1/2005

04/01/35

0.375

4/1/2005

273440

98596902

80

6.5

5/1/2005

04/01/35

0.375

4/1/2005

144000

98615559

67.95

1

7/1/2005

06/01/35

0.375

6/1/2005

318000

98615943

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

520000

98616111

80

1

7/1/2005

06/01/35

0.375

6/1/2005

636000

9861921

90

6.625

6/1/2005

05/01/35

0.375

5/1/2005

157500

98624100

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

309600

98624116

78.79

6.5

6/1/2005

05/01/35

0.375

5/1/2005

457000

98624253

80

1

7/1/2005

06/01/35

0.375

6/1/2005

156000

98635409

70

2.125

7/1/2005

06/01/35

0.375

6/1/2005

700000

98635449

80

5.75

5/1/2005

04/01/35

0.375

4/1/2005

233520

98644619

80

5.5

5/1/2005

04/01/35

0.375

4/1/2005

212000

98646927

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

474400

98653507

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

327600

98653547

57.27

6.25

6/1/2005

05/01/35

0.375

5/1/2005

252000

98661722

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

248000

98678457

64.76

1.375

7/1/2005

06/01/35

0.375

6/1/2005

340000

98679934

80

5.5

5/1/2005

04/01/35

0.375

4/1/2005

270520

98759673

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

238320

98776948

62.26

1

7/1/2005

06/01/35

0.375

6/1/2005

330000

98777238

90

2

7/1/2005

06/01/35

0.375

6/1/2005

207000

98778054

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

360000

98784900

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

412500

98794936

75

6.5

6/1/2005

05/01/35

0.375

5/1/2005

116250

98799203

80

6.25

5/1/2005

04/01/35

0.375

4/1/2005

210400

98818160

80

1.75

5/1/2005

04/01/35

0.375

4/1/2005

568000

98842855

80

1

7/1/2005

06/01/35

0.375

6/1/2005

110720

98846209

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

146000

98852050

72.41

2.125

5/1/2005

04/01/35

0.375

4/1/2005

42000

98852090

80

2.125

5/1/2005

04/01/35

0.375

4/1/2005

35200

98930266

80

6.5

5/1/2005

04/01/35

0.375

4/1/2005

287920

98943717

90

6.5

6/1/2005

05/01/35

0.375

6/1/2005

202500

98955712

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

70400

98958784

80

6.125

5/1/2005

04/01/35

0.375

4/1/2005

194415

98958792

80

5.875

5/1/2005

04/01/35

0.375

4/1/2005

269611

99031971

90

6.75

6/1/2005

05/01/35

0.375

5/1/2005

135000

99045940

65.22

5.625

5/1/2005

04/01/35

0.375

4/1/2005

300000

99082933

72.12

1.75

7/1/2005

06/01/35

0.375

6/1/2005

375000

99129382

45.67

1.375

7/1/2005

06/01/35

0.375

6/1/2005

58000

99130802

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

152800

99137660

73.17

1

7/1/2005

06/01/35

0.375

6/1/2005

1500000

99144333

75

1.375

7/1/2005

06/01/35

0.375

6/1/2005

228750

99146791

79.99

1

7/1/2005

06/01/35

0.375

6/1/2005

130300

99150314

80

5.25

5/1/2005

04/01/35

0.375

4/1/2005

222400

99293562

80

6.375

6/1/2005

05/01/35

0.375

6/1/2005

636000

99309106

80

6.5

6/1/2005

05/01/35

0.375

5/1/2005

110320

99330565

75.39

1

7/1/2005

06/01/35

0.375

6/1/2005

144000

99344558

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

99920

99377251

84.96

3.25

6/1/2005

05/01/35

0.375

5/1/2005

113000

99455324

90

2.375

7/1/2005

06/01/35

0.375

6/1/2005

295200

99463534

80

1.75

7/1/2005

06/01/35

0.375

6/1/2005

448000

99513156

80

1

7/1/2005

06/01/35

0.375

6/1/2005

440000

99543381

80

6.5

6/1/2005

05/01/35

0.375

5/1/2005

166400

99563607

80

1

7/1/2005

06/01/35

0.375

6/1/2005

248000

99601595

64.43

5.375

6/1/2005

05/01/35

0.375

5/1/2005

393000

99602909

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

255920

99618211

57.33

1

7/1/2005

06/01/35

0.375

6/1/2005

129000

99625259

79.99

1.375

7/1/2005

06/01/35

0.375

6/1/2005

114300

99646562

75

1.75

7/1/2005

06/01/35

0.375

6/1/2005

258750

99646770

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

152320

99647656

92.11

7.5

6/1/2005

05/01/35

0.375

6/1/2005

182375

99647688

72.17

1.375

7/1/2005

06/01/35

0.375

6/1/2005

32475

99667511

78.95

1

7/1/2005

06/01/35

0.375

6/1/2005

1500000

99670057

79.91

1

7/1/2005

06/01/35

0.375

6/1/2005

175000

99693311

80

6.5

6/1/2005

05/01/35

0.375

5/1/2005

288720

99693335

78.97

6.5

6/1/2005

05/01/35

0.375

6/1/2005

276400

99693520

80

1

7/1/2005

06/01/35

0.375

6/1/2005

360000

99694028

71.51

2.125

7/1/2005

06/01/35

0.375

6/1/2005

137300

99694060

80

2.125

6/1/2005

05/01/35

0.375

5/1/2005

138400

99738800

73.93

1.375

7/1/2005

06/01/35

0.375

6/1/2005

1000000

99793151

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

412000

99815923

80

1

7/1/2005

06/01/35

0.375

6/1/2005

344000

99823584

80

1

7/1/2005

06/01/35

0.375

6/1/2005

209600

99824123

80

2.125

7/1/2005

06/01/35

0.375

6/1/2005

308000

99824204

95

3

7/1/2005

06/01/35

0.375

6/1/2005

185250

99846032

75

1

7/1/2005

06/01/35

0.375

6/1/2005

311250

99862088

75

1

7/1/2005

06/01/35

0.375

6/1/2005

663750

99889456

80

1

7/1/2005

06/01/35

0.375

6/1/2005

584000

99902792

84.18

2.75

7/1/2005

06/01/35

0.375

6/1/2005

558000

99913257

80

1

7/1/2005

06/01/35

0.375

6/1/2005

632000

99914612

80

1.375

7/1/2005

06/01/35

0.375

6/1/2005

344000

99916837

80

1

7/1/2005

06/01/35

0.375

6/1/2005

140000

99969115

90

2.625

7/1/2005

06/01/35

0.375

6/1/2005

198000




loan num

purpose

index

margin

rate change date

max rate

appr value

09504164

Rate/Term Refinance

COFI

3.1

7/1/2005

9.95

175000

09504384

Cash Out Refinance

LIBOR

3.2

7/1/2005

19.9

380000

1000074693

Purchase

LIBOR

2.525

7/1/2005

9.95

194000

1000076604

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

177000

1000078063

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

400000

1000078302

Rate/Term Refinance

LIBOR

2.45

7/1/2005

9.95

260000

1000078324

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

166000

1000078498

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

160000

1000078759

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

386000

1000078760

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

412000

1000078770

Rate/Term Refinance

LIBOR

2.525

7/1/2005

9.95

169000

1000078975

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

258000

1000079265

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

280000

1000079281

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

240000

1000079296

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

705000

1000079311

Cash Out Refinance

COFI

3.55

7/1/2005

9.95

705000

1000079342

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

800000

1000079371

Cash Out Refinance

LIBOR

2.525

7/1/2005

9.95

280000

1000079463

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

600000

1000079499

Rate/Term Refinance

COFI

3.575

7/1/2005

9.95

308000

1000079501

Cash Out Refinance

LIBOR

2.525

7/1/2005

9.95

410000

1000079546

Cash Out Refinance

COFI

3.425

7/1/2005

9.95

450000

1000079624

Cash Out Refinance

LIBOR

2.525

7/1/2005

9.95

260000

1000079689

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

420000

1000079716

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

250000

1000079795

Cash Out Refinance

COFI

3.575

7/1/2005

9.95

330000

1000079830

Cash Out Refinance

LIBOR

2.525

7/1/2005

9.95

310000

100020042

Cash Out Refinance

COFI 1mo

4.3

7/1/2005

9.95

200000

100024250

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

3400000

100027587

Rate/Term Refinance

COFI 1mo

3.375

7/1/2005

9.95

315000

100032939

Purchase

COFI 1mo

3.5

7/1/2005

9.95

400000

100036588

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

9.95

400000

100060407

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

365000

100061199

Rate/Term Refinance

COFI 1mo

2.625

9/1/2005

9.95

509000

100072176

Rate/Term Refinance

COFI 1mo

3.3

9/1/2005

9.95

177500

100073568

Rate/Term Refinance

COFI 1mo

3.8

7/1/2005

9.95

108000

100107846

Cash Out Refinance

COFI 1mo

3.65

9/1/2005

9.95

316000

100108095

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

465000

100108151

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

488000

100108961

Rate/Term Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

160000

100110192

Cash Out Refinance

LIBOR 1mo

3.2

9/1/2005

9.95

415000

100111995

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

620000

100112974

Purchase

LIBOR 1mo

3.35

9/1/2005

9.95

314000

100122243

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

460000

100128389

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

180000

100140686

Rate/Term Refinance

LIBOR 1mo

3.55

7/1/2005

9.95

372000

100147695

Cash Out Refinance

LIBOR 1mo

2.975

7/1/2005

9.95

510000

100150143

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

290000

100150887

Purchase

COFI 1mo

4.35

8/1/2005

9.95

180000

100153991

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

320000

100156784

Purchase

COFI 1mo

3.125

7/1/2005

9.95

636000

100167089

Purchase

LIBOR 1mo

3.75

7/1/2005

9.95

264000

100168161

Rate/Term Refinance

COFI 1mo

3.8

7/1/2005

9.95

109000

100170489

Cash Out Refinance

COFI 1mo

3.625

7/1/2005

9.95

220000

100176346

Cash Out Refinance

COFI 1mo

2.875

7/1/2005

9.95

420000

100181131

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

499000

100181291

Cash Out Refinance

COFI 1mo

3.125

7/1/2005

9.95

165000

100187028

Purchase

COFI 1mo

3.575

7/1/2005

9.95

965000

100187564

Rate/Term Refinance

COFI 1mo

4.05

7/1/2005

9.95

527000

100195349

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

215000

100197493

Rate/Term Refinance

COFI 1mo

4.225

7/1/2005

9.95

159000

100197669

Rate/Term Refinance

COFI 1mo

4.225

7/1/2005

9.95

159000

100199325

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

835000

100200045

Purchase

COFI 1mo

3.65

7/1/2005

9.95

67000

100203910

Purchase

COFI 1mo

3.125

7/1/2005

9.95

1500000

100207318

Rate/Term Refinance

LIBOR 1mo

4.4

7/1/2005

9.95

341000

100210279

Rate/Term Refinance

COFI 1mo

4.25

7/1/2005

9.95

202000

100228794

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

600000

100231253

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

330000

100241574

Cash Out Refinance

LIBOR 1mo

2.3

9/1/2005

9.95

352500

100247421

Cash Out Refinance

COFI 1mo

3.125

7/1/2005

9.95

372000

100248277

Cash Out Refinance

COFI 1mo

3.3

9/1/2005

9.95

575000

100252573

Purchase

COFI 1mo

4.15

7/1/2005

9.95

91000

100256262

Cash Out Refinance

COFI 1mo

3.7

7/1/2005

9.95

416000

100259574

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

385000

100263895

Purchase

COFI 1mo

2.75

7/1/2005

9.95

530000

100264079

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

460000

100276472

Rate/Term Refinance

LIBOR 1mo

4

7/1/2005

9.95

235000

100285923

Rate/Term Refinance

COFI 1mo

2.875

7/1/2005

9.95

1100000

100296243

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

180000

100309635

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

173900

100312646

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

277000

100336005

Rate/Term Refinance

LIBOR 1mo

3.9

9/1/2005

9.95

143000

100336037

Cash Out Refinance

LIBOR 1mo

3.725

7/1/2005

9.95

136000

100343277

Purchase

COFI 1mo

3.85

7/1/2005

9.95

655000

100348394

Purchase

LIBOR 1mo

3

9/1/2005

9.95

300000

100352619

Purchase

COFI 1mo

3.625

7/1/2005

9.95

450000

100353611

Rate/Term Refinance

COFI 1mo

4.55

7/1/2005

9.95

280000

100355179

Rate/Term Refinance

COFI 1mo

3.925

7/1/2005

9.95

144000

100357091

Purchase

COFI 1mo

3.275

7/1/2005

9.95

395000

100357675

Cash Out Refinance

COFI 1mo

3.375

7/1/2005

9.95

760000

100361188

Cash Out Refinance

COFI 1mo

3.425

7/1/2005

9.95

1200000

100362196

Cash Out Refinance

COFI 1mo

3.475

9/1/2005

9.95

205000

100390643

Purchase

LIBOR 1mo

4.625

9/1/2005

9.95

185000

100392170

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

950000

100437318

Cash Out Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

570000

100448092

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

400000

100469403

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

335000

100477171

Purchase

COFI 1mo

4.15

7/1/2005

9.95

170000

100484559

Cash Out Refinance

COFI 1mo

4.25

7/1/2005

9.95

290000

100487638

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

703000

100490524

Cash Out Refinance

LIBOR 1mo

3.05

9/1/2005

9.95

685000

100496989

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

840000

100502145

Rate/Term Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

614000

100504864

Cash Out Refinance

LIBOR 1mo

3.375

9/1/2005

9.95

238000

100506147

Purchase

LIBOR 1mo

2.95

7/1/2005

10.325

160000

100516040

Cash Out Refinance

COFI 1mo

4.1

9/1/2005

9.95

270000

100526756

Rate/Term Refinance

LIBOR 1mo

2.5

7/1/2005

9.95

296000

100532397

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

395000

100534881

Purchase

COFI 1mo

4.15

7/1/2005

9.95

567000

100547547

Purchase

COFI 1mo

4.15

7/1/2005

9.95

225000

100550483

Purchase

LIBOR 1mo

2.9

7/1/2005

9.95

950000

100561221

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

63000

100564756

Rate/Term Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

305000

100576073

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

275000

100576153

Purchase

COFI 1mo

4.15

7/1/2005

9.95

604000

100576193

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

424000

100580175

Rate/Term Refinance

LIBOR 1mo

1.625

7/1/2005

9.95

680000

100583103

Purchase

LIBOR 1mo

3.45

9/1/2005

9.95

340000

100585509

Cash Out Refinance

LIBOR 1mo

1.875

9/1/2005

9.95

356000

100591600

Cash Out Refinance

COFI 1mo

4.175

7/1/2005

9.95

340000

100611139

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

165000

100614795

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

810000

100621860

Cash Out Refinance

LIBOR 1mo

3.275

7/1/2005

9.95

622000

100643737

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

230000

100649052

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

227000

100659222

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

725000

100666375

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

595000

100679928

Purchase

LIBOR 1mo

3.05

9/1/2005

9.95

185000

100684337

Cash Out Refinance

LIBOR 1mo

1.625

7/1/2005

9.95

460000

100684385

Rate/Term Refinance

LIBOR 1mo

2.225

9/1/2005

9.95

384000

100686102

Cash Out Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

411000

100686222

Cash Out Refinance

LIBOR 1mo

2.375

7/1/2005

9.95

270000

100755043

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

315000

100762967

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

235000

100763191

Purchase

COFI 1mo

4.1

9/1/2005

9.95

232000

100765865

Cash Out Refinance

LIBOR 1mo

2.3

7/1/2005

9.95

365000

100768968

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

360000

100803491

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

690000

100805338

Purchase

COFI 1mo

3.35

9/1/2005

9.95

445000

100818856

Purchase

LIBOR 1mo

2.7

9/1/2005

9.95

1500000

100829715

Cash Out Refinance

LIBOR 1mo

3.2

9/1/2005

9.95

427000

100846940

Purchase

LIBOR 1mo

3.35

9/1/2005

9.95

515000

100847569

Purchase

LIBOR 1mo

2.225

7/1/2005

9.95

702000

100849516

Purchase

LIBOR 1mo

4.625

9/1/2005

9.95

118000

100850604

Purchase

LIBOR 1mo

2.15

7/1/2005

9.95

485000

100852086

Rate/Term Refinance

COFI 1mo

3.8

8/1/2005

9.95

152500

100852638

Purchase

COFI 1mo

3.85

7/1/2005

9.95

146000

100890815

Rate/Term Refinance

COFI 1mo

3

7/1/2005

9.95

85000

100907659

Rate/Term Refinance

LIBOR 1mo

2.75

9/1/2005

9.95

338000

100930495

Cash Out Refinance

COFI 1mo

3.2

9/1/2005

9.95

620000

100932906

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

482000

100939598

Rate/Term Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

145000

100941000

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

505000

100946153

Cash Out Refinance

LIBOR 1mo

1.925

7/1/2005

9.95

432000

100948221

Cash Out Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

221000

100952863

Cash Out Refinance

LIBOR 1mo

2.9

9/1/2005

9.95

500000

100956092

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

400000

100959069

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

490000

100959912

Cash Out Refinance

LIBOR 1mo

2.45

9/1/2005

9.95

418000

100975229

Purchase

COFI 1mo

3.55

7/1/2005

9.95

242000

100977438

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

688000

100980110

Rate/Term Refinance

COFI 1mo

3.4

7/1/2005

9.95

769000

100983391

Purchase

COFI 1mo

3.25

7/1/2005

9.95

246000

100983559

Cash Out Refinance

COFI 1mo

3.8

9/1/2005

9.95

1100000

100985167

Rate/Term Refinance

LIBOR 1mo

2.675

7/1/2005

9.95

230000

100985775

Rate/Term Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

890000

100987007

Cash Out Refinance

LIBOR 1mo

2.55

9/1/2005

9.95

425000

100999681

Purchase

COFI 1mo

3.25

7/1/2005

9.95

800000

101001297

Cash Out Refinance

COFI 1mo

3.425

7/1/2005

9.95

285000

101003881

Rate/Term Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

315000

101005601

Cash Out Refinance

COFI 1mo

4.45

9/1/2005

9.95

193500

101009714

Rate/Term Refinance

LIBOR 1mo

2.275

7/1/2005

9.95

402000

101014298

Purchase

COFI 1mo

3.5

7/1/2005

9.95

962000

101015595

Cash Out Refinance

COFI 1mo

3.7

7/1/2005

9.95

815000

101017443

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

406000

101019195

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

260000

101020835

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

330000

101021107

Purchase

COFI 1mo

3.4

7/1/2005

9.95

465000

101022011

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

383000

101022451

Purchase

COFI 1mo

3.625

7/1/2005

9.95

160000

101023083

Purchase

COFI 1mo

2.875

7/1/2005

9.95

910000

101026044

Cash Out Refinance

LIBOR 1mo

2.85

9/1/2005

9.95

377000

101030468

Purchase

COFI 1mo

4.775

7/1/2005

9.95

275000

101035485

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

256000

101036613

Purchase

COFI 1mo

3.825

9/1/2005

9.95

168000

101039238

Cash Out Refinance

LIBOR 1mo

2.675

7/1/2005

9.95

280000

101041510

Rate/Term Refinance

COFI 1mo

3.25

7/1/2005

9.95

105000

101044374

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

380000

101045862

Rate/Term Refinance

LIBOR 1mo

4.025

7/1/2005

9.95

307000

101047839

Purchase

COFI 1mo

4.125

9/1/2005

9.95

68000

101069935

Purchase

LIBOR 1mo

2.95

7/1/2005

9.95

455000

101071388

Purchase

COFI 1mo

3.3

9/1/2005

9.95

168000

101074497

Cash Out Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

490000

101098039

Rate/Term Refinance

LIBOR 1mo

3.8

7/1/2005

9.95

175000

101110301

Cash Out Refinance

COFI 1mo

3.65

9/1/2005

9.95

430000

101115581

Cash Out Refinance

COFI 1mo

3.425

7/1/2005

9.95

197000

101116829

Rate/Term Refinance

COFI 1mo

3.625

7/1/2005

9.95

60000

101118430

Purchase

COFI 1mo

3.725

7/1/2005

9.95

620000

101118518

Purchase

COFI 1mo

3.625

7/1/2005

9.95

255000

101119846

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

448000

101128231

Cash Out Refinance

COFI 1mo

3.625

7/1/2005

9.95

315000

101132919

Purchase

LIBOR 1mo

4.525

7/1/2005

9.95

170000

101133563

Cash Out Refinance

LIBOR 1mo

2.5

7/1/2005

9.95

673000

101138838

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

137000

101141015

Cash Out Refinance

LIBOR 1mo

1.625

7/1/2005

9.95

278000

101142347

Rate/Term Refinance

COFI 1mo

3.725

9/1/2005

9.95

196000

101148669

Purchase

LIBOR 1mo

3.05

9/1/2005

9.95

218000

101158885

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

1225000

101166020

Rate/Term Refinance

LIBOR 1mo

1.7

7/1/2005

9.95

501000

101166212

Cash Out Refinance

LIBOR 1mo

1.925

7/1/2005

9.95

395000

101188657

Cash Out Refinance

LIBOR 1mo

3.5

7/1/2005

9.95

575000

101191177

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

455000

101195858

Cash Out Refinance

LIBOR 1mo

3.375

9/1/2005

9.95

175000

101203387

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

240000

101221459

Cash Out Refinance

COFI 1mo

4.1

9/1/2005

9.95

640000

101227847

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

320000

101228459

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

357000

101261359

Purchase

COFI 1mo

4.15

7/1/2005

9.95

520000

101287736

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

385000

101289560

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

306000

101291011

Cash Out Refinance

LIBOR 1mo

3.25

7/1/2005

9.95

800000

101291203

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

510000

101291499

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

620000

101291523

Cash Out Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

655000

101292477

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

325000

101302440

Rate/Term Refinance

COFI 1mo

4.525

7/1/2005

9.95

460000

101304672

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

585000

101310105

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

353900

101314674

Purchase

COFI 1mo

3.425

7/1/2005

9.95

640000

101315674

Cash Out Refinance

LIBOR 1mo

2.65

7/1/2005

9.95

1100000

101315762

Rate/Term Refinance

LIBOR 1mo

2.725

7/1/2005

9.95

174000

101319522

Cash Out Refinance

COFI 1mo

3.75

9/1/2005

9.95

110000

101334227

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

125000

101334235

Rate/Term Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

140000

101341612

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

118500

101346813

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

270000

101348580

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

928000

101350086

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

165000

101353143

Purchase

LIBOR 1mo

2.375

7/1/2005

9.95

77000

101353207

Purchase

LIBOR 1mo

2.3

7/1/2005

10.95

140000

101355363

Cash Out Refinance

COFI 1mo

4.1

9/1/2005

9.95

325000

101366853

Rate/Term Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

350000

101371221

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

300000

101375673

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

470000

101390134

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

825000

101391866

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

170000

101396386

Purchase

LIBOR 1mo

2.825

7/1/2005

9.95

950000

101398610

Purchase

COFI 1mo

3.475

7/1/2005

9.95

92000

101400435

Cash Out Refinance

COFI 1mo

3.425

7/1/2005

9.95

438000

101401643

Cash Out Refinance

COFI 1mo

3.375

9/1/2005

9.95

1425000

101410380

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

737000

101411700

Rate/Term Refinance

LIBOR 1mo

2.65

7/1/2005

9.95

460000

101415030

Purchase

COFI 1mo

3.125

7/1/2005

9.95

600000

101439748

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

501000

101441745

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

280000

101447474

Purchase

COFI 1mo

3.4

7/1/2005

9.95

595000

101448102

Rate/Term Refinance

LIBOR 1mo

4.5

9/1/2005

9.95

190000

101451741

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

437000

101457715

Cash Out Refinance

LIBOR 1mo

2.75

9/1/2005

9.95

335000

101475915

Cash Out Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

260000

101476929

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

725000

101482727

Cash Out Refinance

LIBOR 1mo

3.25

7/1/2005

9.95

368000

101513591

Rate/Term Refinance

LIBOR 1mo

1.875

9/1/2005

9.95

200000

101514636

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

220000

101519523

Purchase

LIBOR 1mo

3.2

9/1/2005

9.95

62500

101519950

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

400000

101520216

Cash Out Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

585000

101521229

Cash Out Refinance

LIBOR 1mo

1.95

9/1/2005

9.95

280000

101532619

Cash Out Refinance

LIBOR 1mo

4.25

9/1/2005

9.95

157500

101537088

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

377000

101542160

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

152500

101542176

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

150000

101548496

Purchase

COFI 1mo

3.7

7/1/2005

9.95

350000

101548850

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

905000

101551012

Cash Out Refinance

LIBOR 1mo

2.375

9/1/2005

9.95

1100000

101560690

Purchase

COFI 1mo

3.725

7/1/2005

9.95

560000

101561010

Purchase

LIBOR 1mo

2.725

7/1/2005

9.95

161000

101562218

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

365000

101564066

Purchase

COFI 1mo

3.125

7/1/2005

9.95

145000

101564154

Cash Out Refinance

COFI 1mo

3.5

9/1/2005

9.95

121000

101569979

Purchase

COFI 1mo

3.55

7/1/2005

9.95

115000

101572251

Purchase

LIBOR 1mo

2.975

7/1/2005

9.95

275000

101579460

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

380000

101582548

Cash Out Refinance

COFI 1mo

3.85

7/1/2005

9.95

335000

101583340

Purchase

COFI 1mo

3.05

9/1/2005

9.95

500000

101583588

Cash Out Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

420000

101588429

Purchase

LIBOR 1mo

4.375

7/1/2005

9.95

266000

101590517

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

496000

101592445

Purchase

COFI 1mo

3.85

9/1/2005

9.95

290000

101593806

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

210000

101594182

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

515000

101596302

Purchase

COFI 1mo

3.8

7/1/2005

9.95

275000

101597710

Purchase

COFI 1mo

3.1

9/1/2005

9.95

425000

101603543

Purchase

COFI 1mo

3.475

7/1/2005

9.95

114000

101609368

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

428500

101623086

Cash Out Refinance

COFI 1mo

3.35

7/1/2005

9.95

430000

101638811

Rate/Term Refinance

LIBOR 1mo

1.775

7/1/2005

9.95

1300000

101638819

Cash Out Refinance

LIBOR 1mo

2.075

7/1/2005

9.95

2250000

101639877

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

368400

101651106

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

550000

101663036

Rate/Term Refinance

COFI 1mo

2.65

7/1/2005

9.95

390000

101671673

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

228000

101672002

Purchase

COFI 1mo

3.6

9/1/2005

9.95

555000

101672730

Purchase

LIBOR 1mo

3.525

7/1/2005

9.95

94000

101673066

Cash Out Refinance

LIBOR 1mo

2.725

7/1/2005

9.95

650000

101673570

Cash Out Refinance

LIBOR 1mo

3.525

7/1/2005

9.95

770000

101674890

Purchase

LIBOR 1mo

3.025

7/1/2005

9.95

620000

101676154

Rate/Term Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

1200000

101676698

Cash Out Refinance

COFI 1mo

3.1

7/1/2005

9.95

1170000

101678890

Rate/Term Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

330000

101680763

Rate/Term Refinance

COFI 1mo

4.35

9/1/2005

9.95

160000

101686027

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

115000

101686971

Purchase

LIBOR 1mo

3.15

7/1/2005

9.95

245000

101696788

Cash Out Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

232000

101696844

Cash Out Refinance

LIBOR 1mo

4.4

7/1/2005

9.95

173000

101703258

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

335000

101723958

Purchase

COFI 1mo

4.15

7/1/2005

9.95

210000

101736648

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

430000

101738984

Cash Out Refinance

COFI 1mo

3.7

7/1/2005

9.95

525000

101760663

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

281000

101774258

Purchase

LIBOR 1mo

4.525

7/1/2005

9.95

335000

101783035

Purchase

LIBOR 1mo

2.425

7/1/2005

9.95

176000

101799469

Cash Out Refinance

LIBOR 1mo

2.45

9/1/2005

9.95

175000

101813419

Purchase

COFI 1mo

3.575

7/1/2005

9.95

340000

101815968

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

910000

101816604

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

250000

101824236

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

309000

101829853

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

615000

101847408

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

775000

101852854

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

164000

101863326

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

500000

101864987

Cash Out Refinance

LIBOR 1mo

3.2

9/1/2005

9.95

370000

101895719

Cash Out Refinance

COFI 1mo

2.75

7/1/2005

9.95

355000

101903480

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

315000

101910929

Cash Out Refinance

COFI 1mo

3.625

7/1/2005

9.95

557500

101913257

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

356000

101913281

Rate/Term Refinance

LIBOR 1mo

2.675

7/1/2005

9.95

924000

101914489

Purchase

COFI 1mo

4.15

7/1/2005

9.95

215000

101914929

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

210000

101931481

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

120000

101946454

Purchase

LIBOR 1mo

2.75

9/1/2005

9.95

470000

101953814

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

560000

101959627

Cash Out Refinance

LIBOR 1mo

3.05

9/1/2005

9.95

120000

101959708

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

170000

101962700

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

255000

101985931

Cash Out Refinance

LIBOR 1mo

2.25

7/1/2005

9.95

490000

101986059

Cash Out Refinance

LIBOR 1mo

2.375

7/1/2005

9.95

425000

101988988

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

226000

102007822

Purchase

LIBOR 1mo

4.4

9/1/2005

9.95

360000

102008510

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

840000

102024577

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

510000

102024883

Rate/Term Refinance

COFI 1mo

3.2

9/1/2005

9.95

245000

102063064

Rate/Term Refinance

COFI 1mo

3.725

7/1/2005

9.95

700000

102069748

Cash Out Refinance

COFI 1mo

3.7

7/1/2005

9.95

520000

102075559

Purchase

LIBOR 1mo

2.525

7/1/2005

9.95

180000

102075743

Purchase

COFI 1mo

3.85

9/1/2005

9.95

445000

102078111

Purchase

LIBOR 1mo

3.525

7/1/2005

9.95

213500

102079360

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

300000

102081328

Purchase

COFI 1mo

4.025

7/1/2005

9.95

398000

102085848

Purchase

COFI 1mo

3.425

7/1/2005

9.95

666000

102086096

Purchase

COFI 1mo

3.85

7/1/2005

9.95

180000

102088393

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

580000

102115090

Purchase

COFI 1mo

4.15

7/1/2005

9.95

600000

102119064

Cash Out Refinance

LIBOR 1mo

2.375

7/1/2005

9.95

402000

102146648

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

250000

102149205

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

100000

102151254

Purchase

COFI 1mo

4.1

9/1/2005

9.95

320000

102156818

Purchase

COFI 1mo

4.15

7/1/2005

9.95

