EX-99.1 2 ex99_1.htm certstmt_10dccmt15gc291903.htm - Generated by SEC Publisher for SEC Filing
Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29

 

CONTACT INFORMATION  
Depositor Citigroup Commercial Mortgage Securities Inc.
Master Servicer Midland Loan Services,
Special Servicer Midland Loan Services,
Trustee Deutsche Bank Trust Company Americas
Certificate Administrator Citibank, N.A.
Operating Advisor Situs Holdings, LLC

 

CONTENTS  
Distribution Summary - Active Certificates 2
Distribution Summary (Factors) 3
Interest Distribution Detail 4
Principal Distribution Detail 5
Reconciliation Detail 6
Other Information 7
Stratification Detail 8
Mortgage Loan Detail 11
Delinquency Loan Detail 15
Appraisal Reduction Detail 17
Loan Modification Detail 19
Specially Serviced Loan Detail 21
Unscheduled Principal Detail 23
Liquidated Loan Detail 25
CREFC Legends 27

 

Deal Contact: John Hannon Citibank, N.A.
  john.hannon@citi.com Agency and Trust
  Tel: (212) 816-5693 388 Greenwich Street, 14th Floor
  Fax: (877) 282-6151 New York, NY 10013

 

Reports Available at sf.citidirect.com Page 1 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Distribution Summary - Active Certificates
DISTRIBUTION IN DOLLARS  

 

      Prior   Pass-   Accrual                                   Current
  Original   Principal   Through   Day Count   Accrual   Interest   Principal   PPP and YM     Total   Deferred   Realized     Principal
Class Balance   Balance   Rate   Fraction   Dates   Distributed   Distributed   Distributed     Distributed   Interest   Loss     Balance
(1) (2 ) (3 ) (4 ) (5 ) (6 ) (7 ) (8 ) (9 ) (10)= (7 +8+9) (11 ) (12 ) (13)= (3-8+11-12)
 
Class A-1 29,302,000.00   0.00   1.450000 % -   -   0.00   0.00   0.00     0.00   0.00   0.00     0.00
Class A-2 146,427,000.00   137,930,674.58   2.674000 % 30/360   02/01 - 02/28   307,355.52   842,463.85   0.00     1,149,819.37   0.00   0.00     137,088,210.73
Class A-3 220,000,000.00   220,000,000.00   2.935000 % 30/360   02/01 - 02/28   538,083.33   0.00   0.00     538,083.33   0.00   0.00     220,000,000.00
Class A-4 334,415,000.00   334,415,000.00   3.192000 % 30/360   02/01 - 02/28   889,543.90   0.00   0.00     889,543.90   0.00   0.00     334,415,000.00
Class A-AB 52,822,000.00   52,822,000.00   2.984000 % 30/360   02/01 - 02/28   131,350.71   0.00   0.00     131,350.71   0.00   0.00     52,822,000.00
Class A-S 55,926,000.00   55,926,000.00   3.457000 % 30/360   02/01 - 02/28   161,113.48   0.00   0.00     161,113.48   0.00   0.00     55,926,000.00
Class B 72,704,000.00   72,704,000.00   3.758000 % 30/360   02/01 - 02/28   227,684.69   0.00   0.00     227,684.69   0.00   0.00     72,704,000.00
Class C 51,732,000.00   51,732,000.00   4.142790 % 30/360   02/01 - 02/28   178,595.70   0.00   0.00     178,595.70   0.00   0.00     51,732,000.00
Class D 65,713,000.00   65,713,000.00   3.110000 % 30/360   02/01 - 02/28   170,306.19   0.00   0.00     170,306.19   0.00   0.00     65,713,000.00
Class E 23,769,000.00   23,769,000.00   4.142790 % 30/360   02/01 - 02/28   82,058.32   0.00   0.00     82,058.32   0.00   0.00     23,769,000.00
Class F 11,185,000.00   11,185,000.00   4.142790 % 30/360   02/01 - 02/28   38,614.26   0.00   0.00     38,614.26   0.00   0.00     11,185,000.00
Class G 15,380,000.00   15,380,000.00   4.142790 % 30/360   02/01 - 02/28   53,096.76   0.00   0.00     53,096.76   0.00   0.00     15,380,000.00
Class H 39,148,505.00   39,148,505.00   4.142790 % 30/360   02/01 - 02/28   113,296.24   0.00   0.00     113,296.24   0.00   0.00     39,148,505.00
Class R 0.00   0.00   0.000000 % -   -   0.00   0.00   0.00     0.00   0.00   0.00     0.00
Class S 0.00   0.00   0.000000 % -   -   0.00   0.00   0.00     0.00   0.00   0.00     0.00
Totals 1,118,523,505.00   1,080,725,179.58               2,891,099.10   842,463.85   0.00     3,733,562.95   0.00   0.00     1,079,882,715.73
Notional Classes                                                
Class X-A 838,892,000.00   801,093,674.58   1.105772 % 30/360   02/01 - 02/28   738,189.04   0.00   0.00     738,189.04   0.00   0.00     800,251,210.73
Class X-B 72,704,000.00   72,704,000.00   0.384790 % 30/360   02/01 - 02/28   23,313.17   0.00   0.00     23,313.17   0.00   0.00     72,704,000.00
Class X-D 65,713,000.00   65,713,000.00   1.032790 % 30/360   02/01 - 02/28   56,556.46   0.00   0.00     56,556.46   0.00   0.00     65,713,000.00
Totals 977,309,000.00   939,510,674.58               818,058.67   0.00   0.00     818,058.67   0.00   0.00     938,668,210.73
Non-Active Exchangeable Certificates                                            
Class PEZ 180,362,000.00   180,362,000.00   0.000000 % 30/360   02/01 - 02/28   0.00   0.00   0.00     0.00   0.00   0.00     180,362,000.00