215000

102163661

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

780000

102167097

Cash Out Refinance

LIBOR 1mo

1.85

7/1/2005

9.95

125500

102170424

Purchase

LIBOR 1mo

3.35

9/1/2005

9.95

485000

102171475

Rate/Term Refinance

LIBOR 1mo

2.2

7/1/2005

9.95

258000

102173585

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

729000

102175529

Purchase

COFI 1mo

3.225

9/1/2005

9.95

440000

102176489

Purchase

COFI 1mo

3.65

7/1/2005

9.95

604000

102186026

Purchase

COFI 1mo

3.95

7/1/2005

9.95

270000

102195691

Purchase

COFI 1mo

3.125

7/1/2005

9.95

1175000

1022014169

Purchase

LIBOR

2.8

7/1/2005

10.95

545000

1022014392

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

400000

1022014574

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

406000

1022014634

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

1000000

1022014635

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

650000

1022014638

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

380000

1022014673

Purchase

LIBOR

2.8

7/1/2005

10.95

330732

1022014674

Purchase

LIBOR

2.8

7/1/2005

10.95

426000

1022014704

Purchase

LIBOR

2.8

7/1/2005

10.95

280000

1022014708

Purchase

LIBOR

3.175

7/1/2005

11.325

255000

1022014745

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

245000

1022014751

Purchase

LIBOR

3.075

7/1/2005

10.95

280088

1022014753

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

375000

1022014780

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

385000

1022014847

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

338000

1022014851

Purchase

LIBOR

2.65

7/1/2005

11.95

290000

1022014879

Purchase

LIBOR

2.8

7/1/2005

11.95

176000

1022014888

Purchase

LIBOR

2.8

7/1/2005

10.95

930000

1022014903

Cash Out Refinance

LIBOR

3.25

7/1/2005

10.95

620000

1022014908

Cash Out Refinance

LIBOR

3.25

7/1/2005

10.95

525000

1022014961

Purchase

LIBOR

3.4

7/1/2005

11.325

257500

1022015139

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

490000

102206932

Rate/Term Refinance

COFI 1mo

2.9

7/1/2005

9.95

187000

102217774

Cash Out Refinance

COFI 1mo

3.375

7/1/2005

9.95

285000

102224218

Cash Out Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

105000

102229349

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

1630000

102245852

Purchase

COFI 1mo

2.75

7/1/2005

9.95

600000

102245876

Purchase

COFI 1mo

3.5

7/1/2005

9.95

555000

102279205

Rate/Term Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

410000

102293456

Purchase

COFI 1mo

3.85

7/1/2005

9.95

283000

102295335

Cash Out Refinance

LIBOR 1mo

3.25

7/1/2005

9.95

377000

102306624

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

386500

102316338

Rate/Term Refinance

LIBOR 1mo

3.025

9/1/2005

9.95

95000

102325010

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

565000

102333218

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

590000

102333938

Rate/Term Refinance

COFI 1mo

3.25

7/1/2005

9.95

385000

102334994

Cash Out Refinance

COFI 1mo

3.125

7/1/2005

9.95

1850000

102343627

Rate/Term Refinance

COFI 1mo

3.8

7/1/2005

9.95

558000

102358253

Purchase

COFI 1mo

3.125

7/1/2005

9.95

295000

102361414

Rate/Term Refinance

LIBOR 1mo

2.725

7/1/2005

9.95

475000

102365518

Rate/Term Refinance

COFI 1mo

3.125

7/1/2005

9.95

350000

102367470

Cash Out Refinance

LIBOR 1mo

2.2

7/1/2005

9.95

2300000

102367998

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

60000

102370263

Cash Out Refinance

COFI 1mo

3.425

7/1/2005

9.95

91000

102374439

Purchase

COFI 1mo

3.25

7/1/2005

9.95

329000

102374607

Purchase

LIBOR 1mo

2.375

7/1/2005

9.95

369000

102387663

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

380000

102397613

Purchase

COFI 1mo

4.025

9/1/2005

9.95

128000

102398918

Purchase

COFI 1mo

3.65

9/1/2005

9.95

215000

1024014295

Purchase

LIBOR

2.95

7/1/2005

10.95

585000

1024014723

Purchase

COFI

3.5

7/1/2005

10.95

510000

102422110

Rate/Term Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

460000

102435744

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

113000

102446826

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

1251000

102451637

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

217000

102455748

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

203000

102456165

Purchase

COFI 1mo

3.575

7/1/2005

9.95

665000

102462341

Cash Out Refinance

LIBOR 1mo

3.375

7/1/2005

9.95

300000

102463421

Cash Out Refinance

COFI 1mo

3.125

7/1/2005

9.95

390000

102463477

Purchase

COFI 1mo

3

7/1/2005

9.95

233000

102478003

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

179000

102497447

Rate/Term Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

102000

102516664

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

231000

102524173

Purchase

LIBOR 1mo

4.5

9/1/2005

9.95

103000

102545258

Purchase

COFI 1mo

3.375

7/1/2005

9.95

282000

102554204

Purchase

LIBOR 1mo

3.275

7/1/2005

9.95

400000

102567087

Purchase

COFI 1mo

4

7/1/2005

9.95

364000

102567143

Purchase

COFI 1mo

4

7/1/2005

9.95

364000

102582886

Purchase

COFI 1mo

2.625

9/1/2005

9.95

1155000

102589322

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

665000

102635331

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

402000

102635371

Purchase

LIBOR 1mo

2.525

7/1/2005

10.325

330000

102635379

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

390000

102652280

Purchase

LIBOR 1mo

2.5

7/1/2005

9.95

470000

102662798

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

277000

102669222

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

153000

102676475

Rate/Term Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

300000

102677163

Purchase

LIBOR 1mo

2.45

7/1/2005

9.95

164500

102680110

Purchase

COFI 1mo

4.1

9/1/2005

9.95

250000

102683161

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

704000

1027000642

Cash Out Refinance

LIBOR

3.075

7/1/2005

10.95

260000

102734303

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

122000

102734383

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

200000

102738179

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

150000

102745318

Cash Out Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

266300

102746975

Purchase

COFI 1mo

3.275

7/1/2005

9.95

215000

102756696

Purchase

COFI 1mo

3.75

7/1/2005

9.95

379000

102760064

Rate/Term Refinance

LIBOR 1mo

3.55

7/1/2005

9.95

179500

102773442

Rate/Term Refinance

LIBOR 1mo

2.675

7/1/2005

9.95

345000

102779859

Purchase

COFI 1mo

3.05

9/1/2005

9.95

80000

102783771

Purchase

COFI 1mo

3.425

7/1/2005

9.95

215000

102786828

Purchase

COFI 1mo

3.25

7/1/2005

9.95

291000

102789468

Cash Out Refinance

COFI 1mo

3.85

9/1/2005

9.95

270000

102811170

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

280000

102815423

Cash Out Refinance

LIBOR 1mo

2.5

9/1/2005

9.95

257000

102928663

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

182500

102930812

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

200000

102934282

Cash Out Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

970000

102938925

Cash Out Refinance

LIBOR 1mo

1.775

7/1/2005

9.95

555000

102957556

Purchase

LIBOR 1mo

2.1

9/1/2005

9.95

295000

102962696

Purchase

COFI 1mo

4.25

7/1/2005

9.95

160000

102985736

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

505000

103013352

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

885000

103014068

Cash Out Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

700000

1043015041

Cash Out Refinance

LIBOR

3.075

7/1/2005

10.95

235000

1043015139

Cash Out Refinance

LIBOR

3.575

7/1/2005

11.325

148000

1043015148

Purchase

LIBOR

3.575

7/1/2005

11.325

119000

1043015154

Cash Out Refinance

LIBOR

3.575

7/1/2005

11.325

110000

1043015434

Purchase

COFI

3.65

7/1/2005

10.95

450000

1066000861

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

735000

1066001615

Cash Out Refinance

LIBOR

2.8

7/1/2005

10.95

257000

1067002101

Purchase

LIBOR

2.9

7/1/2005

10.95

680000

107394441

Purchase

COFI 1mo

3.8

9/1/2005

9.95

411500

107435403

Purchase

COFI 1mo

3.85

7/1/2005

9.95

500000

107544840

Rate/Term Refinance

COFI 1mo

3.4

7/1/2005

9.95

1100000

107552145

Purchase

COFI 1mo

3.2

9/1/2005

9.95

1133000

107559642

Cash Out Refinance

LIBOR 1mo

2.725

7/1/2005

9.95

170000

107577565

Cash Out Refinance

COFI 1mo

3.85

7/1/2005

9.95

850000

1099000053

Purchase

LIBOR

3.4

7/1/2005

11.95

330000

11504290

Purchase

COFI

3.375

7/1/2005

9.95

530000

16010864

Cash Out Refinance

COFI

3

7/1/2005

9.95

525000

16011356

Cash Out Refinance

COFI

2.75

7/1/2005

9.95

585000

16011686

Cash Out Refinance

COFI

2.75

7/1/2005

14.88

425000

1894312

Purchase

LIBOR

2.975

7/1/2005

9.95

343000

189797

Purchase

COFI 1mo

3.575

7/1/2005

9.95

295000

21031484

Rate/Term Refinance

LIBOR

3

7/1/2005

9.95

405000

21032898

Purchase

COFI

2.8

7/1/2005

9.95

759000

21033763

Cash Out Refinance

COFI

2.95

7/1/2005

9.95

645000

21034776

Purchase

COFI

2.95

7/1/2005

9.95

1433000

284808

Rate/Term Refinance

LIBOR

2.925

7/1/2005

9.95

125000

290169

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

495000

292603

Purchase

LIBOR

2.6

7/1/2005

9.95

300000

292641

Cash Out Refinance

LIBOR

2.9

8/1/2005

9.95

360000

293088

Cash Out Refinance

LIBOR

1.85

7/1/2005

9.95

310000

293283

Purchase

LIBOR

3.075

8/1/2005

9.95

830000

293287

Rate/Term Refinance

LIBOR

2.75

7/1/2005

9.95

355000

294181

Purchase

LIBOR

2.3

7/1/2005

9.95

550000

295138

Rate/Term Refinance

LIBOR

2.925

8/1/2005

9.95

216000

298081

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

950000

299303

Purchase

LIBOR

3.1

7/1/2005

9.95

165000

337014

Cash Out Refinance

LIBOR

3.25

7/1/2005

12.5

390000

337998

Purchase

COFI

3.325

7/1/2005

12.5

635000

338673

Rate/Term Refinance

LIBOR

2.875

7/1/2005

12.5

520000

340166

Purchase

COFI

3.95

7/1/2005

12.5

350000

342154

Cash Out Refinance

COFI

3.15

7/1/2005

12.5

525000

343046

Rate/Term Refinance

COFI

3.95

7/1/2005

12.5

485000

347260

Purchase

COFI

3.325

7/1/2005

12.5

455000

347559

Rate/Term Refinance

COFI

4.325

7/1/2005

12.5

460000

347724

Cash Out Refinance

COFI

2.95

7/1/2005

12.5

412000

348052

Purchase

COFI

3.075

7/1/2005

12.5

640000

349258

Purchase

LIBOR

2.825

7/1/2005

12.5

245000

350595

Purchase

COFI

3.3

7/1/2005

12.5

315000

351551

Cash Out Refinance

COFI

3.075

7/1/2005

12.5

960000

351627

Cash Out Refinance

COFI

3.575

7/1/2005

12.5

486000

351825

Cash Out Refinance

LIBOR

3

7/1/2005

12.5

430000

352427

Purchase

COFI

3.325

7/1/2005

12.5

455000

352781

Purchase

COFI

3.3

7/1/2005

12.5

838000

353052

Purchase

COFI

3.2

7/1/2005

12.5

555000

3535198

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

172000

354878

Purchase

COFI

3.175

7/1/2005

12.5

860000

355644

Cash Out Refinance

COFI

3.45

7/1/2005

12.5

462000

356147

Cash Out Refinance

COFI

3.05

7/1/2005

12.5

785000

356287

Cash Out Refinance

LIBOR

2.975

7/1/2005

12.5

486000

356550

Purchase

COFI

3.075

7/1/2005

12.5

420000

356949

Purchase

LIBOR

2.175

7/1/2005

12.5

880000

357368

Cash Out Refinance

COFI

3.325

7/1/2005

12.5

510000

357756

Cash Out Refinance

LIBOR

2.85

7/1/2005

12.5

935000

357772

Rate/Term Refinance

LIBOR

3

7/1/2005

12.5

760000

359182

Cash Out Refinance

LIBOR

2.875

7/1/2005

12.5

710000

362160

Purchase

COFI

3.05

7/1/2005

12.5

420000

362244

Purchase

COFI

3.2

7/1/2005

12.5

676000

363515

Purchase

COFI

3.325

7/1/2005

12.5

495000

364240

Cash Out Refinance

COFI

3.275

7/1/2005

12.5

460000

366799

Purchase

COFI

3.95

7/1/2005

12.5

510000

367094

Cash Out Refinance

COFI

3.425

7/1/2005

12.5

508000

367177

Cash Out Refinance

COFI

3.425

7/1/2005

12.5

350000

367516

Cash Out Refinance

LIBOR

2.45

7/1/2005

12.5

410000

367532

Purchase

COFI

3.2

7/1/2005

12.5

405000

367896

Cash Out Refinance

LIBOR

3.375

7/1/2005

12.5

600000

368472

Rate/Term Refinance

LIBOR

2.875

7/1/2005

12.5

660000

368845

Purchase

COFI

3.325

7/1/2005

12.5

540000

370924

Rate/Term Refinance

LIBOR

3

7/1/2005

12.5

2000000

370973

Rate/Term Refinance

LIBOR

2.875

7/1/2005

12.5

615000

371674

Cash Out Refinance

COFI

3.95

7/1/2005

12.5

450000

371708

Purchase

COFI

3.95

7/1/2005

12.5

381000

374660

Cash Out Refinance

COFI

3.325

7/1/2005

12.5

450000

375162

Purchase

LIBOR

3.25

7/1/2005

12.5

314000

37996311

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

2200000

41355356

Purchase

LIBOR

3.35

7/1/2005

9.95

470000

44533502

Purchase

LIBOR 1yr

2.65

7/1/2005

9.95

660000

46929871

Purchase

COFI 1mo

4.375

7/1/2005

9.95

237000

48151722

Purchase

LIBOR

3.1

7/1/2005

9.95

1260000

49089979

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

335000

5637127

Purchase

COFI 1mo

4.1

7/1/2005

9.95

410000

59172545

Purchase

COFI 1mo

2.45

7/1/2005

9.95

154000

61520751

Purchase

LIBOR

3.925

7/1/2005

9.95

224000

62116247

Purchase

LIBOR

2.2

7/1/2005

9.95

168000

63299381

Purchase

LIBOR

3.1

7/1/2005

9.95

447000

63453585

Rate/Term Refinance

LIBOR

2.975

7/1/2005

9.95

206000

63818606

Cash Out Refinance

LIBOR

2.1

7/1/2005

9.95

420000

63818654

Cash Out Refinance

LIBOR

2.225

7/1/2005

9.95

665000

63837242

Purchase

LIBOR

2.95

7/1/2005

9.95

660000

64323743

Purchase

LIBOR

3.775

7/1/2005

9.95

100000

64713061

Purchase

LIBOR

3.475

7/1/2005

9.95

299000

64819705

Cash Out Refinance

LIBOR

2.625

7/1/2005

9.95

322000

65151397

Rate/Term Refinance

LIBOR 1mo

3.05

9/1/2005

9.95

404000

65282270

Purchase

LIBOR

1.675

7/1/2005

9.95

300000

65761714

Purchase

LIBOR

2.75

7/1/2005

9.95

575000

66079003

Purchase

LIBOR

3.5

8/1/2005

9.95

173000

66103746

Purchase

LIBOR 1mo

2.35

7/1/2005

9.95

213000

67064026

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

320000

67497589

Rate/Term Refinance

LIBOR

3.575

7/1/2005

9.95

243000

68037871

Purchase

COFI 1mo

2.825

9/1/2005

9.95

880000

68182207

Cash Out Refinance

LIBOR

2.85

7/1/2005

9.95

480000

6820811

Rate/Term Refinance

LIBOR

2.225

7/1/2005

9.95

760000

68216034

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

400000

68216098

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

210000

6829135

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

325000

76652253

Purchase

LIBOR

3.725

7/1/2005

9.95

550000

76785888

Purchase

COFI 1mo

2.75

8/1/2005

9.95

662000

76791313

Cash Out Refinance

COFI 1mo

3.725

7/1/2005

9.95

735000

77182050

Rate/Term Refinance

LIBOR

2.65

7/1/2005

9.95

1675000

77325869

Cash Out Refinance

LIBOR

2.45

7/1/2005

9.95

649000

77361185

Cash Out Refinance

LIBOR 1mo

2.7

9/1/2005

9.95

690000

77412391

Purchase

LIBOR

2.65

7/1/2005

9.95

290000

77412799

Purchase

LIBOR

3.425

7/1/2005

9.95

195000

77412975

Purchase

LIBOR 1mo

3.2

9/1/2005

9.95

650000

77413111

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

75000

77420912

Cash Out Refinance

LIBOR

3.025

7/1/2005

9.95

450000

77740371

Cash Out Refinance

LIBOR

2.35

7/1/2005

12

850000

78380004

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

290000

78430258

Rate/Term Refinance

LIBOR

2.35

7/1/2005

9.95

215000

79465147

Purchase

LIBOR

2.725

7/1/2005

9.95

388000

79584786

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

107000

79641730

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

250000

79747940

Rate/Term Refinance

LIBOR

2.3

7/1/2005

9.95

1060000

79979582

Purchase

LIBOR

2.45

7/1/2005

9.95

355000

80150891

Cash Out Refinance

LIBOR

2.45

7/1/2005

9.95

350000

80190232

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

300000

80195233

Purchase

LIBOR

2.35

7/1/2005

9.95

583000

80211915

Rate/Term Refinance

LIBOR

2.2

7/1/2005

9.95

300000

80258889

Rate/Term Refinance

LIBOR

2.2

7/1/2005

9.95

305000

80259113

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

295000

80264978

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

481000

80273059

Purchase

LIBOR

2.1

7/1/2005

9.95

538000

80292445

Cash Out Refinance

LIBOR

1.725

7/1/2005

9.95

4800000

80364646

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

363500

80397506

Purchase

LIBOR

2.35

7/1/2005

9.95

937000

80412644

Rate/Term Refinance

LIBOR

2.2

7/1/2005

9.95

615000

80421957

Purchase

LIBOR

2.65

7/1/2005

9.95

1400000

80426086

Rate/Term Refinance

LIBOR

2.2

7/1/2005

9.95

350000

80435311

Cash Out Refinance

COFI 1mo

3.4

7/1/2005

9.95

1250000

80465539

Rate/Term Refinance

LIBOR

2.2

7/1/2005

9.95

320000

80482757

Purchase

LIBOR 1mo

2.3

7/1/2005

9.95

360000

80487757

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

565000

80501959

Purchase

LIBOR

2.725

7/1/2005

9.95

670000

80523226

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

220000

80529795

Rate/Term Refinance

LIBOR

2.2

7/1/2005

9.95

530000

80531611

Rate/Term Refinance

LIBOR

2.875

7/1/2005

9.95

133000

80532339

Rate/Term Refinance

LIBOR

2.575

7/1/2005

9.95

150000

80542276

Purchase

COFI 1mo

3.2

7/1/2005

9.95

670000

80544596

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

265000

80545517

Purchase

LIBOR

2.125

7/1/2005

9.95

330000

80546085

Cash Out Refinance

LIBOR

2.575

7/1/2005

9.95

220000

80560950

Purchase

COFI 1mo

3.2

7/1/2005

9.95

336000

80562351

Purchase

LIBOR

2.85

7/1/2005

9.95

213000

80563415

Purchase

COFI 1mo

4.35

7/1/2005

9.95

103000

80604460

Cash Out Refinance

COFI 1mo

2.875

7/1/2005

9.95

752000

80624550

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

876000

80628151

Purchase

LIBOR

2.725

7/1/2005

9.95

213000

80630103

Cash Out Refinance

COFI 1mo

3.45

7/1/2005

9.95

250000

80635824

Purchase

COFI 1mo

3.575

7/1/2005

9.95

675000

80639632

Purchase

LIBOR

2.5

7/1/2005

9.95

273000

80641769

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

480000

80652186

Cash Out Refinance

COFI 1mo

3.05

7/1/2005

9.95

358000

80661059

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

820000

80670036

Purchase

LIBOR

2.5

7/1/2005

9.95

1800000

80678109

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

415000

80693927

Purchase

COFI 1mo

3.05

7/1/2005

9.95

479000

80695351

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

273000

80697600

Purchase

LIBOR

2.35

7/1/2005

9.95

450000

80703480

Cash Out Refinance

LIBOR

2.675

7/1/2005

9.95

257000

80713258

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

670000

80715570

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

380000

80726283

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

787000

80726947

Purchase

LIBOR

2.85

7/1/2005

9.95

115000

80731716

Purchase

LIBOR

2.5

7/1/2005

9.95

800000

80733004

Rate/Term Refinance

LIBOR

2.225

7/1/2005

9.95

348000

80738101

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

182000

80827624

Cash Out Refinance

LIBOR

2.45

7/1/2005

9.95

575000

80828128

Rate/Term Refinance

LIBOR

2.725

7/1/2005

9.95

289000

80841170

Rate/Term Refinance

COFI 1mo

3.125

7/1/2005

9.95

420000

80853899

Cash Out Refinance

LIBOR 1mo

2.45

8/1/2005

9.95

135000

80857748

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

220000

80863820

Purchase

LIBOR

2.225

7/1/2005

9.95

832000

80864861

Rate/Term Refinance

LIBOR

2.35

7/1/2005

9.95

210000

80868309

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

600000

80877206

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

170000

80879198

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

285000

80885559

Purchase

LIBOR

2.4

7/1/2005

9.95

740000

80891200

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

400000

80907626

Rate/Term Refinance

COFI 1mo

3.05

7/1/2005

9.95

345000

80913075

Purchase

LIBOR

2.5

7/1/2005

9.95

125000

80913363

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

318000

80916435

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

432000

80924708

Rate/Term Refinance

LIBOR

2.47

7/1/2005

9.95

875000

80925572

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

485000

80934421

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

1050000

80936309

Purchase

LIBOR

2.5

7/1/2005

9.95

327955

80940646

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

1500000

80944470

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

444000

80953192

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

158000

80974906

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

520000

80998197

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

990000

81004062

Purchase

LIBOR

2.5

7/1/2005

9.95

546000

81005534

Purchase

COFI 1mo

3.2

7/1/2005

9.95

370000

81005846

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

282000

81009383

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

400000

81009951

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

550000

81012319

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

380000

81019768

Purchase

LIBOR

2.5

7/1/2005

9.95

160000

81023720

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

482000

81025161

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

460000

81035018

Purchase

COFI 1mo

3.3

7/1/2005

9.95

369000

81049060

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

210000

81054996

Cash Out Refinance

LIBOR

2.05

7/1/2005

9.95

372000

81058549

Purchase

LIBOR 1mo

2.225

7/1/2005

9.95

133000

81068830

Purchase

LIBOR

2.85

7/1/2005

9.95

120000

81070478

Rate/Term Refinance

LIBOR 1mo

2.3

7/1/2005

9.95

335000

81071846

Purchase

LIBOR

2.475

7/1/2005

9.95

271000

81076055

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

430000

81078271

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

250000

81080087

Cash Out Refinance

COFI 1mo

3.3

7/1/2005

9.95

150000

81085088

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

324000

81086504

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

344000

81089401

Cash Out Refinance

LIBOR

2.875

7/1/2005

9.95

725000

81114748

Purchase

LIBOR

2.475

7/1/2005

9.95

1060000

81116732

Rate/Term Refinance

LIBOR

2.85

7/1/2005

9.95

230000

81118548

Purchase

LIBOR

2.475

7/1/2005

9.95

534000

81123653

Purchase

LIBOR

2.875

7/1/2005

9.95

125000

81127349

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

630000

81135238

Cash Out Refinance

LIBOR

2.7

7/1/2005

9.95

3700000

81153353

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

316000

81157297

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

330000

81157481

Cash Out Refinance

COFI 1mo

3.3

7/1/2005

9.95

375000

81162018

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

360000

81162626

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

270000

81166778

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

430000

81193878

Rate/Term Refinance

COFI 1mo

3.2

7/1/2005

9.95

297000

81194902

Purchase

LIBOR

2.2

7/1/2005

9.95

520000

81199214

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

510000

81199390

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

465000

81206327

Cash Out Refinance

LIBOR

2.5

7/1/2005

10.95

215000

81208144

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

410000

81208744

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

10.95

335000

81228418

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

350000

81231202

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

685000

81235435

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

695000

81246140

Cash Out Refinance

LIBOR

3.25

7/1/2005

9.95

185000

81249629

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

442000

81255765

Purchase

LIBOR

2.2

7/1/2005

9.95

250000

81261134

Purchase

COFI 1mo

3.225

7/1/2005

9.95

440000

81269503

Purchase

LIBOR

2.8

7/1/2005

9.95

152000

81271495

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

320000

81274936

Purchase

LIBOR 1mo

2.45

7/1/2005

9.95

120000

81277112

Purchase

LIBOR

2.725

7/1/2005

9.95

430000

81277904

Rate/Term Refinance

LIBOR

2.725

7/1/2005

9.95

325000

81280913

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

245000

81282633

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

230000

81286569

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

360000

81286841

Rate/Term Refinance

LIBOR 1mo

2.975

7/1/2005

9.95

170000

81296947

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

190000

81302571

Purchase

LIBOR

1.975

7/1/2005

9.95

314000

81304804

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

445000

81305140

Cash Out Refinance

LIBOR

2.7

7/1/2005

9.95

252000

81307012

Purchase

LIBOR

2.875

7/1/2005

9.95

240000

81309436

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

665000

81321598

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

360000

81324926

Cash Out Refinance

COFI 1mo

3.2

7/1/2005

9.95

280000

81329287

Purchase

LIBOR

2.9

7/1/2005

9.95

507000

81331743

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

320000

81341912

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

230000

81343808

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

280000

81345985

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

158000

81348065

Cash Out Refinance

COFI 1mo

3.6

7/1/2005

9.95

375000

81348481

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

440000

81353266

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

640000

81354002

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

423000

81355218

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

147000

81357090

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

222500

81358666

Rate/Term Refinance

LIBOR

2.225

7/1/2005

9.95

663000

81361435

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

305000

81367595

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

425000

81368060

Rate/Term Refinance

LIBOR

3.55

7/1/2005

9.95

291000

81369396

Cash Out Refinance

LIBOR

3.55

7/1/2005

9.95

141000

81373052

Rate/Term Refinance

LIBOR 1mo

2.37

7/1/2005

9.95

485000

81373276

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

145000

81376181

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

590000

81384350

Purchase

COFI 1mo

3.65

7/1/2005

9.95

245000

81386366

Rate/Term Refinance

LIBOR

2.9

7/1/2005

9.95

400000

81387166

Purchase

COFI 1mo

3.5

7/1/2005

9.95

540000

81388206

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

408500

81390510

Purchase

LIBOR

3.175

7/1/2005

9.95

375000

81391670

Purchase

LIBOR

3.175

7/1/2005

9.95

925000

81393871

Purchase

LIBOR

2.8

7/1/2005

9.95

290000

81399767

Purchase

LIBOR

2.35

7/1/2005

9.95

822000

81404064

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

620000

81410393

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

285000

81412393

Purchase

COFI 1mo

3.5

7/1/2005

9.95

304000

81414649

Purchase

COFI 1mo

3.875

7/1/2005

9.95

240000

81416034

Rate/Term Refinance

LIBOR

2.875

7/1/2005

9.95

540000

81418754

Cash Out Refinance

LIBOR

2.975

7/1/2005

11.325

230000

81419858

Purchase

COFI 1mo

3.875

7/1/2005

9.95

155000

81422834

Rate/Term Refinance

LIBOR

2.65

7/1/2005

9.95

710000

81424035

Cash Out Refinance

COFI 1mo

3

7/1/2005

9.95

380000

81439116

Purchase

LIBOR

2.25

7/1/2005

9.95

1240000

81449214

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

330000

81450678

Purchase

COFI 1mo

3.125

7/1/2005

9.95

230000

81453638

Purchase

LIBOR

2.6

7/1/2005

9.95

1380000

81453830

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

136000

81454990

Purchase

LIBOR

2.9

7/1/2005

9.95

466000

81456951

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

390000

81459359

Rate/Term Refinance

LIBOR

3.125

7/1/2005

9.95

267400

81467144

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

173000

81468128

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

475000

81470696

Purchase

LIBOR

2.6

7/1/2005

9.95

370000

81471440

Purchase

LIBOR 1mo

2.45

7/1/2005

9.95

385000

81479834

Rate/Term Refinance

LIBOR

2.975

7/1/2005

9.95

360000

81489723

Rate/Term Refinance

LIBOR

2.875

7/1/2005

9.95

215000

81490699

Purchase

COFI 1mo

3.65

7/1/2005

9.95

191000

81499428

Purchase

LIBOR

2.8

7/1/2005

9.95

370000

81504413

Cash Out Refinance

LIBOR

2.9

7/1/2005

9.95

559000

81523759

Purchase

LIBOR

3.175

7/1/2005

9.95

140000

81528788

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

295000

81532100

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

385000

81545126

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

10.95

490000

81553183

Purchase

COFI 1mo

3

7/1/2005

9.95

330000

81555415

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

225000

81556647

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

542000

81557375

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

336000

81559479

Purchase

LIBOR 1mo

2.45

7/1/2005

9.95

377000

81563936

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

415000

81568697

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

540000

81568865

Cash Out Refinance

COFI 1mo

3.6

7/1/2005

9.95

320000

81575321

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

292000

81576738

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

405000

81580978

Cash Out Refinance

COFI 1mo

3.75

7/1/2005

9.95

145000

81581066

Purchase

LIBOR

2.6

7/1/2005

9.95

650000

81581122

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

259000

81587867

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

186000

81591715

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

375000

81592116

Purchase

COFI 1mo

3.875

7/1/2005

9.95

368000

81592828

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

419000

81599924

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

121000

81600045

Cash Out Refinance

LIBOR 1mo

2.975

7/1/2005

9.95

136000

81606917

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

665000

81607981

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

250000

81612350

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

325000

81622351

Purchase

COFI 1mo

3.6

7/1/2005

9.95

195000

81624584

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

675000

81631512

Purchase

LIBOR

2.8

7/1/2005

9.95

440000

81633297

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

455000

81638657

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

220000

81650099

Purchase

LIBOR

3.175

7/1/2005

9.95

500000

81660668

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

220000

81664813

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

145000

81666429

Purchase

COFI 1mo

3.35

7/1/2005

9.95

201000

81670085

Purchase

COFI 1mo

3.5

7/1/2005

9.95

275000

81670613

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

277000

81673750

Purchase

COFI 1mo

3.65

7/1/2005

9.95

255000

81675286

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

61000

81678054

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

300000

81680287

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

415000

81686295

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

435000

81690464

Rate/Term Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

320000

81695592

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

190000

81701825

Rate/Term Refinance

COFI 1mo

3.35

7/1/2005

9.95

435000

81705138

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

295000

81705754

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

343000

81706298

Purchase

COFI 1mo

3.925

7/1/2005

9.95

161000

81706362

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

426000

81709778

Purchase

COFI 1mo

3.925

7/1/2005

9.95

161000

81722604

Purchase

COFI 1mo

3.875

7/1/2005

9.95

220000

81725492

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

750000

81935927

Purchase

COFI 1mo

3.25

7/1/2005

9.95

280000

82208357

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

230000

82478655

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

90000

82478663

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

90000

82478671

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

90000

82478679

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

90000

82984339

Purchase

LIBOR

2.975

7/1/2005

9.95

140000

83220340

Purchase

LIBOR

2.6

7/1/2005

9.95

170000

83236204

Purchase

LIBOR 1mo

2.75

9/1/2005

9.95

933500

83453711

Rate/Term Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

395000

83513519

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

1275000

83573734

Purchase

COFI 1mo

4.1

9/1/2005

9.95

978000

83610540

Purchase

LIBOR

2.6

7/1/2005

9.95

210000

83722837

Cash Out Refinance

COFI 1mo

3.05

7/1/2005

9.95

2750000

83818341

Cash Out Refinance

COFI 1mo

3.7

7/1/2005

9.95

164000

83831442

Cash Out Refinance

LIBOR

2.05

7/1/2005

9.95

370000

83897371

Purchase

LIBOR

2.6

7/1/2005

9.95

262000

83921677

Purchase

LIBOR

2.5

7/1/2005

9.95

470000

84029189

Cash Out Refinance

LIBOR

1.8

7/1/2005

9.95

790000

84158374

Purchase

LIBOR

3.775

7/1/2005

9.95

347609

84395410

Purchase

LIBOR

3.325

7/1/2005

9.95

71600

84396234

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

205000

84481046

Purchase

LIBOR

3.1

7/1/2005

9.95

900000

84496081

Purchase

LIBOR

2.2

7/1/2005

9.95

493000

84640159

Rate/Term Refinance

LIBOR

2.95

7/1/2005

9.95

104000

84873503

Rate/Term Refinance

LIBOR

2.95

7/1/2005

9.95

320000

85125490

Purchase

COFI 1mo

3.125

7/1/2005

9.95

130000

85432129

Rate/Term Refinance

LIBOR

2.95

7/1/2005

9.95

135000

85494272

Purchase

LIBOR

2.975

7/1/2005

9.95

335000

85624641

Purchase

LIBOR

2.35

7/1/2005

9.95

660000

85679984

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

775000

85726197

Purchase

LIBOR

2.95

7/1/2005

9.95

435000

85748856

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

585000

85770555

Cash Out Refinance

LIBOR

2.95

7/1/2005

9.95

960000

85834742

Purchase

LIBOR

2.35

7/1/2005

9.95

345000

85885817

Purchase

LIBOR

3.2

7/1/2005

9.95

264000

85917853

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

1250000

86087828

Rate/Term Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

230000

86284296

Purchase

LIBOR

3.2

7/1/2005

9.95

150000

86298517

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

775000

86298653

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

675000

86299029

Purchase

COFI 1mo

4.15

7/1/2005

9.95

328000

86312422

Purchase

LIBOR

3.1

7/1/2005

9.95

322000

86441625

Rate/Term Refinance

LIBOR

2.45

7/1/2005

9.95

450000

86486336

Purchase

LIBOR

3.4

7/1/2005

9.95

580000

86652810

Purchase

LIBOR

2.35

7/1/2005

9.95

965000

86653570

Cash Out Refinance

LIBOR

3.775

7/1/2005

9.95

605000

86654402

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

350000

86877726

Purchase

COFI 1mo

4.25

7/1/2005

9.95

278000

86910659

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

1240000

86930645

Purchase

LIBOR

2.35

7/1/2005

9.95

365000

87115590

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

113000

87125975

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

2750000

87154363

Cash Out Refinance

LIBOR

1.4

7/1/2005

9.95

933000

87166273

Purchase

LIBOR 1mo

3.35

9/1/2005

9.95

251920

87198003

Purchase

LIBOR

2.275

7/1/2005

9.95

80000

87202668

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

178000

87203084

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

65000

87278861

Purchase

COFI 1mo

4.25

7/1/2005

9.95

165000

87278869

Purchase

COFI 1mo

4.725

8/1/2005

9.95

200000

87332902

Cash Out Refinance

COFI 1mo

3.75

7/1/2005

9.95

225000

87370392

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

730000

87418040

Cash Out Refinance

LIBOR

3.175

7/1/2005

9.95

485000

87418048

Purchase

LIBOR

2.8

7/1/2005

9.95

731000

87494984

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

630000

87520080

Rate/Term Refinance

LIBOR

2.625

7/1/2005

9.95

625000

87550035

Cash Out Refinance

LIBOR 1mo

2.65

7/1/2005

9.95

210000

87665366

Purchase

COFI 1mo

3.35

9/1/2005

9.95

223000

87677654

Purchase

COFI 1mo

4.15

7/1/2005

9.95

310000

87703696

Cash Out Refinance

LIBOR

2.95

7/1/2005

9.95

435000

87707453

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

543000

87722114

Cash Out Refinance

LIBOR

2.1

7/1/2005

9.95

605000

87726428

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

300000

87745189

Purchase

LIBOR

2.35

7/1/2005

9.95

1062000

87760749

Purchase

LIBOR

2.95

7/1/2005

9.95

337000

87799116

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

205000

87801427

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

535000

87866516

Purchase

COFI 1mo

3.875

7/1/2005

9.95

190000

87866524

Purchase

COFI 1mo

3.875

7/1/2005

9.95

170000

87882556

Purchase

LIBOR

2.35

7/1/2005

9.95

285000

87974304

Purchase

LIBOR

2.35

7/1/2005

9.95

330000

88015621

Purchase

LIBOR

2.95

7/1/2005

9.95

695000

88019701

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

261000

88025142

Purchase

LIBOR 1mo

2.875

7/1/2005

9.95

325000

88025790

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

1150000

88044520

Purchase

LIBOR

2.975

7/1/2005

9.95

164000

88070444

Rate/Term Refinance

LIBOR

2.65

7/1/2005

9.95

705000

88129957

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

275000

88130573

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

350000

88158823

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

520000

88216071

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

700000

88286221

Purchase

COFI 1mo

4.15

7/1/2005

9.95

420000

88289898

Rate/Term Refinance

LIBOR

2.725

7/1/2005

9.95

360000

88290826

Purchase

LIBOR

3.1

7/1/2005

9.95

810000

88302199

Rate/Term Refinance

COFI 1mo

3.95

7/1/2005

9.95

108000

88354527

Purchase

LIBOR

2.45

7/1/2005

9.95

101000

88361312

Purchase

LIBOR

2.65

7/1/2005

9.95

555000

88364759

Purchase

COFI 1mo

2.8

7/1/2005

9.95

336000

88373315

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

770000

88379412

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

435000

88419987

Purchase

LIBOR

3.2

7/1/2005

9.95

395000

88439309

Purchase

LIBOR

2.45

7/1/2005

9.95

252000

88458760

Purchase

COFI 1mo

3.35

7/1/2005

9.95

376000

88464017

Purchase

LIBOR

2.35

7/1/2005

9.95

680000

88468577

Rate/Term Refinance

COFI 1mo

3.6

9/1/2005

9.95

607000

88486545

Purchase

LIBOR 1mo

2.35

7/1/2005

9.95

145000

88539120

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

140000

88611896

Purchase

LIBOR

3.225

7/1/2005

9.95

305000

88623218

Purchase

LIBOR

2.5

7/1/2005

9.95

231000

88635703

Purchase

LIBOR

2.975

7/1/2005

9.95

258000

88670425

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

445000

88672090

Purchase

LIBOR

2.35

7/1/2005

9.95

235000

88672147

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

590000

88674259

Purchase

LIBOR

1.9

7/1/2005

9.95

165000

88681056

Cash Out Refinance

LIBOR

3.875

7/1/2005

9.95

315000

88691548

Cash Out Refinance

LIBOR

2.45

7/1/2005

9.95

435000

88704292

Rate/Term Refinance

LIBOR

1.3

7/1/2005

9.95

206000

88717573

Rate/Term Refinance

LIBOR

2.35

7/1/2005

9.95

174000

88768517

Purchase

LIBOR 1mo

2.525

7/1/2005

9.95

390000

88802037

Cash Out Refinance

LIBOR

2.85

7/1/2005

9.95

845000

88803613

Purchase

LIBOR

2.35

7/1/2005

9.95

480000

88803765

Rate/Term Refinance

LIBOR

2.35

7/1/2005

9.95

1350000

88823082

Purchase

COFI 1mo

4.25

7/1/2005

9.95

180000

88873187

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

473900

88877491

Rate/Term Refinance

COFI 1mo

3.625

7/1/2005

9.95

330000

88881300

Rate/Term Refinance

COFI 1mo

4.175

7/1/2005

9.95

305000

88881868

Cash Out Refinance

COFI 1mo

4.1

7/1/2005

9.95

310000

88978999

Purchase

COFI 1mo

4

7/1/2005

9.95

216000

89005679

Purchase

COFI 1mo

4.25

7/1/2005

9.95

230000

89005719

Purchase

COFI 1mo

4.1

9/1/2005

9.95

190000

89005759

Purchase

COFI 1mo

4.25

7/1/2005

9.95

211000

89005807

Purchase

COFI 1mo

4.25

7/1/2005

9.95

168000

89005823

Purchase

COFI 1mo

4.25

7/1/2005

9.95

154900

89008026

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

143000

89026750

Purchase

LIBOR

3.1

7/1/2005

9.95

582500

89058528

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

486000

89078313

Purchase

LIBOR

2.35

7/1/2005

9.95

800000

89083562

Purchase

COFI 1mo

4.25

7/1/2005

9.95

181000

89084423

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

875000

89097547

Cash Out Refinance

LIBOR 1mo

2.65

7/1/2005

9.95

405000

89132766

Rate/Term Refinance

LIBOR

3.325

7/1/2005

9.95

360000

89163401

Purchase

COFI 1mo

4

7/1/2005

9.95

145000

89163409

Purchase

COFI 1mo

4.25

7/1/2005

9.95

213900

8918678

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

325000

8918967

Purchase

LIBOR

2.6

7/1/2005

9.95

585000

8919158

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

550000

8919160

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

335000

89193963

Purchase

LIBOR

3.1

7/1/2005

9.95

180000

89201657

Rate/Term Refinance

LIBOR

3.775

7/1/2005

9.95

440000

89202794

Cash Out Refinance

LIBOR

3.4

7/1/2005

9.95

370000

89216359

Cash Out Refinance

COFI 1mo

4.125

7/1/2005

9.95

245000

89224644

Purchase

COFI 1mo

3.65

7/1/2005

9.95

224900

89238243

Cash Out Refinance

LIBOR

2.375

7/1/2005

9.95

575000

89246379

Purchase

LIBOR

3.35

7/1/2005

9.95

579000

89246395

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

389000

89247253

Purchase

COFI 1mo

3.25

7/1/2005

9.95

540000

89249194

Purchase

LIBOR

3.5

7/1/2005

9.95

379900

89273935

Cash Out Refinance

LIBOR

2.95

7/1/2005

9.95

395000

89290005

Purchase

LIBOR

2.725

7/1/2005

9.95

443000

89313839

Cash Out Refinance

COFI 1mo

3.275

7/1/2005

9.95

262000

89321336

Purchase

COFI 1mo

3.3

7/1/2005

9.95

150000

89326712

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

435000

89328857

Cash Out Refinance

COFI 1mo

3.625

7/1/2005

9.95

430000

89358704

Rate/Term Refinance

COFI 1mo

4.375

7/1/2005

9.95

160000

89363283

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

570000

89366331

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

300000

89366875

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

520000

89366891

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

300000

89382184

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

235000

89395703

Cash Out Refinance

LIBOR

2.275

7/1/2005

9.95

450000

89423811

Cash Out Refinance

LIBOR

2.85

7/1/2005

9.95

900000

89424278

Cash Out Refinance

LIBOR

3.25

7/1/2005

9.95

1860000

89430812

Purchase

COFI 1mo

4.5

7/1/2005

9.95

145000

89430828

Purchase

COFI 1mo

4.125

7/1/2005

9.95

145000

89441297

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

302000

89444392

Cash Out Refinance

LIBOR

3.5

7/1/2005

9.95

350000

89449683

Purchase

LIBOR 1mo

2.75

9/1/2005

9.95

202000

89460278

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

175000

89502250

Rate/Term Refinance

LIBOR

2.05

7/1/2005

9.95

355000

89510143

Rate/Term Refinance

LIBOR

1.775

7/1/2005

9.95

395000

89516412

Rate/Term Refinance

LIBOR

3.25

7/1/2005

9.95

515000

89540395

Rate/Term Refinance

COFI 1mo

3.3

7/1/2005

9.95

417000

89548382

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

320000

89575132

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

470000

89580465

Purchase

COFI 1mo

3.725

7/1/2005

9.95

255000

89583882

Rate/Term Refinance

COFI 1mo

3.725

7/1/2005

9.95

107000

89587186

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

105000

89589290

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

9.95

224000

89607335

Rate/Term Refinance

COFI 1mo

3.875

7/1/2005

9.95

425000

89621423

Purchase

LIBOR

2.6

7/1/2005

9.95

665000

89677869

Cash Out Refinance

LIBOR

2.95

7/1/2005

9.95

275000

89702077

Rate/Term Refinance

COFI 1mo

3.425

7/1/2005

9.95

312000

89707245

Cash Out Refinance

COFI 1mo

4.25

7/1/2005

9.95

290000

89719989

Purchase

LIBOR

3.2

7/1/2005

9.95

267000

89727183

Rate/Term Refinance

LIBOR

2.875

7/1/2005

9.95

251000

89737052

Cash Out Refinance

LIBOR

2.05

7/1/2005

9.95

500000

89737485

Cash Out Refinance

LIBOR

3.875

7/1/2005

9.95

290000

89745170

Rate/Term Refinance

LIBOR

2.05

7/1/2005

9.95

275000

89754999

Cash Out Refinance

LIBOR

3.5

7/1/2005

9.95

305000

89758360

Purchase

LIBOR

3.325

7/1/2005

9.95

206000

89758880

Purchase

LIBOR

2.95

7/1/2005

9.95

325000

89759448

Purchase

LIBOR

3.1

7/1/2005

9.95

225000

89760104

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

240000

89765591

Cash Out Refinance

LIBOR

2.225

7/1/2005

9.95

350000

89781567

Cash Out Refinance

COFI 1mo

3.75

7/1/2005

9.95

262000

89795180

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

665000

89808944

Rate/Term Refinance

LIBOR

3.5

7/1/2005

9.95

492000

89834746

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

333618

89841710

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

296000

89844231

Purchase

COFI 1mo

4.175

7/1/2005

9.95

174000

89857648

Purchase

LIBOR

3.35

7/1/2005

9.95

250000

89860777

Cash Out Refinance

LIBOR

2.025

7/1/2005

9.95

600000

89863234

Purchase

LIBOR

2.65

7/1/2005

9.95

724000

89865039

Purchase

LIBOR

2.725

7/1/2005

9.95

616000

89874113

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

370000

89876792

Cash Out Refinance

LIBOR

3.025

7/1/2005

9.95

405000

89876904

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

450000

89878206

Purchase

LIBOR

3.025

7/1/2005

9.95

68000

89888434

Cash Out Refinance

COFI 1mo

3.75

7/1/2005

9.95

1253000

89889459

Cash Out Refinance

COFI 1mo

3.425

7/1/2005

9.95

320000

89892577

Purchase

LIBOR

3.375

7/1/2005

9.95

125000

89985825

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

370000

89987585

Cash Out Refinance

LIBOR

2.875

7/1/2005

9.95

280000

89990433

Purchase

LIBOR

2.725

7/1/2005

9.95

210000

9000007488

Purchase

LIBOR

2.65

7/1/2005

9.95

458000

9000007490

Purchase

LIBOR

2.5

7/1/2005

9.95

650000

9000007491

Purchase

LIBOR

2.65

7/1/2005

9.95

700000

9000007574

Cash Out Refinance

LIBOR

3.05

7/1/2005

9.95

450000

9000007732

Cash Out Refinance

LIBOR

3.05

7/1/2005

9.95

625000

9000007775

Cash Out Refinance

LIBOR

3.05

7/1/2005

9.95

467000

9000007845

Purchase

LIBOR

2.9

7/1/2005

9.95

740000

90002673

Cash Out Refinance

LIBOR

3.725

7/1/2005

9.95

560000

90002721

Purchase

LIBOR

3.1

7/1/2005

9.95

380000

90013197

Purchase

LIBOR

1.4

7/1/2005

9.95

425000

90013277

Purchase

LIBOR

3.125

7/1/2005

9.95

235000

90014243

Purchase

LIBOR

2.225

7/1/2005

9.95

766000

90020904

Purchase

LIBOR 1mo

3.2

9/1/2005

9.95

610000

90022800

Purchase

LIBOR

3.1

7/1/2005

9.95

210000

90034724

Purchase

LIBOR

2.3

7/1/2005

9.95

225000

90035831

Rate/Term Refinance

LIBOR

3.05

7/1/2005

9.95

229900

90040526

Purchase

COFI 1mo

4.5

7/1/2005

9.95

215000

90040534

Purchase

COFI 1mo

4.5

7/1/2005

9.95

203000

90043022

Rate/Term Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

599000

90051173

Rate/Term Refinance

COFI 1mo

5

7/1/2005

9.95

320000

90051909

Purchase

LIBOR

3.1

7/1/2005

9.95

444000

90052701

Cash Out Refinance

COFI 1mo

3.425

7/1/2005

9.95

420000

90055149

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

255000

90066743

Purchase

LIBOR

2.6

7/1/2005

9.95

599000

90090489

Purchase

LIBOR

2.35

7/1/2005

9.95

399000

90100334

Purchase

LIBOR

2.35

7/1/2005

9.95

349000

90100939

Purchase

LIBOR

3.4

7/1/2005

9.95

384000

90129926

Rate/Term Refinance

COFI 1mo

3.35

7/1/2005

9.95

315000

90133723

Cash Out Refinance

COFI 1mo

4.25

7/1/2005

9.95

145000

90146269

Purchase

COFI 1mo

4.925

7/1/2005

9.95

165000

90147076

Purchase

LIBOR

2.75

7/1/2005

9.95

456000

90177661

Cash Out Refinance

LIBOR

1.4

7/1/2005

9.95

605000

90180466

Purchase

COFI 1mo

3.575

7/1/2005

9.95

145000

90188651

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

1100000

90189195

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

390000

90194072

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

450000

90198924

Cash Out Refinance

LIBOR

2.225

7/1/2005

9.95

215000

90206421

Rate/Term Refinance

LIBOR

2.35

7/1/2005

9.95

445000

90206669

Purchase

LIBOR

3.475

7/1/2005

9.95

185000

90218495

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

135000

90218631

Purchase

LIBOR

2.95

7/1/2005

9.95

320000

90218935

Cash Out Refinance

LIBOR

2.95

7/1/2005

9.95

415000

90256038

Purchase

LIBOR

2.95

7/1/2005

9.95

1150000

90258331

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

350000

90259262

Rate/Term Refinance

LIBOR

2.425

7/1/2005

9.95

214000

90275858

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

1150000

90296374

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

159000

90302930

Rate/Term Refinance

LIBOR

3.275

7/1/2005

9.95

159000

90315460

Purchase

LIBOR

3.475

7/1/2005

9.95

128000

90317272

Cash Out Refinance

LIBOR

2.575

7/1/2005

9.95

650000

90318423

Purchase

LIBOR

3.475

7/1/2005

9.95

130000

90319969

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

83000

90320219

Purchase

LIBOR

3.25

7/1/2005

9.95

649000

90320743

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

244000

90321597

Cash Out Refinance

LIBOR

3.4

7/1/2005

9.95

248000

90338451

Cash Out Refinance

COFI 1mo

3.6

7/1/2005

9.95

196000

90342347

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

740000

90343987

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

350000

90362706

Purchase

LIBOR

3.475

7/1/2005

9.95

195000

90385807

Rate/Term Refinance

LIBOR

2.95

7/1/2005

9.95

1400000

90394542

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

540000

90394750

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

735000

90395200

Purchase

LIBOR

2.2

7/1/2005

9.95

825000

90396094

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

809000

90396174

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

750000

90406647

Cash Out Refinance

LIBOR

2.225

7/1/2005

9.95

480000

90414695

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

2900000

90414951

Cash Out Refinance

COFI 1mo

4.675

7/1/2005

9.95

400000

90415575

Rate/Term Refinance

COFI 1mo

4.525

7/1/2005

9.95

155000

90424464

Purchase

COFI 1mo

4

7/1/2005

9.95

185000

90426001

Rate/Term Refinance

COFI 1mo

3.3

8/1/2005

9.95

356000

90428898

Purchase

LIBOR

3.775

7/1/2005

9.95

280000

90428922

Purchase

LIBOR

3.775

7/1/2005

9.95

236000

90429912

Cash Out Refinance

LIBOR

2.9

7/1/2005

9.95

180000

90450515

Purchase

LIBOR

2.825

7/1/2005

9.95

176500

90454202

Purchase

COFI 1mo

4.1

9/1/2005

9.95

640000

90457089

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

288000

90493255

Purchase

LIBOR

3.725

7/1/2005

9.95

248000

90494117

Cash Out Refinance

LIBOR

3.4

7/1/2005

9.95

1785000

90494601

Purchase

LIBOR

2.15

7/1/2005

9.95

160000

90494649

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

95000

90508398

Rate/Term Refinance

COFI 1mo

4.25

7/1/2005

9.95

415000

90511974

Purchase

COFI 1mo

3.5

7/1/2005

9.95

330000

90512582

Rate/Term Refinance

LIBOR

2.2

7/1/2005

9.95

1300000

90519135

Cash Out Refinance

COFI 1mo

3.725

7/1/2005

9.95

370000

90523568

Cash Out Refinance

COFI 1mo

3.725

7/1/2005

9.95

336000

90526341

Purchase

LIBOR

2.65

7/1/2005

9.95

149500

90548809

Purchase

LIBOR

2.8

7/1/2005

9.95

385000

90550600

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

130000

90551180

Purchase

LIBOR

3.775

7/1/2005

9.95

310000

90557652

Purchase

LIBOR

3.025

7/1/2005

9.95

600000

90602531

Cash Out Refinance

LIBOR

3.4

7/1/2005

9.95

270000

90613244

Rate/Term Refinance

COFI 1mo

3.575

7/1/2005

9.95

480000

90615868

Purchase

LIBOR

2.35

7/1/2005

9.95

681000

90617845

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

690000

90619765

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

205000

90628074

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

180000

90629729

Purchase

LIBOR

2.6

7/1/2005

9.95

200000

90653319

Rate/Term Refinance

LIBOR

2.275

7/1/2005

9.95

345000

90653351

Purchase

LIBOR

2.05

7/1/2005

9.95

1600000

90681124

Purchase

LIBOR

2.65

7/1/2005

9.95

142000

90682988

Purchase

LIBOR

3.1

7/1/2005

9.95

1300000

90683260

Purchase

LIBOR

3.1

7/1/2005

9.95

265500

90704383

Rate/Term Refinance

LIBOR

2.9

7/1/2005

9.95

615000

90718655

Purchase

LIBOR

3.4

7/1/2005

9.95

420000

90721973

Rate/Term Refinance

COFI 1mo

3.875

7/1/2005

9.95

189000

90724493

Purchase

COFI 1mo

3.575

7/1/2005

9.95

262500

90729638

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

282000

90736135

Cash Out Refinance

LIBOR

2.1

7/1/2005

9.95

183000

90737783

Purchase

COFI 1mo

3.8

7/1/2005

9.95

138000

90737959

Purchase

COFI 1mo

3.8

7/1/2005

9.95

138000

90741509

Purchase

COFI 1mo

4.1

7/1/2005

9.95

535000

90752776

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

949000

90759143

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

445000

90768663

Purchase

LIBOR

2.3

7/1/2005

9.95

269000

90769114

Purchase

LIBOR

3.025

7/1/2005

10.325

200000

90769943

Cash Out Refinance

LIBOR

2.15

7/1/2005

9.95

345000

90769992

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

463000

90770672

Purchase

LIBOR

2.725

7/1/2005

9.95

231000

90771448

Purchase

LIBOR 1mo

2.225

7/1/2005

9.95

315000

90772105

Rate/Term Refinance

LIBOR

2.9

7/1/2005

9.95

150000

90823861

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

500000

90827098

Purchase

COFI 1mo

3.65

7/1/2005

9.95

40000

90829770

Purchase

COFI 1mo

4.125

7/1/2005

9.95

390000

90833370

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

243000

90838915

Purchase

LIBOR

2.875

7/1/2005

9.95

770000

90841379

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

277000

90841771

Purchase

COFI 1mo

3.5

7/1/2005

9.95

375000

90843380

Purchase

LIBOR

3.325

7/1/2005

9.95

192000

90854225

Purchase

LIBOR

3.1

7/1/2005

9.95

457000

90854523

Purchase

LIBOR

2.35

7/1/2005

9.95

1900000

90864346

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

379000

90865828

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

829900

90886176

Purchase

COFI 1mo

3.75

7/1/2005

9.95

550000

90886724

Rate/Term Refinance

LIBOR

3.35

7/1/2005

9.95

145000

90886861

Cash Out Refinance

LIBOR

3.6

7/1/2005

9.95

289500

90890459

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

525000

90915439

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

175000

90916417

Rate/Term Refinance

LIBOR

2.15

7/1/2005

9.95

240000

90916820

Purchase

LIBOR

2.95

7/1/2005

9.95

340000

90928380

Cash Out Refinance

LIBOR

2.225

7/1/2005

9.95

330000

90930500

Purchase

LIBOR

2.725

7/1/2005

9.95

560000

90933149

Cash Out Refinance

COFI 1mo

4.1

7/1/2005

9.95

260000

90933725

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

700000

90937093

Rate/Term Refinance

COFI 1mo

4.25

7/1/2005

9.95

185000

90937757

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

380000

90938197

Cash Out Refinance

COFI 1mo

4.225

7/1/2005

9.95

345000

90939773

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

148000

90948881

Purchase

LIBOR

2.65

7/1/2005

9.95

150000

90953105

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

480000

90958673

Rate/Term Refinance

LIBOR

3.025

7/1/2005

9.95

149500

90963237

Rate/Term Refinance

LIBOR

3.4

7/1/2005

9.95

348000

90969360

Purchase

COFI 1mo

3.35

9/1/2005

9.95

481000

90971991

Purchase

LIBOR

2.35

7/1/2005

9.95

1560000

90977395

Purchase

COFI 1mo

3.425

7/1/2005

9.95

450000

90977707

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

375000

90982699

Purchase

COFI 1mo

3.575

7/1/2005

9.95

235000

90982987

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

202000

90997371

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

1150000

90997379

Cash Out Refinance

LIBOR

3.625

7/1/2005

9.95

1200000

90997395

Purchase

LIBOR

3.575

7/1/2005

9.95

304000

91001751

Purchase

LIBOR

3.2

7/1/2005

9.95

145500

91014043

Purchase

LIBOR

3.1

7/1/2005

9.95

250000

91014195

Purchase

LIBOR

3.175

7/1/2005

9.95

240000

91014579

Purchase

LIBOR

2.725

7/1/2005

9.95

426000

91015179

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

3500000

91015235

Purchase

LIBOR

3.1

7/1/2005

9.95

137000

91015885

Cash Out Refinance

LIBOR

3.625

7/1/2005

9.95

153000

91016762

Purchase

LIBOR

3.5

7/1/2005

9.95

340000

91018740

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

630000

91028564

Purchase

LIBOR

3.4

7/1/2005

9.95

550000

91028612

Purchase

LIBOR

3.1

7/1/2005

9.95

385000

91073248

Purchase

LIBOR

3.475

7/1/2005

9.95

204000

91082323

Rate/Term Refinance

LIBOR

2.65

7/1/2005

9.95

145000

91086223

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

539000

91098519

Purchase

LIBOR 1mo

2.5

7/1/2005

9.95

825000

91104680

Purchase

LIBOR

3.4

7/1/2005

9.95

510000

91104728

Purchase

LIBOR

2.725

7/1/2005

9.95

480000

91113528

Purchase

LIBOR

3.35

7/1/2005

9.95

1325000

91126331

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

1600000

91129637

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

820000

91130080

Cash Out Refinance

LIBOR

3.25

7/1/2005

9.95

360000

91131812

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

700000

91137417

Purchase

LIBOR

2.95

7/1/2005

9.95

460000

91137425

Rate/Term Refinance

LIBOR

2.95

7/1/2005

9.95

480000

91144821

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

1175000

91148181

Purchase

LIBOR

3.275

7/1/2005

9.95

98000

91153566

Purchase

LIBOR 1mo

3.225

9/1/2005

9.95

395500

91154070

Purchase

COFI 1mo

3.5

7/1/2005

9.95

1297000

91157863

Rate/Term Refinance

LIBOR

2.35

7/1/2005

9.95

645000

91166536

Rate/Term Refinance

COFI 1mo

4.05

7/1/2005

9.95

84500

91175553

Purchase

COFI 1mo

3.8

7/1/2005

9.95

335000

91177713

Rate/Term Refinance

LIBOR

2.975

7/1/2005

9.95

375000

91181034

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

320000

91192148

Purchase

LIBOR

3.1

7/1/2005

9.95

620000

91192293

Cash Out Refinance

LIBOR

2.5

7/1/2005

9.95

445000

91200051

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

440000

91203189

Cash Out Refinance

LIBOR

3.2

7/1/2005

9.95

460000

91203608

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

240000

91217059

Cash Out Refinance

LIBOR

2.45

7/1/2005

9.95

705000

91229569

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

425000

91230405

Purchase

LIBOR

2.35

7/1/2005

9.95

152500

91244378

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

1100000

91244978

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

283000

91250859

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

261300

91256476

Purchase

LIBOR

3.175

7/1/2005

9.95

284000

91261012

Purchase

LIBOR 1mo

3.175

7/1/2005

9.95

260000

91262124

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

365000

91263068

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

640000

91274286

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

380000

91276966

Purchase

LIBOR 1mo

3.425

7/1/2005

9.95

358000

91281175

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

209000

91292584

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

172000

91292720

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

10.625

460000

91295064

Rate/Term Refinance

COFI 1mo

3.875

7/1/2005

9.95

215000

91298257

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

250000

91303890

Purchase

LIBOR

2.6

7/1/2005

9.95

710000

91311811

Purchase

LIBOR

2.975

7/1/2005

9.95

322000

91314099

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

550000

91318907

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

238000

91321604

Purchase

COFI 1mo

3.65

7/1/2005

9.95

230000

91322644

Purchase

COFI 1mo

3.5

7/1/2005

10.95

350000

91328501

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

546000

91330941

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

10.95

337000

91345311

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

395000

91365937

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

195000

91369298

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

340000

91371658

Purchase

COFI 1mo

3.35

7/1/2005

9.95

445000

91372154

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

276000

91373898

Rate/Term Refinance

COFI 1mo

4

7/1/2005

9.95

330000

91382307

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

308000

91388500

Rate/Term Refinance

COFI 1mo

3.25

7/1/2005

9.95

1500000

91394781

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

500000

91395933

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

151000

91397853

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

620000

91402022

Purchase

COFI 1mo

3.65

7/1/2005

9.95

205000

91404726

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

245000

91409151

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

345500

91412247

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