 

Reports Available at sf.citidirect.com Page 2 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Distribution Summary (Factors)
PER $1,000 OF ORIGINAL BALANCE  

 

          Prior                           Current
      Record   Principal   Interest   Principal   PPP and YM   Total   Deferred       Principal
Class CUSIP   Date   Balance   Distributed   Distributed   Distributed   Distributed   Interest   Realized Loss   Balance
        (3)/ (2) x 1000 (7)/ (2) x 1000 (8)/ (2) x 1000 (9)/ (2) x 1000 (10)/ (2) x 1000 (11)/ (2) x 1000 (12)/ (2) x 1000 (14)/ (2) x 1000
 
Class A-1 17323 VAW5 2/28/2019   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000
Class A-2 17323 VAX3 2/28/2019   941.975692   2.099036   5.753473   0.000000   7.852509   0.000000   0.000000   936.222218
Class A-3 17323 VAY1 2/28/2019   1,000.000000   2.445833   0.000000   0.000000   2.445833   0.000000   0.000000   1,000.000000
Class A-4 17323 VAZ8 2/28/2019   1,000.000000   2.660000   0.000000   0.000000   2.660000   0.000000   0.000000   1,000.000000
Class A-AB 17323 VBB0 2/28/2019   1,000.000000   2.486667   0.000000   0.000000   2.486667   0.000000   0.000000   1,000.000000
Class A-S 17323 VBC8 2/28/2019   1,000.000000   2.880833   0.000000   0.000000   2.880833   0.000000   0.000000   1,000.000000
Class B 17323 VBD6 2/28/2019   1,000.000000   3.131667   0.000000   0.000000   3.131667   0.000000   0.000000   1,000.000000
Class C 17323 VBE4 2/28/2019   1,000.000000   3.452325   0.000000   0.000000   3.452325   0.000000   0.000000   1,000.000000
Class D 17323 VAA3 2/28/2019   1,000.000000   2.591667   0.000000   0.000000   2.591667   0.000000   0.000000   1,000.000000
Class E 17323 VAC9 2/28/2019   1,000.000000   3.452325   0.000000   0.000000   3.452325   0.000000   0.000000   1,000.000000
Class F 17323 VAE5 2/28/2019   1,000.000000   3.452325   0.000000   0.000000   3.452325   0.000000   0.000000   1,000.000000
Class G 17323 VAG0 2/28/2019   1,000.000000   3.452325   0.000000   0.000000   3.452325   0.000000   0.000000   1,000.000000
Class H 17323 VAJ4 2/28/2019   1,000.000000   2.894012   0.000000   0.000000   2.894012   0.000000   0.000000   1,000.000000
Class R 17323 VAS4 2/28/2019   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000
Class S 17323 VAU9 2/28/2019   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000
Class X-A 17323 VBF1 2/28/2019   954.942561   0.879957   0.000000   0.000000   0.879957   0.000000   0.000000   953.938303
Class X-B 17323 VBG9 2/28/2019   1,000.000000   0.320659   0.000000   0.000000   0.320659   0.000000   0.000000   1,000.000000
Class X-D 17323 VAL9 2/28/2019   1,000.000000   0.860659   0.000000   0.000000   0.860659   0.000000   0.000000   1,000.000000