315000

91414599

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

410000

91415448

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

308000

91422280

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

260000

91424721

Cash Out Refinance

COFI 1mo

4.4

7/1/2005

9.95

321000

91425265

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

420000

91425273

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

106500

91439621

Rate/Term Refinance

COFI 1mo

4.025

7/1/2005

9.95

720000

91440573

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

106000

91441021

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

410000

91441029

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

400000

91443806

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

700000

91445798

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

10.125

330000

91450270

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

416000

91452695

Purchase

COFI 1mo

3.95

7/1/2005

9.95

456000

91458071

Cash Out Refinance

COFI 1mo

4.025

7/1/2005

9.95

357000

91458471

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

470000

91460896

Cash Out Refinance

COFI 1mo

4.675

7/1/2005

9.95

420000

91465152

Cash Out Refinance

LIBOR 1mo

3.35

7/1/2005

9.95

335000

91470449

Purchase

LIBOR 1mo

3.075

7/1/2005

9.95

445000

91470777

Purchase

COFI 1mo

3.45

7/1/2005

9.95

220000

91477186

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

335000

91477402

Purchase

COFI 1mo

3.5

7/1/2005

9.95

380000

91480674

Rate/Term Refinance

COFI 1mo

3.375

7/1/2005

9.95

380000

91481506

Purchase

COFI 1mo

3.65

7/1/2005

9.95

338000

91485427

Purchase

COFI 1mo

3.55

7/1/2005

9.95

630000

91486723

Cash Out Refinance

LIBOR 1mo

3.225

7/1/2005

9.95

91000

91487091

Purchase

LIBOR 1mo

3.725

7/1/2005

9.95

165000

91487899

Cash Out Refinance

LIBOR 1mo

3.35

7/1/2005

9.95

350000

91488075

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

325000

91488219

Purchase

COFI 1mo

4.025

7/1/2005

9.95

95000

91492692

Purchase

COFI 1mo

3.65

7/1/2005

9.95

215000

91498700

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

1100000

91503765

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

717000

91513102

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

10.75

580000

91514814

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

550000

91515983

Rate/Term Refinance

COFI 1mo

3.6

8/1/2005

9.95

330000

91516567

Rate/Term Refinance

LIBOR 1mo

2.3

7/1/2005

9.95

248000

91516743

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

247000

91520095

Purchase

COFI 1mo

3.5

7/1/2005

9.95

195000

91520551

Purchase

COFI 1mo

5.225

7/1/2005

9.95

367000

91524848

Cash Out Refinance

COFI 1mo

3.85

7/1/2005

9.95

450000

91526008

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

325000

91529160

Rate/Term Refinance

COFI 1mo

3.75

7/1/2005

9.95

330500

91540674

Rate/Term Refinance

LIBOR 1mo

3.5

8/1/2005

9.95

135000

91548683

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

470000

91553339

Rate/Term Refinance

COFI 1mo

2.87

7/1/2005

9.95

344500

91553507

Purchase

COFI 1mo

4.05

7/1/2005

9.95

279000

91558172

Purchase

COFI 1mo

3.55

7/1/2005

9.95

677000

91561740

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

1100000

91567205

Rate/Term Refinance

COFI 1mo

4

7/1/2005

9.95

300000

91567421

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

210000

91567973

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

545000

91572150

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

420000

91572334

Rate/Term Refinance

LIBOR 1mo

3.725

7/1/2005

9.95

145000

91573502

Rate/Term Refinance

COFI 1mo

3.725

7/1/2005

9.95

450000

91574054

Purchase

COFI 1mo

3.55

7/1/2005

9.95

435000

91574910

Purchase

COFI 1mo

4.275

8/1/2005

9.95

293000

91575046

Cash Out Refinance

LIBOR 1mo

3.25

7/1/2005

9.95

220000

91577718

Rate/Term Refinance

COFI 1mo

3.6

8/1/2005

9.95

305000

91580463

Purchase

COFI 1mo

3.35

7/1/2005

9.95

215000

91583415

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

10.75

440000

91594984

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

420000

91595040

Cash Out Refinance

COFI 1mo

3

7/1/2005

9.95

745000

91595697

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

222000

91596201

Purchase

COFI 1mo

3.8

7/1/2005

9.95

236000

91597961

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

287500

91598737

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

605000

91601393

Purchase

COFI 1mo

4.25

7/1/2005

9.95

375000

91602161

Purchase

LIBOR 1mo

3.5

8/1/2005

9.95

169000

91602889

Purchase

COFI 1mo

3.65

7/1/2005

9.95

345000

91607386

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

317000

91607434

Purchase

LIBOR

2.725

7/1/2005

9.95

525000

91608346

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

355000

91609090

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

172000

91609226

Purchase

LIBOR 1mo

4.025

7/1/2005

9.95

196000

91610154

Cash Out Refinance

LIBOR 1mo

2.3

7/1/2005

9.95

548000

91615371

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

500000

91615707

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

640000

91615915

Rate/Term Refinance

LIBOR 1mo

3.525

7/1/2005

9.95

200000

91621956

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

455000

91622540

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

11.125

430000

91622716

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

310000

91626644

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

513000

91629661

Cash Out Refinance

COFI 1mo

4.2

7/1/2005

9.95

380000

91636182

Purchase

LIBOR 1mo

2.625

7/1/2005

9.95

800000

91644207

Rate/Term Refinance

COFI 1mo

3.575

7/1/2005

9.95

270000

91650911

Purchase

COFI 1mo

4.78

7/1/2005

9.95

273500

91657072

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

275000

91661849

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

1190000

91663361

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

390000

91664273

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

295000

91666601

Rate/Term Refinance

COFI 1mo

3.8

8/1/2005

9.95

355000

91667026

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

248000

91668186

Cash Out Refinance

COFI 1mo

3.35

7/1/2005

9.95

330000

91673746

Purchase

COFI 1mo

4.825

7/1/2005

9.95

336000

91675219

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

470000

91679779

Rate/Term Refinance

COFI 1mo

2.725

8/1/2005

9.95

591000

91682211

Purchase

COFI 1mo

3.5

7/1/2005

9.95

190600

91682523

Cash Out Refinance

LIBOR 1mo

3.075

7/1/2005

10.95

116000

91686924

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

275000

91687700

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

2250000

91689300

Rate/Term Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

570000

91691229

Purchase

COFI 1mo

3

7/1/2005

9.95

400000

91694357

Purchase

COFI 1mo

3.65

7/1/2005

9.95

360000

91694701

Purchase

COFI 1mo

3.5

7/1/2005

9.95

420000

91697533

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

10.95

330000

91698821

Purchase

COFI 1mo

4.05

7/1/2005

9.95

160000

91699902

Cash Out Refinance

COFI 1mo

3.375

7/1/2005

9.95

840000

91704278

Purchase

COFI 1mo

3.475

7/1/2005

9.95

537000

91705470

Cash Out Refinance

COFI 1mo

3.6

7/1/2005

9.95

415000

91708927

Purchase

COFI 1mo

3.475

7/1/2005

9.95

326000

91709415

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

121000

91709631

Cash Out Refinance

COFI 1mo

3.6

8/1/2005

9.95

190000

91713079

Purchase

COFI 1mo

4.05

7/1/2005

9.95

423000

91718832

Purchase

COFI 1mo

3.65

7/1/2005

9.95

275000

91719904

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

10.75

350000

91731274

Purchase

COFI 1mo

3.65

7/1/2005

9.95

217000

91734034

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

320000

91738218

Purchase

COFI 1mo

4

7/1/2005

9.95

250000

91743123

Purchase

COFI 1mo

3.65

7/1/2005

9.95

263000

91746187

Purchase

COFI 1mo

3.5

8/1/2005

9.95

215000

91749060

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

349000

91750924

Rate/Term Refinance

LIBOR 1mo

2.975

7/1/2005

9.95

235000

91754604

Purchase

COFI 1mo

3.5

7/1/2005

9.95

320000

91758965

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

395000

91763150

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

188000

91766190

Purchase

COFI 1mo

4.15

7/1/2005

9.95

320000

91773183

Purchase

COFI 1mo

4.15

7/1/2005

9.95

440000

91774927

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

395000

91777903

Purchase

LIBOR 1mo

4.075

7/1/2005

9.95

373000

91784848

Rate/Term Refinance

COFI 1mo

3.725

7/1/2005

9.95

525000

91785688

Cash Out Refinance

COFI 1mo

3.9

7/1/2005

9.95

565000

91785880

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

635000

91787513

Purchase

LIBOR 1mo

2.9

7/1/2005

9.95

340000

91790681

Purchase

LIBOR 1mo

2.6

8/1/2005

9.95

545000

91792441

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

1500000

91793257

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

535000

91795642

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

369000

91798538

Purchase

COFI 1mo

4

7/1/2005

9.95

460000

91805027

Cash Out Refinance

COFI 1mo

3.5

8/1/2005

9.95

453000

91811516

Purchase

COFI 1mo

4

7/1/2005

9.95

379000

91817892

Rate/Term Refinance

COFI

3.575

7/1/2005

9.95

285000

91819621

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

400300

91820941

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

160000

91837351

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

346000

91840847

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

298000

91843552

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

260000

91843840

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

555000

91845480

Cash Out Refinance

COFI 1mo

3.375

7/1/2005

9.95

359000

91845640

Rate/Term Refinance

COFI 1mo

3.375

7/1/2005

9.95

382000

91853417

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

423000

91854761

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

288575

91856305

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

10.75

358000

91859458

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

395000

91859786

Purchase

COFI 1mo

3.725

7/1/2005

9.95

222000

91863690

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

10.75

480000

91872571

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

325000

91872755

Purchase

COFI 1mo

3.55

7/1/2005

9.95

218000

91877884

Cash Out Refinance

LIBOR 1mo

2.3

7/1/2005

9.95

560000

91879876

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

11.125

495000

91883453

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

1000000

91883901

Purchase

COFI 1mo

5

7/1/2005

9.95

268000

91884485

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

406000

91885893

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

357000

91887677

Purchase

LIBOR 1mo

4.4

8/1/2005

9.95

375000

91892142

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

265000

91892606

Purchase

COFI 1mo

3.4

7/1/2005

9.95

530000

91892726

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

482000

91892998

Rate/Term Refinance

LIBOR 1mo

2.925

8/1/2005

9.95

212000

91895702

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

735000

91899999

Purchase

LIBOR 1mo

2.75

8/1/2005

9.95

690000

91901783

Purchase

COFI 1mo

4.05

7/1/2005

9.95

225000

91904223

Cash Out Refinance

LIBOR 1mo

2.675

7/1/2005

9.95

270000

91907512

Rate/Term Refinance

COFI 1mo

3.7

7/1/2005

9.95

295000

91907528

Purchase

COFI 1mo

4

7/1/2005

9.95

440000

91908376

Cash Out Refinance

COFI 1mo

3.725

7/1/2005

9.95

230000

91919321

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

325000

91921001

Purchase

COFI 1mo

3.875

7/1/2005

9.95

193000

91921761

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

197000

91921921

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

1500000

91922241

Purchase

COFI 1mo

3.425

7/1/2005

9.95

385000

91922313

Rate/Term Refinance

COFI 1mo

3.85

7/1/2005

9.95

478000

91926226

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

475000

91927026

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

280000

91928786

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

485000

91938444

Cash Out Refinance

LIBOR 1mo

3.65

7/1/2005

9.95

143000

91941804

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

323000

91947013

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

345000

91951165

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

450000

91952037

Purchase

COFI 1mo

3.65

7/1/2005

9.95

920000

91955486

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

330000

91956838

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

510000

91957734

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

275000

91961366

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

250000

91962687

Purchase

COFI 1mo

3.55

7/1/2005

9.95

285000

91965215

Cash Out Refinance

LIBOR 1mo

3.55

7/1/2005

9.95

430000

91968295

Cash Out Refinance

COFI 1mo

3.675

8/1/2005

9.95

600000

91969807

Purchase

COFI 1mo

4.775

7/1/2005

9.95

410000

91970616

Purchase

LIBOR 1mo

3.875

7/1/2005

9.95

300000

91971952

Cash Out Refinance

LIBOR 1mo

2.35

7/1/2005

9.95

330000

91972208

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

150000

91972232

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

275000

91972752

Purchase

COFI 1mo

3.55

7/1/2005

9.95

992000

91974368

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

445000

91977968

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

641000

91978008

Purchase

COFI 1mo

3.5

7/1/2005

9.95

520000

91980073

Cash Out Refinance

LIBOR 1mo

3.2

7/1/2005

9.95

300000

91981313

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

415000

91989010

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

355000

91991362

Purchase

COFI 1mo

4.475

7/1/2005

9.95

162000

91992034

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

530000

91992098

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

160000

91993210

Purchase

COFI 1mo

3.4

7/1/2005

9.95

315000

91993978

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

330000

92001147

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

245000

92001435

Purchase

COFI 1mo

3.6

8/1/2005

9.95

176000

92002740

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

432000

92002748

Purchase

COFI 1mo

4.15

7/1/2005

9.95

200000

92003484

Purchase

LIBOR 1mo

2.15

7/1/2005

9.95

1500000

92005284

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

456000

92008820

Purchase

COFI 1mo

4.925

8/1/2005

9.95

365000

92012677

Purchase

COFI 1mo

3.75

7/1/2005

9.95

599950

92013005

Rate/Term Refinance

COFI 1mo

3.375

7/1/2005

9.95

500500

92013685

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

315000

92015989

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

750000

92016045

Rate/Term Refinance

COFI 1mo

4.025

7/1/2005

9.95

320000

92021182

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

205000

92021278

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

220000

92021766

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

682000

92024646

Purchase

COFI 1mo

3.625

7/1/2005

9.95

580000

92027159

Purchase

COFI 1mo

5.025

7/1/2005

9.95

240000

92029111

Purchase

COFI 1mo

3.8

7/1/2005

9.95

187000

92029319

Purchase

COFI 1mo

3.65

7/1/2005

9.95

367000

92031207

Cash Out Refinance

COFI 1mo

3.9

8/1/2005

9.95

310000

92031311

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

11.95

450000

92033047

Purchase

COFI 1mo

3.7

7/1/2005

9.95

280000

92036032

Purchase

COFI 1mo

3.8

7/1/2005

9.95

415000

92036272

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

640000

92041088

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

800000

92041496

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

285000

92043185

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

306000

92043529

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

155000

92043937

Cash Out Refinance

COFI 1mo

3.5

8/1/2005

9.95

238000

92044097

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

155000

92044425

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

244000

92049313

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

315000

92050298

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

392000

92050666

Rate/Term Refinance

COFI 1mo

3.925

7/1/2005

9.95

304000

92054570

Purchase

COFI 1mo

4.15

7/1/2005

9.95

202000

92054618

Cash Out Refinance

LIBOR 1mo

2.9

8/1/2005

9.95

215000

92056834

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

300000

92058419

Cash Out Refinance

COFI 1mo

3.4

7/1/2005

9.95

460000

92060747

Cash Out Refinance

COFI 1mo

4.1

8/1/2005

9.95

427000

92062331

Rate/Term Refinance

LIBOR

3.175

7/1/2005

9.95

150000

92062563

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

280000

92062579

Purchase

COFI 1mo

3.5

7/1/2005

9.95

880000

92063699

Rate/Term Refinance

COFI 1mo

3.9

8/1/2005

10.425

300000

92067772

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

750000

92072732

Rate/Term Refinance

COFI 1mo

3.575

7/1/2005

9.95

260000

92073788

Purchase

COFI 1mo

3.5

7/1/2005

9.95

151000

92074549

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

10.95

382000

92076077

Purchase

COFI 1mo

4.975

7/1/2005

9.95

340000

92076229

Rate/Term Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

350000

92076461

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

295000

92076733

Purchase

COFI 1mo

3.875

7/1/2005

9.95

315000

92076781

Purchase

LIBOR 1mo

3.725

7/1/2005

9.95

214000

92082422

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

180000

92082494

Purchase

COFI 1mo

4.1

8/1/2005

9.95

132000

92082542

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

660000

92084238

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

408000

92085198

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

535000

92085862

Purchase

LIBOR 1mo

3.175

7/1/2005

9.95

333000

92091815

Purchase

LIBOR 1mo

2.9

7/1/2005

9.95

205000

92092807

Purchase

COFI 1mo

3.7

7/1/2005

9.95

460000

92097519

Purchase

COFI 1mo

3.55

7/1/2005

9.95

477000

92097551

Cash Out Refinance

LIBOR 1mo

2.3

7/1/2005

9.95

1300000

92098111

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

149500

92100016

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

155000

92100384

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

822000

92100936

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

350000

92102176

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

175000

92102624

Purchase

COFI 1mo

3.75

9/1/2005

9.95

340000

92103160

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

495000

92105328

Purchase

COFI 1mo

3.65

7/1/2005

9.95

210000

92105600

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

9.95

352500

92105624

Purchase

COFI 1mo

3.55

7/1/2005

9.95

222000

92108985

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

376000

92119098

Purchase

COFI 1mo

3.5

7/1/2005

10.95

838000

92119842

Cash Out Refinance

LIBOR 1mo

2.675

7/1/2005

9.95

590000

92120250

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

560000

92120482

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

190000

92120882

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

425000

92123667

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

500000

92125339

Purchase

COFI 1mo

3

7/1/2005

9.95

335000

92126971

Purchase

COFI 1mo

3.5

7/1/2005

9.95

610000

92129115

Purchase

COFI 1mo

4.15

7/1/2005

9.95

510000

92129707

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

236000

92130468

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

186000

92130580

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

375000

92134644

Rate/Term Refinance

LIBOR 1mo

2.15

7/1/2005

9.95

270000

92136700

Purchase

COFI 1mo

4.15

7/1/2005

9.95

390000

92139893

Rate/Term Refinance

LIBOR 1mo

2.25

7/1/2005

9.95

165000

92140653

Cash Out Refinance

LIBOR 1mo

3.55

7/1/2005

9.95

359000

92140693

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

540000

92141077

Purchase

COFI 1mo

3.55

7/1/2005

9.95

757000

92141293

Cash Out Refinance

LIBOR 1mo

3.65

7/1/2005

9.95

220000

92144693

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

755000

92146334

Purchase

COFI 1mo

3.6

8/1/2005

9.95

163000

92146630

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

410000

92146870

Purchase

LIBOR 1mo

2.975

7/1/2005

9.95

240000

92148142

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

195000

92152654

Purchase

LIBOR 1mo

2.45

7/1/2005

9.95

600000

92153054

Purchase

COFI 1mo

3.65

7/1/2005

9.95

399000

92157407

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

181000

92162424

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

189000

92164376

Purchase

COFI 1mo

3.65

7/1/2005

9.95

745000

92164552

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

370000

92165160

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

250000

92167168

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

283000

92168496

Purchase

COFI 1mo

3.5

8/1/2005

9.95

338000

92168648

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

172000

92173521

Cash Out Refinance

COFI 1mo

3.4

7/1/2005

9.95

345000

92174033

Purchase

COFI 1mo

3.85

7/1/2005

9.95

435000

92177089

Rate/Term Refinance

LIBOR 1mo

2.9

8/1/2005

9.95

132000

92177609

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

392000

92178114

Purchase

COFI 1mo

4.15

7/1/2005

9.95

850000

92184618

Rate/Term Refinance

LIBOR 1mo

3.425

7/1/2005

9.95

351000

92185314

Purchase

COFI 1mo

3.725

7/1/2005

9.95

297000

92186347

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

504000

92187467

Purchase

COFI 1mo

3.55

7/1/2005

9.95

1210000

92191595

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

395000

92195124

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

175000

92195140

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

800000

92197804

Purchase

COFI 1mo

3.5

7/1/2005

9.95

370000

92197988

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

275000

92200212

Cash Out Refinance

COFI 1mo

4.325

7/1/2005

9.95

260000

92200492

Purchase

COFI 1mo

3.55

7/1/2005

9.95

273000

92202613

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

330000

92202709

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

250000

92204709

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

475000

92205349

Rate/Term Refinance

COFI 1mo

3.7

7/1/2005

9.95

198000

92205477

Rate/Term Refinance

COFI 1mo

3.7

7/1/2005

9.95

250000

92205517

Purchase

COFI 1mo

4.05

7/1/2005

9.95

636000

92205597

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

350000

92207381

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

315000

92210198

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

440000

92218439

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

490000

92219567

Cash Out Refinance

COFI 1mo

3.25

7/1/2005

9.95

232000

92220287

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

1160000

92222823

Cash Out Refinance

COFI 1mo

3.75

8/1/2005

9.95

222500

92225111

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

260000

92226736

Cash Out Refinance

LIBOR 1mo

2.65

7/1/2005

9.95

340000

92231816

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

650000

92232528

Purchase

COFI 1mo

3.5

7/1/2005

9.95

275000

92234505

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

193000

92236081

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

186000

92237457

Rate/Term Refinance

COFI 1mo

4

7/1/2005

9.95

132000

92244930

Purchase

LIBOR 1mo

2.975

7/1/2005

9.95

160000

92245538

Cash Out Refinance

LIBOR 1mo

4.15

7/1/2005

9.95

160000

92247890

Rate/Term Refinance

LIBOR 1mo

2.65

7/1/2005

9.95

750000

92251171

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

645000

92253795

Cash Out Refinance

COFI 1mo

3.975

9/1/2005

9.95

275000

92255019

Purchase

LIBOR 1mo

4.225

7/1/2005

9.95

365000

92262140

Purchase

COFI 1mo

3.2

8/1/2005

9.95

270000

92266421

Purchase

COFI 1mo

3.5

7/1/2005

9.95

345000

92266493

Rate/Term Refinance

LIBOR 1mo

2.375

7/1/2005

10.9

460000

92267349

Purchase

COFI 1mo

4.925

8/1/2005

9.95

235000

92268413

Purchase

LIBOR 1mo

2.15

7/1/2005

9.95

476000

92269165

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

160000

92270085

Cash Out Refinance

COFI 1mo

4

8/1/2005

9.95

350000

92273037

Purchase

COFI 1mo

3.5

7/1/2005

9.95

187000

92274118

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

2100000

92274430

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

165000

92274590

Purchase

LIBOR 1mo

2.975

7/1/2005

9.95

352000

92289375

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

210000

92293200

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

305000

92295032

Cash Out Refinance

LIBOR 1mo

2.65

7/1/2005

9.95

480000

92296432

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

249000

92297008

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

340000

92298809

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

435000

92301777

Purchase

LIBOR 1mo

2.9

8/1/2005

9.95

690000

92304457

Purchase

COFI 1mo

3.7

7/1/2005

9.95

208500

92305754

Purchase

COFI 1mo

3.275

7/1/2005

9.95

180000

92305842

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

389000

92306058

Cash Out Refinance

COFI 1mo

3.375

7/1/2005

9.95

760000

92310866

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

247000

92310906

Cash Out Refinance

LIBOR 1mo

3.3

7/1/2005

9.95

320000

92313610

Purchase

LIBOR 1mo

2.15

7/1/2005

9.95

347000

92314971

Rate/Term Refinance

COFI 1mo

3.575

7/1/2005

9.95

132000

92315651

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

305000

92316627

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

610000

92316955

Cash Out Refinance

LIBOR 1mo

3.575

7/1/2005

9.95

188000

92317891

Purchase

COFI 1mo

4

7/1/2005

9.95

135000

92318307

Purchase

COFI 1mo

4.15

7/1/2005

9.95

232000

92318955

Cash Out Refinance

COFI 1mo

3.6

8/1/2005

9.95

565000

92323764

Purchase

COFI 1mo

3.55

7/1/2005

9.95

674000

92323884

Purchase

COFI 1mo

3.55

7/1/2005

9.95

1023000

92324476

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

280000

92328364

Purchase

COFI 1mo

3.75

7/1/2005

9.95

485000

92331989

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

523000

92332109

Purchase

COFI 1mo

2.5

7/1/2005

9.95

375000

92333133

Purchase

LIBOR 1mo

4.075

7/1/2005

9.95

69500

92338302

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

399000

92345054

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

190000

92345286

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

378000

92346623

Rate/Term Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

241500

92348423

Purchase

LIBOR 1mo

2.45

7/1/2005

9.95

390000

92349311

Purchase

COFI 1mo

3.25

7/1/2005

9.95

662000

92349407

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

540000

92351775

Cash Out Refinance

LIBOR 1mo

3.575

7/1/2005

9.95

346000

92354448

Purchase

LIBOR 1mo

4.4

7/1/2005

9.95

175000

92357072

Purchase

LIBOR 1mo

2.85

8/1/2005

9.95

387000

92357216

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

318000

92357736

Rate/Term Refinance

LIBOR 1mo

3

8/1/2005

9.95

141000

92358256

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

222000

92359024

Purchase

LIBOR 1mo

4.225

7/1/2005

9.95

352000

92368161

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

260000

92369874

Cash Out Refinance

COFI 1mo

4.675

7/1/2005

9.95

381000

92375298

Purchase

LIBOR 1mo

2.5

7/1/2005

9.95

341000

92375426

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

400000

92379803

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

300000

92381987

Purchase

LIBOR 1mo

2.825

7/1/2005

9.95

458000

92383579

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

420000

92383723

Purchase

COFI 1mo

3.55

7/1/2005

9.95

330000

92383923

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

214000

92384707

Purchase

COFI 1mo

3.65

7/1/2005

9.95

198000

92385027

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

4000000

92385131

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

590000

92385419

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

820000

92385900

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

318000

92387532

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

350000

92388660

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

135000

92389884

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

345000

92390164

Purchase

COFI 1mo

3.5

7/1/2005

9.95

325000

92397573

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

700000

92399053

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

266000

92399165

Cash Out Refinance

LIBOR 1mo

3.25

7/1/2005

9.95

650000

92399957

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

274000

92400445

Purchase

COFI 1mo

3.575

7/1/2005

9.95

245000

92403126

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

200000

92404270

Purchase

LIBOR 1mo

3.15

8/1/2005

9.95

305000

92405350

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

300000

92408094

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

9.95

340000

92413343

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

136000

92413543

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

715000

92413671

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

250000

92415399

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

200000

92415511

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

9.95

475000

92416391

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

865000

92418848

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

9.95

283000

92422416

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

240000

92423000

Rate/Term Refinance

LIBOR 1mo

4.125

9/1/2005

9.95

164500

92428233

Cash Out Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

680000

92430137

Purchase

COFI 1mo

3.5

7/1/2005

9.95

225000

92430257

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

680000

92432865

Purchase

COFI 1mo

3.925

7/1/2005

9.95

160000

92432897

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

200000

92434026

Purchase

COFI 1mo

3.6

8/1/2005

9.95

136000

92434194

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

1000000

92435298

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

208000

92436106

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

410000

92441939

Cash Out Refinance

COFI 1mo

3.8

8/1/2005

9.95

227000

92443499

Purchase

LIBOR 1mo

3.5

8/1/2005

9.95

144500

92443747

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

311000

92444491

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

499000

92445035

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

875000

92449516

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

465000

92449684

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

180000

92452876

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

390000

92456428

Cash Out Refinance

COFI 1mo

3.6

7/1/2005

9.95

552000

92459381

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

315000

92459525

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

600000

92459845

Purchase

COFI 1mo

4.1

8/1/2005

9.95

760500

92463693

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

710000

92463989

Cash Out Refinance

LIBOR 1mo

2.85

8/1/2005

9.95

280000

92467822

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

477000

92468526

Purchase

COFI 1mo

3.25

7/1/2005

9.95

800000

92470726

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

225000

92472494

Purchase

LIBOR 1mo

2.525

7/1/2005

9.95

1350000

92472718

Purchase

LIBOR 1mo

2.925

8/1/2005

9.95

200000

92473110

Purchase

COFI 1mo

3.4

7/1/2005

9.95

477200

92477223

Rate/Term Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

275000

92477367

Purchase

COFI 1mo

3.55

7/1/2005

9.95

630000

92477407

Purchase

LIBOR 1mo

4.525

7/1/2005

9.95

233000

92479679

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

156000

92481095

Purchase

COFI 1mo

3.6

9/1/2005

9.95

145000

92485112

Cash Out Refinance

COFI 1mo

3.75

7/1/2005

9.95

480000

92487304

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

470000

92491065

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

134900

92493633

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

410000

92494337

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

990000

92499074

Rate/Term Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

1000000

92500794

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

550000

92501234

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

305000

92503570

Purchase

COFI 1mo

4

7/1/2005

9.95

243000

92503858

Purchase

COFI 1mo

4

7/1/2005

11.325

1801000

92504050

Purchase

COFI 1mo

3.55

7/1/2005

9.95

181000

92507763

Cash Out Refinance

COFI 1mo

3.4

7/1/2005

9.95

610000

92512419

Purchase

LIBOR 1mo

2.525

7/1/2005

9.95

244000

92514292

Purchase

COFI 1mo

3.5

9/1/2005

9.95

218000

92516460

Purchase

COFI 1mo

4.775

7/1/2005

9.95

235000

92521028

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

563000

92525733

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

280000

92533686

Cash Out Refinance

COFI 1mo

3.6

8/1/2005

9.95

400000

92533846

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

900000

92537599

Cash Out Refinance

COFI 1mo

3.875

7/1/2005

9.95

199000

92539151

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

375000

92544087

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

73000

92545768

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

630000

92549488

Cash Out Refinance

COFI 1mo

3.6

7/1/2005

9.95

311000

92549720

Purchase

COFI 1mo

3.65

7/1/2005

9.95

355000

92551232

Purchase

COFI 1mo

3.62

7/1/2005

9.95

268000

92554081

Rate/Term Refinance

COFI 1mo

3.525

9/1/2005

9.95

210000

92556681

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

750000

92556913

Cash Out Refinance

COFI 1mo

4.1

7/1/2005

9.95

480000

92557001

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

185000

92557737

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

812000

92558321

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

224000

92563210

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

359000

92566018

Rate/Term Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

845000

92567042

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

285000

92569419

Rate/Term Refinance

COFI 1mo

3.7

7/1/2005

9.95

450000

92570139

Purchase

COFI 1mo

4.15

7/1/2005

9.95

226000

92570179

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

160000

92572979

Purchase

COFI 1mo

3.85

7/1/2005

9.95

200000

92573347

Purchase

COFI 1mo

3.7

7/1/2005

9.95

160000

92573531

Purchase

COFI 1mo

4.05

7/1/2005

9.95

428000

92584036

Rate/Term Refinance

LIBOR 1mo

2.9

8/1/2005

9.95

167000

92586189

Rate/Term Refinance

COFI 1mo

3.65

7/1/2005

9.95

140000

92588461

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

373000

92590157

Purchase

COFI 1mo

3.65

7/1/2005

9.95

220000

92595006

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

260000

92597070

Rate/Term Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

300000

92601223

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

650000

92601231

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

470000

92604143

Purchase

COFI 1mo

3.7

7/1/2005

9.95

569000

92604167

Rate/Term Refinance

COFI 1mo

4.15

7/1/2005

9.95

325000

92606023

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

148000

92606199

Purchase

LIBOR 1mo

3.275

8/1/2005

9.95

550000

92606735

Purchase

COFI 1mo

3.65

9/1/2005

9.95

355000

92611824

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

325000

92618409

Cash Out Refinance

COFI 1mo

3.6

8/1/2005

9.95

275000

92625057

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

325000

92625170

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

550000

92626706

Purchase

COFI 1mo

4

7/1/2005

9.95

318000

92627586

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

260000

92631138

Purchase

LIBOR 1mo

2.525

7/1/2005

9.95

230973

92631146

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

1400000

92641708

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

430000

92642028

Rate/Term Refinance

COFI 1mo

3.375

7/1/2005

9.95

695000

92643076

Purchase

COFI 1mo

3.75

7/1/2005

9.95

109000

92643508

Purchase

COFI 1mo

3.65

7/1/2005

9.95

621000

92656485

Cash Out Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

450000

92656597

Purchase

COFI 1mo

4.15

7/1/2005

9.95

625000

92658006

Rate/Term Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

285000

92662414

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

613000

92664102

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

415000

92664846

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

881000

92665046

Rate/Term Refinance

COFI 1mo

3.35

7/1/2005

9.95

380000

92668711

Cash Out Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

745000

92669295

Cash Out Refinance

COFI 1mo

3

7/1/2005

9.95

660000

92674280

Cash Out Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

325000

92675616

Purchase

COFI 1mo

3.85

7/1/2005

9.95

500000

92675688

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

520000

92677696

Cash Out Refinance

LIBOR 1mo

2.875

7/1/2005

9.95

535000

92685753

Purchase

COFI 1mo

3.55

7/1/2005

9.95

569000

92687081

Rate/Term Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

435000

92692834

Cash Out Refinance

COFI 1mo

3.95

9/1/2005

9.95

590000

92693130

Purchase

COFI 1mo

3.2

9/1/2005

9.95

525000

92695226

Rate/Term Refinance

COFI 1mo

3.7

7/1/2005

9.95

510000

92695322

Rate/Term Refinance

COFI 1mo

3.85

7/1/2005

9.95

308000

92700403

Cash Out Refinance

LIBOR 1mo

3.575

7/1/2005

9.95

425000

92702779

Purchase

COFI 1mo

3.65

7/1/2005

9.95

400000

92706444

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

500000

92706828

Purchase

COFI 1mo

3.25

7/1/2005

9.95

622000

92707532

Purchase

COFI 1mo

4.15

7/1/2005

9.95

175000

92708532

Cash Out Refinance

COFI 1mo

4.1

9/1/2005

9.95

250000

92710108

Purchase

LIBOR 1mo

3.725

7/1/2005

9.95

167000

92726206

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

340000

92729543

Purchase

COFI 1mo

4.15

7/1/2005

9.95

262000

92734535

Rate/Term Refinance

LIBOR 1mo

2.9

9/1/2005

9.95

423000

92737992

Purchase

COFI 1mo

4.05

7/1/2005

9.95

169000

92738256

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

432500

92738384

Purchase

COFI 1mo

3.5

7/1/2005

9.95

645000

92741304

Rate/Term Refinance

LIBOR 1mo

2.675

7/1/2005

9.95

555000

92741840

Rate/Term Refinance

COFI 1mo

3.375

7/1/2005

9.95

423500

92742088

Rate/Term Refinance

COFI 1mo

3.5

7/1/2005

9.95

510000

92744360

Purchase

COFI 1mo

3.5

7/1/2005

9.95

336000

92747385

Purchase

LIBOR 1mo

2.525

7/1/2005

9.95

410000

92747825

Purchase

LIBOR 1mo

2.75

7/1/2005

9.95

386000

92751561

Cash Out Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

292000

92754482

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

171000

92757474

Cash Out Refinance

COFI 1mo

3.6

7/1/2005

9.95

605000

92761235

Cash Out Refinance

COFI 1mo

3.5

8/1/2005

9.95

667500

92765267

Rate/Term Refinance

LIBOR 1mo

2.5

7/1/2005

9.95

570000

92772220

Purchase

COFI 1mo

3.2

7/1/2005

9.95

660000

92777717

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

360000

92778677

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

555000

92779957

Purchase

COFI 1mo

3.55

7/1/2005

9.95

750000

92780133

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

212000

92782365

Cash Out Refinance

LIBOR 1mo

2.9

9/1/2005

9.95

130000

92796815

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

910000

92797511

Rate/Term Refinance

LIBOR 1mo

2.45

7/1/2005

9.95

460000

92799279

Purchase

COFI 1mo

3.85

7/1/2005

9.95

350000

92800856

Purchase

COFI

3.55

7/1/2005

9.95

350000

92809145

Rate/Term Refinance

LIBOR 1mo

4.025

7/1/2005

9.95

180000

92813697

Cash Out Refinance

LIBOR 1mo

2.95

7/1/2005

9.95

485000

92819402

Purchase

COFI 1mo

3.5

7/1/2005

9.95

225000

92821146

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

390000

92837820

Cash Out Refinance

COFI 1mo

3.55

7/1/2005

9.95

580000

92840564

Cash Out Refinance

LIBOR 1mo

2.8

7/1/2005

9.95

370000

92841869

Cash Out Refinance

COFI 1mo

3.575

7/1/2005

9.95

220000

92842461

Rate/Term Refinance

LIBOR 1mo

2.525

7/1/2005

9.95

405000

92846493

Purchase

COFI 1mo

3.275

7/1/2005

9.95

215000

92846965

Purchase

COFI 1mo

4.15

7/1/2005

9.95

160000

92858463

Purchase

COFI

3.55

7/1/2005

9.95

190000

92860543

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

485000

92871440

Cash Out Refinance

LIBOR 1mo

3.65

7/1/2005

9.95

346000

92891595

Cash Out Refinance

COFI 1mo

4.475

7/1/2005

9.95

400000

92893291

Cash Out Refinance

COFI 1mo

3.825

7/1/2005

9.95

213000

92908557

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

394000

92913606

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

325000

92928039

Purchase

LIBOR 1mo

3.775

7/1/2005

9.95

151000

92939241

Cash Out Refinance

LIBOR 1mo

2.5

7/1/2005

9.95

279000

92953443

Purchase

COFI 1mo

3.5

7/1/2005

9.95

332000

92957355

Rate/Term Refinance

COFI 1mo

3.55

7/1/2005

9.95

850000

92962860

Purchase

LIBOR 1mo

2.975

7/1/2005

9.95

385000

92968004

Rate/Term Refinance

COFI 1mo

3.575

7/1/2005

9.95

800000

93005505

Cash Out Refinance

COFI 1mo

3.375

7/1/2005

9.95

347000

93020939

Purchase

COFI 1mo

3.65

7/1/2005

9.95

85000

93026372

Cash Out Refinance

COFI 1mo

3.35

8/1/2005

9.95

293000

93027356

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

730000

93035237

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

500000

93050319

Cash Out Refinance

LIBOR 1mo

3.5

8/1/2005

9.95

180000

93057072

Cash Out Refinance

COFI 1mo

3.5

7/1/2005

9.95

820000

93066057

Purchase

LIBOR 1mo

2.8

7/1/2005

9.95

739000

93075546

Purchase

LIBOR 1mo

2.95

7/1/2005

9.95

234500

93081627

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

255000

93100853

Purchase

COFI 1mo

3.6

8/1/2005

9.95

505000

93110926

Rate/Term Refinance

COFI 1mo

3.075

8/1/2005

9.95

400000

93112471

Purchase

COFI 1mo

3.8

8/1/2005

9.95

325000

93193457

Purchase

COFI 1mo

3.75

7/1/2005

9.95

525000

93286724

Purchase

LIBOR 1mo

2.825

8/1/2005

9.95

372000

93289133

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

650000

93310351

Cash Out Refinance

COFI 1mo

3.6

8/1/2005

9.95

600000

9335697

Cash Out Refinance

LIBOR

2.1

7/1/2005

9.95

267000

93359966

Purchase

COFI 1mo

3.75

8/1/2005

9.95

290000

93366686

Purchase

COFI 1mo

3.525

8/1/2005

9.95

340000

9371331

Rate/Term Refinance

LIBOR 1mo

3.35

9/1/2005

9.95

380000

9475303

Purchase

LIBOR 1mo

3.6

7/1/2005

9.95

442000

94830816

Cash Out Refinance

LIBOR

2.1

7/1/2005

9.95

542000

94830872

Rate/Term Refinance

LIBOR

2.1

7/1/2005

9.95

560000

94835863

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

555000

94838559

Purchase

LIBOR

2.275

7/1/2005

9.95

321000

94848177

Purchase

COFI 1mo

3.725

8/1/2005

9.95

415000

94849801

Purchase

LIBOR

3.25

7/1/2005

9.95

525000

94871688

Cash Out Refinance

LIBOR

3.025

7/1/2005

9.95

300000

94871704

Cash Out Refinance

LIBOR

3.025

7/1/2005

9.95

256000

94872722

Purchase

LIBOR

3.475

7/1/2005

9.95

260000

94885433

Rate/Term Refinance

COFI 1mo

3.925

7/1/2005

9.95

275000

94887969

Purchase

LIBOR

2.475

7/1/2005

9.95

1395000

94906918

Purchase

LIBOR

3.5

7/1/2005

9.95

147500

94909072

Purchase

LIBOR

2.65

7/1/2005

9.95

865000

94926237

Rate/Term Refinance

LIBOR

2.75

7/1/2005

9.95

335000

94926664

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

117000

94927687

Purchase

LIBOR

2.75

7/1/2005

9.95

265000

94927711

Rate/Term Refinance

LIBOR

2.75

7/1/2005

9.95

380000

94929148

Purchase

LIBOR

3.4

7/1/2005

9.95

560000

94930551

Purchase

LIBOR

2.95

7/1/2005

9.95

508000

94945021

Purchase

COFI 1mo

4.15

7/1/2005

9.95

375000

94945158

Purchase

LIBOR

2.75

7/1/2005

9.95

600000

94962820

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

425000

94986965

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

180000

94988140

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

256000

94998761

Cash Out Refinance

LIBOR 1mo

3.975

9/1/2005

9.95

290000

95001846

Purchase

LIBOR

2.6

7/1/2005

9.95

200000

95014614

Purchase

LIBOR

3.2

7/1/2005

9.95

95000

95015774

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

860000

95022018

Cash Out Refinance

LIBOR

1.85

7/1/2005

9.95

275000

95022114

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

547000

95024524

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

515000

95030593

Purchase

LIBOR

2.6

7/1/2005

9.95

695000

95030625

Purchase

LIBOR

2.85

7/1/2005

9.95

695000

95035478

Cash Out Refinance

LIBOR

2.75

7/1/2005

9.95

635000

95037596

Cash Out Refinance

COFI 1mo

4.225

7/1/2005

9.95

458000

95041161

Cash Out Refinance

COFI 1mo

3.725

7/1/2005

9.95

349000

95042089

Rate/Term Refinance

LIBOR

2.125

7/1/2005

9.95

672000

95044881

Purchase

COFI 1mo

4.375

7/1/2005

9.95

500000

95053242

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

330000

95053498

Cash Out Refinance

COFI 1mo

4.375

7/1/2005

9.95

254000

95055771

Rate/Term Refinance

COFI 1mo

3.8

7/1/2005

9.95

353000

95056667

Rate/Term Refinance

LIBOR 1mo

2.6

7/1/2005

9.95

235000

95062948

Purchase

COFI 1mo

4.25

7/1/2005

9.95

585000

95063140

Purchase

LIBOR

2.975

7/1/2005

9.95

123000

95065404

Purchase

LIBOR

3.325

7/1/2005

9.95

305000

95065612

Cash Out Refinance

COFI 1mo

3.2

8/1/2005

9.95

800000

95070117

Rate/Term Refinance

COFI 1mo

3.875

7/1/2005

9.95

338000

95077277

Purchase

LIBOR

2.1

7/1/2005

9.95

527500

95077501

Purchase

LIBOR

1.85

7/1/2005

9.95

200000

95078542

Rate/Term Refinance

COFI 1mo

4.1

7/1/2005

9.95

505000

95079174

Rate/Term Refinance

LIBOR

2.1

7/1/2005

9.95

358000

95081862

Cash Out Refinance

LIBOR

3.325

7/1/2005

9.95

133000

95081982

Cash Out Refinance

LIBOR

2.95

7/1/2005

9.95

470000

95085198

Rate/Term Refinance

COFI 1mo

3.875

7/1/2005

9.95

401000

95089515

Cash Out Refinance

LIBOR

3.2

7/1/2005

9.95

417000

95090579

Purchase

COFI 1mo

4.375

7/1/2005

9.95

182000

95095136

Purchase

LIBOR

3.1

7/1/2005

9.95

208000

95103949

Purchase

LIBOR

2.65

7/1/2005

9.95

640000

95108358

Purchase

LIBOR

3.325

7/1/2005

9.95

420000

95108447

Purchase

LIBOR

2.35

7/1/2005

9.95

440000

95129877

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

180000

95131755

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

497000

95137501

Cash Out Refinance

LIBOR

2.75

7/1/2005

9.95

165000

95141483

Cash Out Refinance

LIBOR

1.675

7/1/2005

9.95

240000

95159782

Cash Out Refinance

LIBOR 1mo

3.775

7/1/2005

9.95

308000

95160366

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

340000

9577729

Rate/Term Refinance

LIBOR

2.8

7/1/2005

9.95

815000

96191555

Purchase

LIBOR

1.775

7/1/2005

9.95

246000

96197078

Purchase

LIBOR

3.725

7/1/2005

9.95

132900

96197256

Purchase

LIBOR

3.1

7/1/2005

9.95

230000

96197513

Purchase

LIBOR

2.35

7/1/2005

9.95

445000

96197537

Purchase

LIBOR

3.1

7/1/2005

9.95

500000

96202931

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

200000

96205491

Purchase

LIBOR

3.1

7/1/2005

9.95

259000

96206392

Purchase

LIBOR

2.475

7/1/2005

9.95

855575

96207584

Purchase

COFI 1mo

3.625

7/1/2005

9.95

181000

96207632

Purchase

LIBOR

2.65

7/1/2005

9.95

380000

96210258

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

950000

96213307

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

325000

96218277

Rate/Term Refinance

LIBOR 1mo

2.825

7/1/2005

9.95

325000

96223693

Cash Out Refinance

COFI 1mo

4.175

7/1/2005

9.95

387000

96224525

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

350000

96234999

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

1200000

96235551

Purchase

COFI 1mo

4.525

7/1/2005

9.95

119000

96238311

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

260000

96248747

Purchase

LIBOR

3.275

7/1/2005

9.95

77100

96249102

Rate/Term Refinance

LIBOR

2.1

7/1/2005

9.95

114000

96249574

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

276000

96249654

Purchase

LIBOR

2.875

7/1/2005

9.95

250000

96254588

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

473000

96264176

Purchase

LIBOR

2.95

7/1/2005

9.95

460000

96265449

Cash Out Refinance

LIBOR

2.75

7/1/2005

9.95

215000

96271651

Purchase

LIBOR

2.825

7/1/2005

9.95

183000

96271683

Cash Out Refinance

LIBOR

3.225

7/1/2005

9.95

412000

96272886

Rate/Term Refinance

LIBOR

2.15

7/1/2005

9.95

362000

96279209

Purchase

LIBOR

3.475

7/1/2005

9.95

250000

96310142

Purchase

LIBOR

2.35

7/1/2005

9.95

280000

96310246

Rate/Term Refinance

LIBOR

2.5

7/1/2005

9.95

310000

96310270

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

460000

96315189

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

580000

96319217

Purchase

LIBOR

3.1

7/1/2005

9.95

90000

96319676

Purchase

LIBOR

3.2

7/1/2005

9.95

237000

96319684

Purchase

LIBOR

2.5

7/1/2005

9.95

410000

96323392

Purchase

LIBOR

1.675

7/1/2005

9.95

109000

96324573

Rate/Term Refinance

LIBOR

2.95

7/1/2005

9.95

685000

96347795

Cash Out Refinance

LIBOR

3.275

7/1/2005

9.95

300000

96352029

Cash Out Refinance

LIBOR

2

7/1/2005

9.95

815000

96355156

Rate/Term Refinance

LIBOR

3.725

7/1/2005

9.95

340000

96399609

Purchase

LIBOR

3.5

7/1/2005

9.95

790000

96405186

Purchase

COFI 1mo

4.475

7/1/2005

9.95

290000

96411314

Purchase

LIBOR

3.2

7/1/2005

9.95

600000

96411491

Cash Out Refinance

LIBOR

3.725

7/1/2005

9.95

530000

96417241

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

169000

96423856

Cash Out Refinance

COFI 1mo

3.85

7/1/2005

9.95

575000

96433694

Cash Out Refinance

LIBOR

2.05

7/1/2005

9.95

584000

96436859

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

565000

96450463

Purchase

LIBOR

2.35

7/1/2005

9.95

209900

96450511

Purchase

LIBOR

2.85

7/1/2005

9.95

182000

96459539

Cash Out Refinance

LIBOR

2.05

7/1/2005

9.95

450000

96474814

Purchase

LIBOR

2.975

7/1/2005

9.95

520000

96475112

Purchase

COFI 1mo

4.225

7/1/2005

9.95

136000

96479216

Purchase

LIBOR

3.025

7/1/2005

9.95

260000

96479240

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

243000

96479555

Purchase

LIBOR

3.575

7/1/2005

10.325

680000

96479659

Purchase

LIBOR

3.2

7/1/2005

9.95

325000

96482232

Cash Out Refinance

LIBOR

2.1

7/1/2005

9.95

500000

96482288

Purchase

LIBOR

3.1

7/1/2005

9.95

1700000

96482466

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

217000

96482482

Purchase

LIBOR

3.475

7/1/2005

9.95

182000

96484944

Cash Out Refinance

LIBOR

2.05

7/1/2005

9.95

368500

96487545

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

1431000

96487585

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

900000

96494006

Cash Out Refinance

LIBOR

2.75

7/1/2005

9.95

475000

96494159

Purchase

LIBOR

3.2

7/1/2005

9.95

300000

96514065

Rate/Term Refinance

LIBOR

2.625

7/1/2005

9.95

210500

96514252

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

104000

96518269

Cash Out Refinance

LIBOR

3.575

7/1/2005

9.95

655000

96524849

Purchase

LIBOR

2.1

7/1/2005

9.95

109000

96533402

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

260000

96534274

Rate/Term Refinance

LIBOR

2.725

7/1/2005

9.95

212000

96539979

Purchase

COFI 1mo

3.5

7/1/2005

9.95

322000

96545852

Cash Out Refinance

COFI 1mo

3.8

7/1/2005

9.95

96000

96550220

Purchase

COFI 1mo

3.8

7/1/2005

9.95

142000

96552381

Cash Out Refinance

COFI 1mo

3.65

7/1/2005

9.95

252000

96560142

Cash Out Refinance

COFI 1mo

2.75

7/1/2005

9.95

113500

96565374

Cash Out Refinance

COFI 1mo

4

7/1/2005

9.95

1700000

96567326

Rate/Term Refinance

COFI 1mo

3.425

7/1/2005

9.95

220000

96567606

Rate/Term Refinance

COFI 1mo

4.175

7/1/2005

9.95

123000

96578896

Purchase

COFI 1mo

4.45

7/1/2005

9.95

260000

96589089

Purchase

COFI 1mo

4.475

8/1/2005

9.95

235000

96589145

Purchase

COFI 1mo

4.475

8/1/2005

9.95

235000

96600395

Cash Out Refinance

COFI 1mo

3.725

7/1/2005

9.95

380000

96601307

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

230000

96604243

Cash Out Refinance

COFI 1mo

3.125

7/1/2005

9.95

675000

96611377

Purchase

LIBOR

2.85

7/1/2005

9.95

155000

96611393

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

325000

96614851

Purchase

LIBOR

3.1

7/1/2005

9.95

195000

96629665

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

662000

96647540

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

290000

96651804

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

550000

96651916

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

530000

96660611

Cash Out Refinance

LIBOR

2.625

7/1/2005

9.95

630000

96688071

Purchase

LIBOR

3.1

7/1/2005

9.95

475000

96689204

Purchase

LIBOR

2.65

7/1/2005

9.95

370000

96694133

Purchase

COFI 1mo

4.475

8/1/2005

9.95

590000

96694573

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

725000

96695750

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

700000

96695822

Purchase

LIBOR

2.975

7/1/2005

9.95

910000

96698351

Purchase

LIBOR

3.575

7/1/2005

9.95

190000

96700090

Rate/Term Refinance

LIBOR

3.325

7/1/2005

9.95

164000

96700130

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

160000

96705682

Cash Out Refinance

LIBOR

2.25

7/1/2005

9.95

855000

96713550

Purchase

LIBOR

3.325

7/1/2005

9.95

110000

96730692

Rate/Term Refinance

LIBOR

2.3

7/1/2005

9.95

887000

96739802

Rate/Term Refinance

COFI 1mo

4.7

7/1/2005

9.95

385000

96772188

Cash Out Refinance

COFI 1mo

4.3

7/1/2005

9.95

600000

96772524

Rate/Term Refinance

COFI 1mo

4.175

7/1/2005

9.95

391000

96775157

Cash Out Refinance

COFI 1mo

4.75

7/1/2005

9.95

358000

96785921

Purchase

LIBOR

1.675

7/1/2005

9.95

280000

96795807

Purchase

LIBOR

3.35

7/1/2005

9.95

209900

96797096

Purchase

LIBOR

2.625

8/1/2005

9.95

430000

96797137

Purchase

LIBOR

3.1

7/1/2005

9.95

1650000

96797483

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

474000

96806708

Cash Out Refinance

COFI 1mo

4.475

7/1/2005

9.95

700000

96807580

Cash Out Refinance

COFI 1mo

4.475

7/1/2005

9.95

600000

96807676

Purchase

COFI 1mo

4.475

7/1/2005

9.95

350000

96810843

Purchase

LIBOR

3.1

7/1/2005

9.95

645000

96816226

Purchase

LIBOR

2.85

7/1/2005

9.95

845000

96816677

Purchase

COFI 1mo

4.25

7/1/2005

9.95

272000

96816805

Purchase

LIBOR

2.6

7/1/2005

9.95

183000

96882992

Cash Out Refinance

COFI 1mo

3.8

8/1/2005

9.95

640000

96887443

Rate/Term Refinance

LIBOR

2.05

7/1/2005

9.95

300000

96905151

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

195000

96920942

Rate/Term Refinance

LIBOR

2.475

7/1/2005

9.95

628000

96926296

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

1500000

96927703

Purchase

COFI 1mo

4.15

7/1/2005

9.95

970000

96930906

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

480000

96930970

Purchase

LIBOR

2.5

7/1/2005

9.95

520000

96935042

Rate/Term Refinance

LIBOR

3.725

7/1/2005

9.95

139000

96948848

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

350000

96954702

Purchase

LIBOR

3.1

7/1/2005

9.95

130000

96955767

Purchase

LIBOR

3.4

7/1/2005

9.95

330000

96956704

Rate/Term Refinance

COFI 1mo

2.65

7/1/2005

9.95

175000

96957011

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

790000

96976832

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

750000

96987478

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

328000

96999192

Purchase

LIBOR

3.475

7/1/2005

9.95

349000

97025157

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

472000

97030737

Cash Out Refinance

LIBOR

1.65

7/1/2005

9.95

720000

97031277

Cash Out Refinance

LIBOR

3.2

7/1/2005

9.95

775000

97032726

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

575000

97039571

Purchase

LIBOR

3.475

7/1/2005

9.95

450000

97041562

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

325000

97041754

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

900000

97042082

Cash Out Refinance

LIBOR

2.95

7/1/2005

9.95

610000

97042154

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

850000

97064172

Cash Out Refinance

LIBOR

2.2

7/1/2005

9.95

200000

97076589

Cash Out Refinance

LIBOR

3.725

7/1/2005

9.95

255000

97080492

Purchase

LIBOR

2.8

7/1/2005

9.95

150000

97080661

Purchase

LIBOR

3.225

7/1/2005

9.95

200000

97080717

Purchase

LIBOR

3.5

7/1/2005

9.95

139000

97081047

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

683500

97083773

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

400000

97084289

Purchase

LIBOR

2.5

7/1/2005

9.95

146000

97086718

Rate/Term Refinance

LIBOR

2.75

7/1/2005

9.95

345000

97086806

Cash Out Refinance

LIBOR

3.2

7/1/2005

9.95

342000

97086927

Cash Out Refinance

LIBOR

2.45

7/1/2005

9.95

648000

97092373

Purchase

LIBOR

3.1

7/1/2005

9.95

163000

97097383

Purchase

LIBOR

3.475

7/1/2005

9.95

195000

97101167

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

435000

97106021

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

315000

97112429

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

715000

97122378

Purchase

LIBOR

3.475

7/1/2005

9.95

315000

97122466

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

310000

97131469

Purchase

COFI 1mo

4.075

7/1/2005

9.95

530000

97135006

Purchase

LIBOR

2.875

7/1/2005

9.95

47000

97142247

Purchase

COFI 1mo

3.125

7/1/2005

9.95

422000

97149816

Cash Out Refinance

COFI 1mo

3.375

7/1/2005

9.95

160000

97152208

Purchase

COFI 1mo

3.425

7/1/2005

9.95

1310000

97152624

Purchase

COFI 1mo

4.875

7/1/2005

9.95

211000

97155008

Cash Out Refinance

COFI 1mo

3.725

7/1/2005

9.95

360000

97161377

Purchase

LIBOR

2.975

7/1/2005

9.95

347500

97176099

Rate/Term Refinance

COFI 1mo

3.25

7/1/2005

9.95

190000

97177131

Cash Out Refinance

COFI 1mo

3.275

7/1/2005

9.95

315000

97179875

Rate/Term Refinance

LIBOR 1mo

4.15

7/1/2005

9.95

175000

97185228

Cash Out Refinance

COFI 1mo

3.275

7/1/2005

9.95

525000

97191301

Cash Out Refinance

COFI 1mo

3.925

7/1/2005

9.95

310000

97194781

Purchase

COFI 1mo

3.75

8/1/2005

9.95

150000

97195621

Purchase

COFI 1mo

4.225

7/1/2005

9.95

270000

97203070

Purchase

COFI 1mo

3.525

8/1/2005

9.95

369000

97203654

Cash Out Refinance

COFI 1mo

4.25

7/1/2005

9.95

535000

97225321

Purchase

COFI 1mo

4.8

8/1/2005

9.95

150000

97226781

Purchase

COFI 1mo

4.475

7/1/2005

9.95

138000

97228756

Purchase

LIBOR

2.75

7/1/2005

9.95

525000

97248965

Purchase

LIBOR

3.1

7/1/2005

9.95

249900

97249959

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

353500

97250442

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

379000

97250611

Purchase

LIBOR

3.475

7/1/2005

9.95

563000

97255463

Rate/Term Refinance

LIBOR

2.95

7/1/2005

9.95

475000

97255719

Cash Out Refinance

LIBOR

2.65

7/1/2005

9.95

415000

97262019

Rate/Term Refinance

COFI 1mo

3.225

8/1/2005

9.95

310500

97264075

Cash Out Refinance

COFI 1mo

3.475

9/1/2005

9.95

330000

97279271

Purchase

LIBOR

3.1

7/1/2005

9.95

260000

97280334

Purchase

LIBOR

3.35

7/1/2005

9.95

158000

97283374

Cash Out Refinance

LIBOR

2.125

7/1/2005

9.95

221000

97283438

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

520000

97288161

Cash Out Refinance

LIBOR

2.1

7/1/2005

9.95

575000

97300284

Purchase

LIBOR

3.1

7/1/2005

9.95

1070000

97300839

Purchase

LIBOR

3.1

7/1/2005

9.95

780000

97306051

Purchase

LIBOR

2.65

7/1/2005

9.95

960000

97306067

Purchase

LIBOR

2.5

7/1/2005

9.95

236000

97307766

Rate/Term Refinance

LIBOR

2.75

7/1/2005

9.95

350000

97307991

Purchase

LIBOR

2.125

7/1/2005

9.95

115300

97310064

Purchase

LIBOR

3.475

7/1/2005

9.95

305000

97310772

Cash Out Refinance

LIBOR

3.725

7/1/2005

9.95

254000

97310804

Cash Out Refinance

LIBOR

3.725

7/1/2005

9.95

254000

97311811

Cash Out Refinance

LIBOR

3.125

7/1/2005

9.95

345000

97324229

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

385000

97324237

Purchase

LIBOR

3.225

7/1/2005

9.95

900000

97324496

Purchase

LIBOR

3.35

7/1/2005

9.95

245000

97351142

Purchase

COFI 1mo

4.375

7/1/2005

9.95

640000

97351294

Cash Out Refinance

COFI 1mo

3.625

7/1/2005

9.95

262000

97363896

Purchase

COFI 1mo

3.925

7/1/2005

9.95

360000

97383450

Purchase

LIBOR

3.475

7/1/2005

9.95

307000

97386398

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

525000

97386728

Purchase

LIBOR

2.35

7/1/2005

9.95

229000

97386736

Cash Out Refinance

LIBOR

2.275

7/1/2005

9.95

202000

97386808

Purchase

LIBOR

3.1

7/1/2005

9.95

730000

97393774

Purchase

LIBOR

3.575

7/1/2005

9.95

145000

97395808

Purchase

COFI 1mo

3.5

7/1/2005

9.95

405000

97402134

Purchase

LIBOR

3.475

7/1/2005

9.95

120000

97405210

Purchase

COFI 1mo

3.4

7/1/2005

9.95

410000

97408057

Cash Out Refinance

COFI 1mo

4.35

8/1/2005

9.95

249000

97410968

Cash Out Refinance

COFI 1mo

4.1

8/1/2005

9.95

599000

97415397

Cash Out Refinance

LIBOR

3.475

7/1/2005

9.95

260000

97415405

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

260000

97426622

Rate/Term Refinance

COFI 1mo

4.1

8/1/2005

9.95

162500

97426662

Cash Out Refinance

COFI 1mo

4.1

8/1/2005

9.95

120000

97427226

Purchase

LIBOR

3.725

7/1/2005

9.95

209900

97437723

Purchase

LIBOR

3.1

7/1/2005

9.95

375000

97446124

Purchase

COFI 1mo

4.15

7/1/2005

9.95

400000

97452321

Purchase

LIBOR

3.1

7/1/2005

9.95

875000

97474267

Purchase

LIBOR

2.35

7/1/2005

9.95

385000

97481488

Cash Out Refinance

LIBOR

3.325

7/1/2005

9.95

480000

97481625

Purchase

LIBOR

3.1

7/1/2005

9.95

550000

97481802

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

335000

97481851

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

390000

97481867

Purchase

LIBOR

3.2

7/1/2005

9.95

320000

97487441

Purchase

LIBOR

3.2

7/1/2005

9.95

520000

97487554

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

185000

97487626

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

245000

97491716

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

300000

97499881

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

360000

97500897

Rate/Term Refinance

COFI 1mo

4.5

7/1/2005

9.95

204000

97505864

Rate/Term Refinance

LIBOR

2.15

7/1/2005

9.95

220000

97517505

Purchase

LIBOR

4

7/1/2005

9.95

149900

97517851

Purchase

LIBOR

3.225

7/1/2005

9.95

530000

97520489

Purchase

LIBOR

2.475

7/1/2005

9.95

2050000

97523440

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

500000

97528325

Cash Out Refinance

LIBOR

2.85

7/1/2005

9.95

618000

97528333

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

612000

97528373

Purchase

LIBOR

2.8

7/1/2005

9.95

727500

97539833

Purchase

LIBOR

2.65

7/1/2005

9.95

440000

97547561

Purchase

LIBOR

2.95

7/1/2005

9.95

598500

97547641

Purchase

LIBOR

1.675

7/1/2005

9.95

310000

97549569

Purchase

LIBOR

2.85

7/1/2005

9.95

670000

97552793

Purchase

LIBOR

3.35

7/1/2005

9.95

368000

97552817

Purchase

LIBOR

3.725

7/1/2005

9.95

262000

97553413

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

412000

97555618

Purchase

LIBOR

2.35

7/1/2005

9.95

1050000

97569739

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

550000

97577973

Purchase

LIBOR

3.225

7/1/2005

9.95

214000

97578005

Purchase

LIBOR

2.975

7/1/2005

9.95

530000

97583611

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

275000

97595251

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

480000

97651824

Purchase

LIBOR

3.225

7/1/2005

9.95

260000

97669615

Cash Out Refinance

LIBOR 1mo

2.375

7/1/2005

9.95

925000

97672444

Purchase

LIBOR

3.1

7/1/2005

9.95

285000

97682720

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

900000

97695313

Purchase

LIBOR

2.475

7/1/2005

9.95

461000

97696307

Purchase

LIBOR

2.725

7/1/2005

9.95

780000

97696347

Purchase

LIBOR

2.35

7/1/2005

9.95

1105000

97700244

Purchase

LIBOR

3.1

7/1/2005

9.95

585000

97701872

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

285000

97712758

Purchase

LIBOR

3.35

7/1/2005

9.95

284000

97713587

Purchase

LIBOR

3.1

7/1/2005

9.95

158000

97744625

Purchase

LIBOR

3.35

7/1/2005

9.95

118000

97753086

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

670000

97753102

Purchase

LIBOR

3.225

7/1/2005

9.95

208000

97753255

Purchase

LIBOR

2.475

7/1/2005

9.95

171000

97753263

Purchase

LIBOR

2.725

7/1/2005

9.95

476500

97753311

Purchase

LIBOR

2.8

7/1/2005

9.95

249000

97754374

Purchase

LIBOR

3.1

7/1/2005

9.95

770000

97765547

Purchase

COFI 1mo

3.625

7/1/2005

9.95

273000

97768676

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

496000

97818601

Purchase

COFI 1mo

4.475

7/1/2005

9.95

233000

97823221

Purchase

LIBOR

4

7/1/2005

9.95

386000

97823293

Purchase

COFI 1mo

4.375

7/1/2005

9.95

145000

97824842

Cash Out Refinance

LIBOR

1.9

7/1/2005

9.95

329000

97825156

Cash Out Refinance

LIBOR

3.575

7/1/2005

9.95

147000

97825744

Purchase

LIBOR

2.25

7/1/2005

9.95

144000

97835499

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

349000

97838411

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

650000

97846023

Cash Out Refinance

COFI 1mo

4.475

7/1/2005

9.95

655000

97846239

Purchase

LIBOR

3.05

7/1/2005

9.95

355000

97847063

Rate/Term Refinance

COFI 1mo

4.1

8/1/2005

9.95

495000

97850372

Cash Out Refinance

LIBOR

3.325

7/1/2005

9.95

190000

97851462

Cash Out Refinance

LIBOR

3.725

7/1/2005

9.95

254000

97851478

Cash Out Refinance

LIBOR

3.725

7/1/2005

9.95

254000

97853630

Rate/Term Refinance

COFI 1mo

3.875

7/1/2005

9.95

450000

97854323

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

495000

97854324

Rate/Term Refinance

LIBOR

3.475

7/1/2005

9.95

280000

97929901

Purchase

LIBOR

3.475

7/1/2005

9.95

360000

97932683

Cash Out Refinance

LIBOR

2.35

7/1/2005

9.95

635000

97932771

Rate/Term Refinance

LIBOR

2.35

7/1/2005

9.95

390000

97934505

Purchase

LIBOR

3.35

7/1/2005

9.95

265000

97934538

Purchase

LIBOR

3.325

7/1/2005

9.95

378400

97934554

Purchase

LIBOR

3.475

7/1/2005

10.325

455000

97934602

Purchase

LIBOR

2.65

7/1/2005

9.95

770000

97934634

Purchase

LIBOR

3.1

7/1/2005

9.95

495000

97937770

Purchase

LIBOR

3.35

7/1/2005

9.95

340000

97938567

Purchase

LIBOR

2.75

7/1/2005

9.95

175000

97943016

Purchase

COFI 1mo

3.1

7/1/2005

9.95

355000

97947130

Cash Out Refinance

LIBOR

3.2

7/1/2005

9.95

280000

97947421

Purchase

LIBOR

3.625

7/1/2005

9.95

305000

97966090

Rate/Term Refinance

LIBOR

2.75

7/1/2005

9.95

280000

97966227

Purchase

LIBOR

2.35

7/1/2005

9.95

190000

97969126

Purchase

LIBOR

3.475

7/1/2005

9.95

425000

97969948

Purchase

LIBOR 1mo

3.5

7/1/2005

9.95

223000

97973907

Purchase

LIBOR

2.8

7/1/2005

9.95

181000

97982801

Cash Out Refinance

LIBOR

2.125

7/1/2005

9.95

490000

97987116

Purchase

LIBOR

3.35

7/1/2005

9.95

550000

97987140

Purchase

LIBOR

3.1

7/1/2005

9.95

300000

98012826

Purchase

LIBOR

3.35

7/1/2005

9.95

93000

98012898

Purchase

LIBOR

3.225

7/1/2005

9.95

146000

98013116

Purchase

LIBOR

3.475

7/1/2005

9.95

284600

98013462

Purchase

LIBOR

2.45

7/1/2005

9.95

134000

98024350

Purchase

COFI 1mo

4.625

7/1/2005

9.95

152000

98024640

Purchase

LIBOR

2.725

7/1/2005

9.95

290000

98029516

Purchase

LIBOR

3.35

7/1/2005

9.95

73000

98034004

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

372000

98035762

Rate/Term Refinance

LIBOR 1mo

1.925

7/1/2005

9.95

145000

98036019

Purchase

LIBOR

2.5

7/1/2005

9.95

890000

98050625

Cash Out Refinance

LIBOR

2.375

7/1/2005

9.95

365000

98054095

Purchase

LIBOR

2.5

7/1/2005

9.95

195000

98077492

Purchase

LIBOR

3.25

7/1/2005

9.95

133000

98078716

Cash Out Refinance

LIBOR

2.8

7/1/2005

9.95

1190000

98083412

Purchase

LIBOR

2.6

7/1/2005

9.95

129000

98083912

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

200000

98083960

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

440000

98086135

Purchase

LIBOR 1mo

1.625

7/1/2005

9.95

200000

98086623

Cash Out Refinance

COFI 1mo

3.675

7/1/2005

9.95

465000

98090306

Purchase

LIBOR

3.1

7/1/2005

9.95

440000

98091616

Purchase

LIBOR

3.35

7/1/2005

9.95

335000

98093017

Cash Out Refinance

LIBOR 1mo

3.5

9/1/2005

9.95

375000

98094010

Purchase

LIBOR

3.1

7/1/2005

9.95

137500

98097623

Purchase

LIBOR

2.975

7/1/2005

9.95

430000

98106362

Purchase

LIBOR

2.85

7/1/2005

9.95

256000

98106886

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

252000

98112781

Purchase

LIBOR

3.1

7/1/2005

9.95

405000

98113535

Purchase

LIBOR

2.85

7/1/2005

9.95

315000

98114793

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

490000

98114801

Rate/Term Refinance

LIBOR

3.2

7/1/2005

9.95

490000

98121360

Cash Out Refinance

LIBOR

2.975

7/1/2005

9.95

210000

98121408

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

295000

98137473

Rate/Term Refinance

LIBOR

3.225

7/1/2005

9.95

180000

98142700

Purchase

LIBOR

3.1

7/1/2005

9.95

473000

98142708

Rate/Term Refinance

LIBOR

2.6

7/1/2005

9.95

352000

98142740

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

348500

98153509

Purchase

LIBOR

3.35

7/1/2005

9.95

305000

98155219

Purchase

LIBOR

4.85

7/1/2005

9.95

445000

98156040

Purchase

LIBOR

3.575

7/1/2005

9.95

160000

98156612

Purchase

LIBOR

3.35

7/1/2005

9.95

700000

98186734

Purchase

LIBOR

3.725

7/1/2005

9.95

200000

98191480

Rate/Term Refinance

LIBOR

2.975

7/1/2005

9.95

245000

98191922

Purchase

LIBOR

3.1

7/1/2005

9.95

358000

98207509

Purchase

LIBOR 1mo

3.2

9/1/2005

9.95

475000

98210441

Purchase

LIBOR

2.85

7/1/2005

9.95

226000

98210916

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

325000

98211102

Purchase

LIBOR

2.975

7/1/2005

9.95

320000

98211991

Purchase

COFI 1mo

4.1

9/1/2005

9.95

1052000

98221572

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

750000

98221894

Rate/Term Refinance

LIBOR

2.85

7/1/2005

9.95

471000

98225867

Purchase

LIBOR

3.25

7/1/2005

9.95

41000

98226092

Purchase

LIBOR

3.1

7/1/2005

9.95

225650

98227409

Cash Out Refinance

LIBOR

2.6

7/1/2005

9.95

615000

98266538

Purchase

COFI 1mo

4.15

7/1/2005

9.95

1000000

98279263

Purchase

COFI 1mo

4.15

7/1/2005

9.95

500000

98279923

Purchase

LIBOR

3.1

7/1/2005

9.95

662000

98293866

Purchase

LIBOR

2.35

7/1/2005

9.95

311000

98294470

Purchase

LIBOR

3.1

7/1/2005

9.95

389000

98306049

Purchase

LIBOR

3.2

7/1/2005

9.95

316000

98306395

Cash Out Refinance

COFI 1mo

4.25

7/1/2005

9.95

305000

98307840

Cash Out Refinance

LIBOR

2.375

7/1/2005

9.95

354000

98309747

Purchase

LIBOR

3.225

7/1/2005

9.95

310000

98326816

Cash Out Refinance

LIBOR

3.625

8/1/2005

9.95

242000

98326832

Purchase

COFI 1mo

4

7/1/2005

9.95

209000

98359437

Purchase

LIBOR 1mo

2.3

7/1/2005

9.95

665000

98360755

Purchase

COFI 1mo

3.875

7/1/2005

10.325

265000

98360996

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

650000

98367473

Purchase

LIBOR

3.2

7/1/2005

9.95

435000

98374273

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

420000

98376630

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

139500

98376638

Purchase

LIBOR

3.1

7/1/2005

9.95

107000

98377808

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

250000

98379638

Purchase

LIBOR

3.225

7/1/2005

9.95

270000

98382917

Purchase

LIBOR

3.4

7/1/2005

9.95

170000

98388280

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

620000

98389578

Purchase

LIBOR

2.95

7/1/2005

9.95

610000

98398174

Purchase

LIBOR 1mo

2.675

7/1/2005

9.95

120000

98398955

Cash Out Refinance

LIBOR 1mo

2.75

7/1/2005

9.95

400000

98398971

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

509000

98398979

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

505000

98399179

Cash Out Refinance

LIBOR 1mo

2.9

7/1/2005

9.95

256000

98406586

Cash Out Refinance

COFI 1mo

3.625

7/1/2005

9.95

210000

98410979

Purchase

COFI 1mo

4.15

7/1/2005

9.95

498000

98413428

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

630000

98413436

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

300000

98413444

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

300000

98413468

Rate/Term Refinance

LIBOR

2.725

7/1/2005

9.95

245000

98413476

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

344000

98413524

Cash Out Refinance

LIBOR

2.725

7/1/2005

9.95

467000

98415010

Purchase

LIBOR

3.1

7/1/2005

9.95

506000

98498145

Purchase

LIBOR

3.1

7/1/2005

9.95

126000

98508207

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

995000

98514252

Purchase

LIBOR

2.975

7/1/2005

9.95

225000

98514397

Purchase

LIBOR

3.1

7/1/2005

9.95

520000

98517346

Purchase

LIBOR

2.45

7/1/2005

9.95

68500

98536551

Purchase

LIBOR

3.1

7/1/2005

9.95

605000

98545453

Purchase

LIBOR

3.1

7/1/2005

9.95

378000

98545533

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

325000

98561936

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

252000

98576833

Purchase

COFI 1mo

2.875

7/1/2005

9.95

450000

98579282

Cash Out Refinance

COFI 1mo

2.75

9/1/2005

9.95

159000

98590295

Purchase

LIBOR

2.975

7/1/2005

9.95

200000

98594279

Cash Out Refinance

LIBOR

3.35

7/1/2005

9.95

580000

98595619

Rate/Term Refinance

LIBOR

2.15

7/1/2005

9.95

365000

98596902

Purchase

LIBOR

3.35

7/1/2005

9.95

180000

98615559

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

468000

98615943

Purchase

LIBOR 1mo

3.35

9/1/2005

9.95

740000

98616111

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

795000

9861921

Cash Out Refinance

COFI 1mo

4.275

7/1/2005

9.95

175000

98624100

Purchase

LIBOR

3.1

7/1/2005

9.95

387000

98624116

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

580000

98624253

Purchase

LIBOR 1mo

2.225

7/1/2005

9.95

215000

98635409

Purchase

COFI 1mo

4.1

9/1/2005

10.325

1000000

98635449

Purchase

LIBOR

2.6

7/1/2005

9.95

325000

98644619

Purchase

LIBOR

2.35

7/1/2005

9.95

265000

98646927

Purchase

LIBOR

3.1

7/1/2005

9.95

593000

98653507

Rate/Term Refinance

LIBOR

3.1

7/1/2005

9.95

409500

98653547

Cash Out Refinance

LIBOR

3.1

7/1/2005

9.95

440000

98661722

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

310000

98678457

Cash Out Refinance

LIBOR 1mo

3.25

7/1/2005

9.95

525000

98679934

Purchase

LIBOR

2.35

7/1/2005

9.95

338150

98759673

Purchase

LIBOR

3.1

7/1/2005

9.95

299000

98776948

Purchase

COFI 1mo

3.7

7/1/2005

9.95

630000

98777238

Rate/Term Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

230000

98778054

Purchase

LIBOR 1mo

3.2

9/1/2005

9.95

450000

98784900

Cash Out Refinance

COFI 1mo

4.25

7/1/2005

9.95

550000

98794936

Cash Out Refinance

COFI 1mo

4.05

7/1/2005

9.95

155000

98799203

Purchase

LIBOR

3.1

7/1/2005

9.95

323000

98818160

Cash Out Refinance

LIBOR

3.2

7/1/2005

9.95

710000

98842855

Purchase

COFI 1mo

2.65

7/1/2005

9.95

140000

98846209

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

182500

98852050

Cash Out Refinance

LIBOR

3.2

7/1/2005

9.95

58000

98852090

Purchase

LIBOR

3.2

7/1/2005

9.95

45000

98930266

Purchase

LIBOR

3.4

7/1/2005

9.95

365000

98943717

Purchase

COFI 1mo

4.15

7/1/2005

9.95

315000

98955712

Purchase

COFI 1mo

3.95

9/1/2005

9.95

90000

98958784

Purchase

LIBOR

2.975

7/1/2005

9.95

245000

98958792

Purchase

LIBOR

2.725

7/1/2005

9.95

360000

99031971

Purchase

LIBOR

3.625

7/1/2005

9.95

150000

99045940

Cash Out Refinance

LIBOR

2.475

7/1/2005

9.95

460000

99082933

Cash Out Refinance

COFI 1mo

4.1

9/1/2005

9.95

520000

99129382

Rate/Term Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

127000

99130802

Purchase

COFI 1mo

3.5

9/1/2005

9.95

191000

99137660

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

2050000

99144333

Cash Out Refinance

LIBOR 1mo

3.1

7/1/2005

9.95

305000

99146791

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

165000

99150314

Purchase

LIBOR

2.1

7/1/2005

9.95

280000

99293562

Purchase

COFI 1mo

3.925

7/1/2005

9.95

795000

99309106

Purchase

COFI 1mo

4.15

7/1/2005

9.95

137900

99330565

Rate/Term Refinance

COFI 1mo

3.25

7/1/2005

9.95

191000

99344558

Purchase

COFI 1mo

4.25

7/1/2005

9.95

143000

99377251

Purchase

COFI 1mo

3.875

8/1/2005

9.95

134000

99455324

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

328000

99463534

Cash Out Refinance

COFI 1mo

3.95

9/1/2005

9.95

560000

99513156

Purchase

COFI 1mo

3.85

7/1/2005

9.95

600000

99543381

Purchase

COFI 1mo

4.15

7/1/2005

9.95

208000

99563607

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

310000

99601595

Cash Out Refinance

COFI 1mo

3

7/1/2005

9.95

610000

99602909

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

320000

99618211

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

225000

99625259

Purchase

LIBOR 1mo

2.6

7/1/2005

9.95

148000

99646562

Cash Out Refinance

LIBOR 1mo

3.05

9/1/2005

9.95

345000

99646770

Purchase

COFI 1mo

3.9

9/1/2005

9.95

191000

99647656

Rate/Term Refinance

COFI 1mo

5.15

7/1/2005

9.95

198000

99647688

Purchase

COFI 1mo

4.25

7/1/2005

9.95

50500

99667511

Cash Out Refinance

COFI 1mo

3.7

7/1/2005

9.95

1900000

99670057

Cash Out Refinance

LIBOR 1mo

1.625

7/1/2005

9.95

219000

99693311

Purchase

COFI 1mo

4.15

7/1/2005

9.95

360900

99693335

Cash Out Refinance

COFI 1mo

4.15

7/1/2005

9.95

350000

99693520

Purchase

LIBOR 1mo

2.65

7/1/2005

9.95

450000

99694028

Rate/Term Refinance

COFI 1mo

3.975

9/1/2005

9.95

192000

99694060

Purchase

COFI 1mo

3.725

8/1/2005

9.95

173000

99738800

Purchase

LIBOR 1mo

3.1

7/1/2005

9.95

1352674

99793151

Purchase

LIBOR 1mo

3.05

9/1/2005

9.95

540000

99815923

Purchase

LIBOR 1mo

3.25

7/1/2005

9.95

430000

99823584

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

263000

99824123

Purchase

LIBOR 1mo

3.5

9/1/2005

9.95

385000

99824204

Rate/Term Refinance

LIBOR 1mo

4.1

7/1/2005

9.95

195000

99846032

Cash Out Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

415000

99862088

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

900000

99889456

Rate/Term Refinance

LIBOR 1mo

3.4

7/1/2005

9.95

730000

99902792

Purchase

LIBOR 1mo

3.35

9/1/2005

9.95

680000

99913257

Purchase

LIBOR 1mo

2.375

7/1/2005

9.95

790000

99914612

Purchase

LIBOR 1mo

3.4

7/1/2005

9.95

490000

99916837

Cash Out Refinance

COFI 1mo

2.825

7/1/2005

9.95

175000

99969115

Cash Out Refinance

LIBOR 1mo

2.775

7/1/2005

9.95

220000




loan num

purchase price

product

LPMI fee

Servicer

Originator

group

custodian

GMAC Serviced

09504164

0

Negam COFI

0

GMAC

PLAZA

1

DEUTSCHEBANK

YES

09504384

0

Negam LIBOR

0

GMAC

PLAZA

2

DEUTSCHEBANK

YES

1000074693

155000

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000076604

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000078063

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000078302

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000078324

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000078498

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000078759

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000078760

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000078770

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000078975

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079265

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079281

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079296

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079311

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079342

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079371

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000079463

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000079499

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079501

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000079546

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079624

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

1000079689

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079716

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079795

0

Negam COFI

0

GMAC

COMMUNITY LENDERS

1

DEUTSCHEBANK

YES

1000079830

0

Negam LIBOR

0

GMAC

COMMUNITY LENDERS

2

DEUTSCHEBANK

YES

100020042

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100024250

3200000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

100027587

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100032939

398900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100036588

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100060407

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

100061199

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100072176

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100073568

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100107846

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

100108095

0

Negam COFI

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COUNTRYWIDE

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GMAC

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DEUTSCHEBANK

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Negam LIBOR

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Negam LIBOR

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2

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COUNTRYWIDE

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Negam COFI

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COUNTRYWIDE

1

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COUNTRYWIDE

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102358253

295000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102361414

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102365518

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102367470

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102367998

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102370263

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102374439

324000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102374607

359900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102387663

374000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102397613

126500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102398918

183685

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

1024014295

585000

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

1024014723

510000

Negam COFI

0

GMAC

GATEWAY

1

DEUTSCHEBANK

YES

102422110

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102435744

112870

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102446826

1173000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102451637

217000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102455748

200000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102456165

665000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102462341

0

Negam LIBOR

0.61

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102463421

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102463477

232181

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102478003

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102497447

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102516664

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102524173

102500

Negam LIBOR

0.78

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102545258

281969

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102554204

165000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102567087

363415

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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363415

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102582886

1155000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102589322

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102635331

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102635371

325000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102635379

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102652280

470000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102662798

275000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102669222

151000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102676475

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102677163

163000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102680110

249000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102683161

703250

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

1027000642

0

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

102734303

121500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102734383

200000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102738179

150000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102745318

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102746975

192472

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102756696

375000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102760064

0

Negam LIBOR

0.84

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102773442

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102779859

80000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102783771

193500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102786828

289163

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102789468

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102811170

280000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102815423

0

Negam LIBOR

0.61

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102928663

70000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102930812

188051

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102934282

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102938925

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102957556

295000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

102962696

155000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

102985736

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

103013352

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

103014068

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

1043015041

0

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

1043015139

0

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

1043015148

118000

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

1043015154

0

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

1043015434

450000

Negam COFI

0

GMAC

GATEWAY

1

DEUTSCHEBANK

YES

1066000861

0

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

1066001615

0

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

1067002101

680000

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

107394441

285000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

107435403

495000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

107544840

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

107552145

1040000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

107559642

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

107577565

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

1099000053

329000

Negam LIBOR

0

GMAC

GATEWAY

2

DEUTSCHEBANK

YES

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530000

Negam COFI

0

GMAC

PLAZA

1

DEUTSCHEBANK

YES

16010864

0

Negam COFI

0

GMAC

METROCITIES

1

DEUTSCHEBANK

YES

16011356

0

Negam COFI

0

GMAC

METROCITIES

1

DEUTSCHEBANK

YES

16011686

0

Negam COFI

0

GMAC

METROCITIES

1

DEUTSCHEBANK

YES

1894312

341205

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

189797

286990

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

21031484

0

Negam LIBOR

0

GMAC

METROCITIES

2

DEUTSCHEBANK

YES

21032898

759000

Negam COFI

0

GMAC

METROCITIES

1

DEUTSCHEBANK

YES

21033763

0

Negam COFI

0

GMAC

METROCITIES

1

DEUTSCHEBANK

YES

21034776

1430000

Negam COFI

0

GMAC

METROCITIES

1

DEUTSCHEBANK

YES

284808

0

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

290169

0

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

292603

300000

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

292641

0

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

293088

0

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

293283

830000

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

293287

0

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

294181

540000

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

295138

0

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

298081

0

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

299303

165000

Negam LIBOR

0

GMAC

SIERRA PACIFIC

2

DEUTSCHEBANK

YES

337014

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

337998

629000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

338673

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

340166

350000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

342154

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

343046

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

347260

455000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

347559

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

347724

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

348052

640000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

349258

248500

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

350595

314250

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

351551

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

351627

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

351825

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

352427

455000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

352781

838000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

353052

555000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

3535198

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

354878

855000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

355644

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

356147

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

356287

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

356550

420000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

356949

872000

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

357368

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

357756

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

357772

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

359182

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

362160

420000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

362244

676000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

363515

495000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

364240

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

366799

510000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

367094

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

367177

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

367516

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

367532

402000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

367896

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

368472

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

368845

540000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

370924

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

370973

0

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

371674

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

371708

380000

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

374660

0

Negam COFI

0

GMAC

PAUL FINANCIAL

1

DEUTSCHEBANK

YES

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313450

Negam LIBOR

0

GMAC

PAUL FINANCIAL

2

DEUTSCHEBANK

YES

37996311

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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439990

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

44533502

641851

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

46929871

212494

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

48151722

1225000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

49089979

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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405175

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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140199

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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223364

Negam LIBOR

0.77

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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130199

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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446817

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

63818654

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

63837242

654800

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

64323743

94000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

64713061

299000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

64819705

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

65151397

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

65282270

282465

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

65761714

499000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

66079003

169900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

66103746

212900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

67064026

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

67497589

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

68037871

870930

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

68182207

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

6820811

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

68216034

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

68216098

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

6829135

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

76652253

550000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

76785888

662000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

76791313

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

77182050

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

77325869

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

77361185

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

77412391

290000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

77412799

189500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

77412975

599000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

77413111

72000

Negam LIBOR

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BONY

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BONY

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Negam COFI

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Negam COFI

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Negam LIBOR

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Negam COFI

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Negam COFI

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0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81453830

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81454990

465061

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81456951

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81459359

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81467144

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81468128

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81470696

360000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81471440

380000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81479834

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81489723

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81490699

188500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81499428

369000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81504413

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81523759

110990

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81528788

290000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81532100

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81545126

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81553183

323630

Negam COFI

0.65

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81555415

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81556647

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81557375

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81559479

376862

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81563936

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81568697

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81568865

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81575321

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81576738

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81580978

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81581066

630000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81581122

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81587867

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81591715

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81592116

435000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81592828

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81599924

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81600045

0

Negam LIBOR

0.5

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81606917

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81607981

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81612350

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81622351

169000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81624584

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81631512

450000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81633297

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81638657

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81650099

485900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81660668

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81664813

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81666429

195000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81670085

275000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81670613

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81673750

255000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81675286

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81678054

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81680287

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81686295

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81690464

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81695592

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81701825

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81705138

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81705754

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81706298

159830

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81706362

426000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81709778

159830

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81722604

220000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

81725492

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

81935927

280000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

82208357

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

82478655

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

82478663

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

82478671

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

82478679

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

82984339

139900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83220340

170000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83236204

933438

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83453711

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83513519

1269580

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83573734

970000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

83610540

189900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83722837

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

83818341

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

83831442

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83897371

227935

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

83921677

469900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84029189

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84158374

390903

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84395410

71000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84396234

201000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84481046

869263

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84496081

492446

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84640159

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

84873503

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85125490

123400

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

85432129

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85494272

329650

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85624641

653000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85679984

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85726197

433725

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85748856

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85770555

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85834742

343000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85885817

262682

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

85917853

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86087828

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86284296

143400

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86298517

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86298653

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86299029

328000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

86312422

321361

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86441625

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86486336

575780

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86652810

965000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86653570

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86654402

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86877726

175400

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

86910659

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

86930645

360000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87115590

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87125975

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87154363

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87166273

251920

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87198003

85000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87202668

150000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87203084

65000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87278861

153400

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

87278869

175400

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

87332902

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

87370392

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87418040

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87418048

725900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87494984

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87520080

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87550035

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87665366

219035

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

87677654

305489

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

87703696

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87707453

543000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87722114

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87726428

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87745189

1059805

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87760749

335000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87799116

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87801427

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87866516

164473

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

87866524

142613

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

87882556

229200

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

87974304

323909

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88015621

695000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88019701

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88025142

324183

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88025790

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88044520

156000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88070444

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88129957

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88130573

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88158823

520000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88216071

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88286221

420000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88289898

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88290826

777400

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88302199

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88354527

101000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88361312

503990

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88364759

254865

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88373315

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88379412

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88419987

395000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88439309

251500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88458760

375000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88464017

679900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88468577

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88486545

141900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88539120

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88611896

300000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88623218

230990

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88635703

238152

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88670425

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88672090

239644

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88672147

585000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88674259

165000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88681056

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88691548

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88704292

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88717573

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88768517

387922

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88802037

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88803613

480000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88803765

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

88823082

177900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88873187

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88877491

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88881300

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88881868

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

88978999

214900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89005679

197900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89005719

185900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89005759

204900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89005807

164900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89005823

154900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89008026

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89026750

582190

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89058528

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89078313

800000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89083562

179900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89084423

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89097547

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89132766

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89163401

144900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89163409

211900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

8918678

0

Negam LIBOR

0

GMAC

PMC

2

DEUTSCHEBANK

YES

8918967

580000

Negam LIBOR

0

GMAC

PMC

2

DEUTSCHEBANK

YES

8919158

0

Negam LIBOR

0

GMAC

PMC

2

DEUTSCHEBANK

YES

8919160

0

Negam LIBOR

0

GMAC

PMC

2

DEUTSCHEBANK

YES

89193963

179900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89201657

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89202794

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89216359

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89224644

224900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89238243

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89246379

553356

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89246395

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89247253

540000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89249194

379900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89273935

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89290005

443888

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89313839

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89321336

150000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89326712

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89328857

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89358704

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89363283

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89366331

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89366875

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89366891

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89382184

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89395703

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89423811

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89424278

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89430812

149700

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89430828

135900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89441297

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89444392

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89449683

199000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89460278

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89502250

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89510143

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89516412

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89540395

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89548382

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89575132

464439

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89580465

220000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89583882

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89587186

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89589290

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89607335

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89621423

649900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89677869

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89702077

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89707245

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89719989

263490

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89727183

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89737052

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89737485

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89745170

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89754999

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89758360

201900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89758880

325000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89759448

235000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89760104

240000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89765591

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89781567

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89795180

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89808944

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89834746

333618

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89841710

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89844231

174000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89857648

230990

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89860777

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89863234

723987

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89865039

615900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89874113

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89876792

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89876904

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89878206

65000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89888434

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89889459

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89892577

117900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89985825

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

89987585

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

89990433

192813

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

9000007488

457500

Negam LIBOR

0

GMAC

VIRTUALBANK

2

DEUTSCHEBANK

YES

9000007490

650000

Negam LIBOR

0

GMAC

VIRTUALBANK

2

DEUTSCHEBANK

YES

9000007491

603000

Negam LIBOR

0

GMAC

VIRTUALBANK

2

DEUTSCHEBANK

YES

9000007574

0

Negam LIBOR

0

GMAC

VIRTUALBANK

2

DEUTSCHEBANK

YES

9000007732

0

Negam LIBOR

0

GMAC

VIRTUALBANK

2

DEUTSCHEBANK

YES

9000007775

0

Negam LIBOR

0

GMAC

VIRTUALBANK

2

DEUTSCHEBANK

YES

9000007845

719000

Negam LIBOR

0

GMAC

VIRTUALBANK

2

DEUTSCHEBANK

YES

90002673

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90002721

372000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90013197

421711

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90013277

235000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90014243

765000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90020904

532037

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90022800

210000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90034724

194950

Negam LIBOR

0.8

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90035831

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90040526

214900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90040534

202900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90043022

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90051173

0

Negam COFI

1.11

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90051909

434240

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90052701

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90055149

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90066743

590000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90090489

399000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90100334

345000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90100939

384000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90129926

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90133723

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90146269

165000

Negam COFI

0.8

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90147076

450700

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90177661

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90180466

145000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90188651

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90189195

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90194072

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90198924

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90206421

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90206669

185000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90218495

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90218631

320000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90218935

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90256038

1140000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90258331

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90259262

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90275858

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90296374

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90302930

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90315460

118000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90317272

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90318423

127400

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90319969

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90320219

635000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90320743

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90321597

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90338451

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90342347

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90343987

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90362706

195000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90385807

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90394542

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90394750

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90395200

825000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90396094

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90396174

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90406647

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90414695

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90414951

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90415575

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90424464

182500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90426001

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90428898

279000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90428922

249900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90429912

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90450515

176330

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90454202

640000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90457089

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90493255

237500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90494117

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90494601

156079

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90494649

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90508398

0

Negam COFI

0.79

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90511974

325000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90512582

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90519135

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90523568

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

90526341

149500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90548809

385000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90550600

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

90551180

310000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

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Negam COFI

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Negam LIBOR

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Negam LIBOR

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Negam COFI

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Negam LIBOR

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Negam COFI

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Negam COFI

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Negam LIBOR

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Negam LIBOR

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Negam LIBOR

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Negam LIBOR

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Negam COFI

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Negam LIBOR

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COUNTRYWIDE

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Negam COFI

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BONY

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Negam LIBOR

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COUNTRYWIDE

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Negam COFI

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Negam LIBOR

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Negam LIBOR

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BONY

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Negam LIBOR

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Negam LIBOR

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BONY

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Negam LIBOR

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Negam LIBOR

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Negam LIBOR

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Negam LIBOR

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Negam LIBOR

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

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COUNTRYWIDE

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1

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

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Negam COFI

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COUNTRYWIDE

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BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam COFI

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COUNTRYWIDE

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BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

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BONY

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Negam LIBOR

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COUNTRYWIDE

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BONY

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Negam COFI

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COUNTRYWIDE

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BONY

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91321604

229000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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349000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91371658

445000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91372154

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

0.46

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91402022

199000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91404726

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91409151

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0.75

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91443806

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91445798

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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0

Negam COFI

0.29

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91452695

455024

Negam COFI

0.81

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91458471

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91460896

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Negam COFI

0.71

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91465152

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Negam LIBOR

0.61

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91470449

292600

Negam LIBOR

0.65

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91470777

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91477186

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91477402

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91480674

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91481506

338000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91485427

597500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91486723

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Negam LIBOR

0.71

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91487091

160400

Negam LIBOR

0.88

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91487899

0

Negam LIBOR

0.71

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91488075

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91488219

88000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91492692

215000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91498700

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91515983

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91516567

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Negam LIBOR

1.11

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91516743

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91520095

195000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91520551

365000

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91524848

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91526008

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91529160

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91540674

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91548683

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91553339

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91553507

279000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91558172

665000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91561740

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91567205

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91567421

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91567973

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91572150

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91572334

0

Negam LIBOR

0.73

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91573502

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91574054

435000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91574910

289000

Negam COFI

0.61

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91575046

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91577718

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91580463

211000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91583415

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91594984

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91595040

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91595697

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91596201

233000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91597961

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91598737

605000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91601393

375000

Negam COFI

1.125

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91602161

155000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91602889

345000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91607386

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91607434

510000

Negam LIBOR

1.03

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91608346

348000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91609090

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91609226

195000

Negam LIBOR

0.78

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91610154

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91615371

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91615707

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91615915

0

Negam LIBOR

0.46

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91621956

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91622540

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91622716

310000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91626644

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91629661

0

Negam COFI

0.91

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91636182

800000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91644207

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91650911

272100

Negam COFI

0.88

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91657072

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91661849

1185000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91663361

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91664273

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91666601

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91667026

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91668186

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91673746

336000

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91675219

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91679779

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91682211

190600

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91682523

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91686924

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91687700

2250000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91689300

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91691229

399950

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91694357

360000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91694701

405000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91697533

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91698821

160000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91699902

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91704278

530000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91705470

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91708927

315000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91709415

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91709631

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91713079

397000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91718832

275000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91719904

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91731274

217000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91734034

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91738218

250000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91743123

260000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91746187

215000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91749060

379000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91750924

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91754604

320000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91758965

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91763150

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91766190

320000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91773183

440000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91774927

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91777903

372500

Negam LIBOR

0.89

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91784848

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91785688

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91785880

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91787513

340000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91790681

545000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91792441

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91793257

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91795642

264700

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91798538

460000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91805027

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91811516

379000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91817892

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91819621

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91820941

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91837351

355000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91840847

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91843552

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91843840

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91845480

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91845640

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91853417

423000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91854761

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91856305

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91859458

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91859786

220000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91863690

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91872571

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91872755

210462

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91877884

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91879876

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91883453

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91883901

267697

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91884485

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91885893

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91887677

371000

Negam LIBOR

0.78

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91892142

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91892606

526403

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91892726

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91892998

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91895702

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91899999

690000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91901783

225000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91904223

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91907512

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91907528

430000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91908376

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91919321

325000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91921001

192900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91921761

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91921921

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91922241

380000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91922313

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91926226

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91927026

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91928786

480000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91938444

0

Negam LIBOR

1.1

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91941804

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91947013

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91951165

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91952037

865000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91955486

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91956838

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91957734

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91961366

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91962687

284500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91965215

0

Negam LIBOR

0.5

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91968295

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91969807

410000

Negam COFI

0.51

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91970616

290400

Negam LIBOR

0.67

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91971952

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91972208

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91972232

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91972752

940000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91974368

445000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91977968

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91978008

517500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91980073

0

Negam LIBOR

0.57

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91981313

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91989010

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91991362

153000

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91992034

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91992098

158900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

91993210

315000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

91993978

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92001147

230000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92001435

168000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92002740

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92002748

200000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92003484

1350000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92005284

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92008820

365000

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92012677

599950

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92013005

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92013685

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92015989

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92016045

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92021182

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92021278

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92021766

682000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92024646

590000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92027159

238000

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92029111

187000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92029319

366000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92031207

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92031311

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92033047

271315

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92036032

410000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92036272

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92041088

798816

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92041496

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92043185

305000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92043529

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92043937

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92044097

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92044425

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92049313

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92050298

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92050666

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92054570

200000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92054618

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92056834

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92058419

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92060747

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92062331

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92062563

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92062579

879900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92063699

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92067772

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92072732

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92073788

145900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92074549

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92076077

339000

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92076229

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92076461

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92076733

315000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92076781

208900

Negam LIBOR

0.78

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92082422

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92082494

127900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92082542

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92084238

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92085198

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92085862

322000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92091815

200000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92092807

445000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92097519

476395

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92097551

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92098111

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92100016

155000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92100384

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92100936

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92102176

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92102624

340000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92103160

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92105328

210000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92105600

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92105624

210000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92108985

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92119098

838000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92119842

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92120250

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92120482

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92120882

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92123667

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92125339

335000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92126971

610000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92129115

502000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92129707

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92130468

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92130580

369000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92134644

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92136700

420000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92139893

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92140653

0

Negam LIBOR

0.61

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92140693

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92141077

740000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92141293

0

Negam LIBOR

1.08

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92144693

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92146334

163000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92146630

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92146870

240000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92148142

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92152654

600000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92153054

399000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92157407

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92162424

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92164376

745000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92164552

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92165160

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92167168

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92168496

336600

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92168648

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92173521

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92174033

377500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92177089

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92177609

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92178114

800000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92184618

0

Negam LIBOR

0.73

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92185314

288000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92186347

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92187467

1210000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92191595

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92195124

170000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92195140

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92197804

375500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92197988

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92200212

0

Negam COFI

1.1

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92200492

272781

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92202613

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92202709

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92204709

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92205349

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92205477

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92205517

635000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92205597

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92207381

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92210198

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92218439

487716

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92219567

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92220287

1163000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92222823

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92225111

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92226736

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92231816

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92232528

275000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92234505

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92236081

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92237457

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92244930

140000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92245538

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92247890

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92251171

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92253795

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92255019

365000

Negam LIBOR

0.8

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92262140

269900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92266421

342500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92266493

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92267349

235000

Negam COFI

0.89

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92268413

475338

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92269165

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92270085

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92273037

180000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92274118

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92274430

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92274590

351790

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92289375

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92293200

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92295032

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92296432

249000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92297008

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92298809

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92301777

689900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92304457

206900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92305754

175000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92305842

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92306058

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92310866

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92310906

0

Negam LIBOR

0.33

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92313610

347000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92314971

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92315651

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92316627

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92316955

0

Negam LIBOR

0.77

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92317891

134000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92318307

216190

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92318955

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92323764

675270

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92323884

1022456

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92324476

275000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92328364

483842

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92331989

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92332109

449900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92333133

69400

Negam LIBOR

1.29

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92338302

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92345054

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92345286

378000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92346623

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92348423

390000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92349311

666490

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92349407

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92351775

0

Negam LIBOR

0.33

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92354448

175000

Negam LIBOR

0.95

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92357072

386768

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92357216

317000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92357736

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92358256

224000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92359024

343000

Negam LIBOR

0.89

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92368161

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92369874

0

Negam COFI

0.91

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92375298

340000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92375426

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92379803

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92381987

457000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92383579

400000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92383723

327900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92383923

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92384707

195000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92385027

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92385131

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92385419

820000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92385900

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92387532

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92388660

130000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92389884

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92390164

335000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92397573

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92399053

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92399165

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92399957

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92400445

234000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92403126

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92404270

305000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92405350

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92408094

0

Negam COFI

0.91

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92413343

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92413543

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92413671

0

Negam COFI

0.61

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92415399

0

Negam COFI

0.61

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92415511

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92416391

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92418848

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92422416

235000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92423000

0

Negam LIBOR

1.11

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92428233

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92430137

225000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92430257

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92432865

159900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92432897

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92434026

135000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92434194

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92435298

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92436106

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92441939

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92443499

140000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92443747

280000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92444491

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92445035

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92449516

465000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92449684

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92452876

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92456428

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92459381

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92459525

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92459845

760100

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92463693

710000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92463989

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92467822

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92468526

789890

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92470726

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92472494

1350000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92472718

195000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92473110

477199

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92477223

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92477367

658000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92477407

227000

Negam LIBOR

0.89

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92479679

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92481095

145000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92485112

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92487304

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92491065

127400

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92493633

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92494337

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92499074

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92500794

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92501234

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92503570

241500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92503858

1801000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92504050

179800

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92507763

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92512419

247000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92514292

217840

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92516460

234000

Negam COFI

1.16

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92521028

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92525733

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92533686

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92533846

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92537599

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92539151

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92544087

73000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92545768

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92549488

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92549720

365000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92551232

263142

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92554081

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92556681

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92556913

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92557001

185000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92557737

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92558321

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92563210

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92566018

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92567042

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92569419

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92570139

224900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92570179

155500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92572979

198475

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92573347

157900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92573531

427000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92584036

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92586189

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92588461

355000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92590157

219900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92595006

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92597070

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92601223

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92601231

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92604143

569000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92604167

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92606023

147900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92606199

550000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92606735

334750

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92611824

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92618409

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92625057

325000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92625170

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92626706

315000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92627586

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92631138

211523

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92631146

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92641708

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92642028

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92643076

109000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92643508

621000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92656485

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92656597

620000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92658006

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92662414

606173

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92664102

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92664846

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92665046

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92668711

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92669295

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92674280

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92675616

493000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92675688

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92677696

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92685753

561465

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92687081

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92692834

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92693130

525000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92695226

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92695322

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92700403

0

Negam LIBOR

1.44

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92702779

395000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92706444

500000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92706828

627255

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92707532

173000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92708532

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92710108

167000

Negam LIBOR

0.89

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92726206

336900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92729543

261990

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92734535

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92737992

165000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92738256

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92738384

650553

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92741304

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92741840

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92742088

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92744360

336000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92747385

400105

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92747825

385000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92751561

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92754482

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92757474

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92761235

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92765267

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92772220

662835

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92777717

355000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92778677

555000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92779957

749000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92780133

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92782365

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92796815

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92797511

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92799279

350000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92800856

345000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92809145

0

Negam LIBOR

0.62

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92813697

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92819402

225000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92821146

389000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92837820

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92840564

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92841869

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92842461

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92846493

211000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92846965

147000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92858463

190000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92860543

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92871440

0

Negam LIBOR

1.08

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92891595

0

Negam COFI

0.64

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92893291

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92908557

390000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92913606

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92928039

125000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92939241

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92953443

331955

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92957355

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

92962860

380000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

92968004

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93005505

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93020939

85000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93026372

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93027356

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93035237

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93050319

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93057072

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93066057

739000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93075546

233000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93081627

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93100853

500000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93110926

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93112471

325000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93193457

525000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93286724

372000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93289133

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93310351

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

9335697

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

93359966

278000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

93366686

340000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

9371331

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

9475303

385000

Negam LIBOR

0.78

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94830816

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94830872

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94835863

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94838559

320890

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94848177

409229

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

94849801

500000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94871688

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94871704

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94872722

257000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94885433

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

94887969

1395000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94906918

145000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94909072

865000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94926237

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94926664

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94927687

265000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94927711

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94929148

545325

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94930551

502500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94945021

374900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

94945158

600000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94962820

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94986965

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94988140

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

94998761

0

Negam LIBOR

0.6

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95001846

200000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95014614

94500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95015774

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95022018

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95022114

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95024524

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95030593

695000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95030625

695000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95035478

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95037596

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95041161

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95042089

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95044881

514500

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95053242

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95053498

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95055771

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95056667

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95062948

515574

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95063140

75000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95065404

302736

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95065612

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95070117

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95077277

527500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95077501

192000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95078542

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95079174

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95081862

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95081982

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95085198

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95089515

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95090579

180200

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

95095136

207900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95103949

640000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95108358

412900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95108447

439900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95129877

174900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95131755

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95137501

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95141483

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95159782

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

95160366

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

9577729

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96191555

243000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96197078

132900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96197256

217500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96197513

443756

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96197537

487580

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96202931

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96205491

259000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96206392

855575

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96207584

184000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96207632

300000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96210258

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96213307

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96218277

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96223693

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96224525

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96234999

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96235551

119000

Negam COFI

0.65

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96238311

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96248747

77100

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96249102

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96249574

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96249654

249990

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96254588

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96264176

460000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96265449

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96271651

182900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96271683

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96272886

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96279209

245000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96310142

275000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96310246

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96310270

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96315189

580000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96319217

90000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96319676

230000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96319684

410000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96323392

109000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96324573

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96347795

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96352029

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96355156

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96399609

790000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96405186

252000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96411314

600000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96411491

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96417241

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96423856

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96433694

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96436859

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96450463

189900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96450511

181400

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96459539

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96474814

520000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96475112

136000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96479216

260000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96479240

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96479555

680000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96479659

325000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96482232

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96482288

1695000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96482466

213900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96482482

179500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96484944

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96487545

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96487585

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96494006

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96494159

295000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96514065

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96514252

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96518269

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96524849

108535

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96533402

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96534274

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96539979

321300

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96545852

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96550220

139900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96552381

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96560142

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96567326

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96578896

240975

Negam COFI

0.65

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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230000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96600395

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96601307

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96604243

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96611377

155000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96611393

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96614851

195000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96629665

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96647540

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96651804

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96651916

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96660611

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96688071

475000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96689204

359000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96694133

588000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96694573

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96695750

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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170838

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96700090

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96700130

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96705682

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96713550

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96730692

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96739802

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Negam COFI

0.79

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96772188

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96775157

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Negam COFI

0.77

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96785921

280000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96795807

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96797096

375250

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96797137

1600000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96797483

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96806708

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96807580

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96807676

350000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96810843

600000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96816226

845000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96816677

270000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96816805

182600

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96882992

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96887443

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96905151

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96920942

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96926296

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96927703

759900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96930906

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96930970

520000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96935042

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96954702

128690

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96955767

327900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96956704

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

96957011

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96976832

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96987478

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

96999192

335000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97025157

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97030737

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97031277

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97032726

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97039571

450000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97041562

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97041754

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97064172

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97106021

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97122378

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97122466

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97131469

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97135006

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97142247

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97149816

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97152208

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97152624

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Negam COFI

0.88

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97155008

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97161377

347500

Negam LIBOR

0.8

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97176099

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Negam COFI

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COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97177131

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97179875

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Negam LIBOR

0.83

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97185228

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97191301

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97194781

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97195621

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97203070

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97203654

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97225321

134600

Negam COFI

0.78

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97226781

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97228756

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97248965

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97249959

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97250442

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97250611

562900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97255463

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97255719

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97262019

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97264075

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97279271

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97280334

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97283374

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97283438

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97288161

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97300839

779900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97306051

807000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97306067

235000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97307766

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97307991

108000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97310064

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97324229

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97324237

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97324496

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97351142

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Negam COFI

0.65

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97351294

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Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97363896

359900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97383450

307000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97386398

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97386728

228677

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97386736

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97386808

720000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97393774

125000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97395808

400000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97402134

119900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97405210

410000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97408057

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97410968

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97415397

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97415405

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97426622

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97426662

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97427226

189900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97437723

375000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97446124

399000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97452321

875000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97474267

383500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97481488

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97481625

550000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97481802

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97481851

389448

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97481867

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97487441

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97487554

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97487626

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97491716

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97499881

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97500897

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

97505864

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97517505

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97517851

475000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97520489

2050000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97523440

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97528325

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97528333

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97528373

727500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97539833

440000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97547561

598500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97547641

310000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97549569

670000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97552793

368000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97552817

260000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97553413

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97555618

1045000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97569739

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97577973

202900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97578005

530000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97583611

0

Negam LIBOR

0

COUNTRYWIDE

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2

BONY

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COUNTRYWIDE

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BONY

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97651824

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COUNTRYWIDE

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BONY

NO

97669615

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0

COUNTRYWIDE

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BONY

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97672444

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COUNTRYWIDE

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BONY

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97682720

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COUNTRYWIDE

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97695313

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COUNTRYWIDE

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BONY

NO

97696307

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97696347

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97700244

585000

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COUNTRYWIDE

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2

BONY

NO

97701872

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COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

97712758

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Negam LIBOR

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COUNTRYWIDE

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BONY

NO

97713587

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

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BONY

NO

97744625

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97753086

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97753102

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COUNTRYWIDE

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BONY

NO

97753255

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Negam LIBOR

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COUNTRYWIDE

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BONY

NO

97753263

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BONY

NO

97753311

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Negam LIBOR

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COUNTRYWIDE

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BONY

NO

97754374

746731

Negam LIBOR

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COUNTRYWIDE

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2

BONY

NO

97765547

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Negam COFI

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BONY

NO

97768676

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BONY

NO

97818601

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BONY

NO

97823221

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BONY

NO

97824842

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BONY

NO

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BONY

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BONY

NO

97835499

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BONY

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97838411

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BONY

NO

97846023

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Negam COFI

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BONY

NO

97846239

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COUNTRYWIDE

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BONY

NO

97847063

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COUNTRYWIDE

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BONY

NO

97850372

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BONY

NO

97851462

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BONY

NO

97851478

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Negam LIBOR

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COUNTRYWIDE

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BONY

NO

97853630

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Negam COFI

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COUNTRYWIDE

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BONY

NO

97854323

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COUNTRYWIDE

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BONY

NO

97854324

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COUNTRYWIDE

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BONY

NO

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2

BONY

NO

97932683

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

97932771

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COUNTRYWIDE

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2

BONY

NO

97934505

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Negam LIBOR

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COUNTRYWIDE

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2

BONY

NO

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2

BONY

NO

97934554

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2

BONY

NO

97934602

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2

BONY

NO

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BONY

NO

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BONY

NO

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Negam LIBOR

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BONY

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BONY

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97947130

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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Negam LIBOR

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BONY

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BONY

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BONY

NO

98013462

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Negam LIBOR

0

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BONY

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Negam COFI

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BONY

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98024640

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BONY

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98029516

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Negam LIBOR

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98034004

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Negam COFI

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98035762

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BONY

NO

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BONY

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98050625

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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Negam LIBOR

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Negam LIBOR

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BONY

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BONY

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Negam LIBOR

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BONY

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BONY

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Negam LIBOR

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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BONY

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Negam COFI

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BONY

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BONY

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Negam LIBOR

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Negam LIBOR

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Negam COFI

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Negam COFI

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Negam LIBOR

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BONY

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Negam COFI

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BONY

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98777238

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Negam LIBOR

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COUNTRYWIDE

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BONY

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98778054

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BONY

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BONY

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Negam LIBOR

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COUNTRYWIDE

COUNTRYWIDE

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BONY

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Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

98842855

138400

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

98846209

182500

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

98852050

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

98852090

44000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

98930266

359900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

98943717

225000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

98955712

88000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

98958784

243019

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

98958792

337014

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99031971

154000

Negam LIBOR

1.19

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99045940

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99082933

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99129382

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99130802

191000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99137660

2050000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99144333

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99146791

162900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99150314

278000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99293562

795000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99309106

137900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99330565

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99344558

124900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99377251

133000

Negam COFI

0.41

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99455324

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99463534

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99513156

550000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99543381

208000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99563607

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99601595

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99602909

319900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99618211

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99625259

142900

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99646562

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99646770

190400

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99647656

0

Negam COFI

0.73

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99647688

45000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99667511

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99670057

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99693311

360900

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99693335

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99693520

480000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99694028

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99694060

173000

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99738800

1352674

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99793151

515000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99815923

430000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99823584

262000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99824123

385000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99824204

0

Negam LIBOR

0.73

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99846032

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99862088

885000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99889456

0

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99902792

662898

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99913257

790000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99914612

430000

Negam LIBOR

0

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO

99916837

0

Negam COFI

0

COUNTRYWIDE

COUNTRYWIDE

1

BONY

NO

99969115

0

Negam LIBOR

0.57

COUNTRYWIDE

COUNTRYWIDE

2

BONY

NO






SCHEDULE II

[RESERVED]










SCHEDULE III

YIELD MAINTENANCE PAYMENTS


Class 2-A1, Class 2-A1A and Class 2-AB Certificates

Distribution Date

Yield Maintenance Notional Balance ($)

Strike Rate (%)

August 2005

458,791,840.19

8.64210

September 2005

449,105,051.04

9.29225

October 2005

439,874,056.15

9.60205

November 2005

430,824,614.54

9.29237

December 2005

421,953,002.08

9.60218

January 2006

413,255,573.86

9.29250

February 2006

404,728,762.51

9.29256

March 2006

396,369,076.48

10.28826

April 2006

388,168,735.45

9.29269

May 2006

380,112,579.94

9.60251

June 2006

372,175,861.92

9.29281

July 2006

364,381,209.15

9.60264

August 2006

356,687,584.02

9.29278

September 2006

349,146,336.64

9.29267

October 2006

341,754,322.21

9.60233

November 2006

334,508,463.17

9.29247

December 2006

327,405,747.76

9.60212

January 2007

320,443,228.56

9.29227

February 2007

313,618,021.06

9.29217

March 2007

306,927,302.29

10.28765

April 2007

300,364,791.84

9.29197

May 2007

293,918,260.27

9.60161

June 2007

287,567,828.37

9.29178

July 2007

281,332,069.06

9.60140

August 2007

275,199,443.48

9.29159

September 2007

269,188,539.64

9.29149

October 2007

263,296,840.57

9.60111

November 2007

257,521,883.22

9.29130

December 2007

251,093,803.53

9.60091

January 2008

244,141,869.22

9.29117

February 2008

237,355,991.32

9.29113

March 2008

230,732,231.14

9.93186

April 2008

224,153,604.88

9.29110

May 2008

217,734,044.74

9.60082

June 2008

211,469,751.19

9.29112

July 2008

205,845,964.99

9.60084

August 2008

200,846,591.15

9.29114

September 2008

195,967,561.12

9.29115

October 2008

191,205,994.35

9.60087

November 2008

186,559,078.96

9.29117

December 2008

182,024,070.15

9.60089

January 2009

177,598,288.59

9.29119

February 2009

173,279,118.84

9.29120

March 2009

169,064,007.89

10.2867

April 2009

164,950,463.60

9.29123

May 2009

160,936,053.30

9.60094

June 2009

157,018,402.37

9.29125

July 2009

153,195,192.84

9.60097

August 2009

149,464,162.06

9.29127

September 2009

145,823,101.36

9.29128

October 2009

142,269,854.79

9.60100

November 2009

138,802,317.87

9.29130

December 2009

135,418,436.32

9.60103

January 2010

132,116,204.92

9.29133

February 2010

128,893,666.30

9.29134

March 2010

125,748,909.83

10.28685

April 2010

122,680,070.48

9.29136

May 2010

119,685,327.78

9.60109

June 2010

116,762,904.70

9.29139

July 2010

113,911,066.64

9.60111

August 2010

111,128,120.46

9.29141

September 2010

108,412,413.41

9.29142

October 2010

105,762,332.24

9.60115

November 2010

103,176,302.24

9.29145

December 2010

100,652,786.31

9.60118

January 2011

98,190,284.05

9.29148

February 2011

95,787,330.93

9.29149

March 2011

93,442,497.40

10.28702

April 2011

91,154,388.08

9.29152

May 2011

88,921,640.92

9.60125

June 2011

86,742,926.42

9.29154

July 2011

84,616,946.87

9.60127

August 2011

82,542,435.57

9.29157

September 2011

80,518,156.08

9.29158

October 2011

78,542,901.55

9.60132

November 2011

76,615,493.95

9.29161

December 2011

74,734,783.44

9.60135

January 2012

72,899,647.67

9.29164

February 2012

71,108,991.11

9.29166

March 2012

69,361,744.44

9.93248

April 2012

67,656,863.93

9.29169

May 2012

65,993,330.79

9.60142

June 2012

64,370,150.61

9.29172

July 2012

62,786,352.77

9.60146

August 2012

61,240,989.87

9.29175

September 2012

59,733,137.18

9.29176

October 2012

58,261,892.09

9.60151

November 2012

56,826,373.60

9.2918

December 2012

55,425,721.79

9.60154

January 2013

54,059,097.32

9.29183

February 2013

52,725,680.95

9.29184

March 2013

51,424,673.04

10.28742

April 2013

50,155,293.09

9.29188

May 2013

48,916,779.31

9.60162

June 2013

47,708,388.13

9.29191

July 2013

46,529,393.79

9.60166

August 2013

45,379,087.94

9.29195

September 2013

44,256,779.14

9.29196

October 2013

43,161,792.58

9.60172

November 2013 and thereafter

0.00

0.00000