 

Reports Available at sf.citidirect.com Page 3 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Interest Distribution Detail
DISTRIBUTION IN DOLLARS    

 

  Prior   Pass-   Accrual Optimal   Prior   Interest on   Non-Recov.                 Current
  Principal   Through   Day Accrued   Unpaid   Prior Unpaid   Interest     Interest Deferred   Interest     Unpaid
Class Balance   Rate   Count Interest   Interest   Interest   Shortfall     Due Interest   Distributed     Interest
(1) (2 ) (3 ) Fraction (6 ) (7 ) (8 ) (9 ) (10)= (6)+(7)+(8)-(9) (11 ) (12 ) (13)= (10)-(11)-(12)
Class A-1 0.00   1.450000 % - 0.00   0.00   0.00   0.00     0.00 0.00   0.00     0.00
Class A-2 137,930,674.58   2.674000 % 30/360 307,355.52   0.00   0.00   0.00     307,355.52 0.00   307,355.52     0.00
Class A-3 220,000,000.00   2.935000 % 30/360 538,083.33   0.00   0.00   0.00     538,083.33 0.00   538,083.33     0.00
Class A-4 334,415,000.00   3.192000 % 30/360 889,543.90   0.00   0.00   0.00     889,543.90 0.00   889,543.90     0.00
Class A-AB 52,822,000.00   2.984000 % 30/360 131,350.71   0.00   0.00   0.00     131,350.71 0.00   131,350.71     0.00
Class A-S 55,926,000.00   3.457000 % 30/360 161,113.48   0.00   0.00   0.00     161,113.48 0.00   161,113.48     0.00
Class B 72,704,000.00   3.758000 % 30/360 227,684.69   0.00   0.00   0.00     227,684.69 0.00   227,684.69     0.00
Class C 51,732,000.00   4.142790 % 30/360 178,595.70   0.00   0.00   0.00     178,595.70 0.00   178,595.70     0.00
Class D 65,713,000.00   3.110000 % 30/360 170,306.19   0.00   0.00   0.00     170,306.19 0.00   170,306.19     0.00
Class E 23,769,000.00   4.142790 % 30/360 82,058.32   0.00   0.00   0.00     82,058.32 0.00   82,058.32     0.00
Class F 11,185,000.00   4.142790 % 30/360 38,614.26   0.00   0.00   0.00     38,614.26 0.00   38,614.26     0.00
Class G 15,380,000.00   4.142790 % 30/360 53,096.76   0.00   0.00   0.00     53,096.76 0.00   53,096.76     0.00
Class H 39,148,505.00   4.142790 % 30/360 135,153.38   23,838.50   82.30   0.00     159,074.18 0.00   113,296.24     45,777.94
Class R 0.00   0.000000 % - 0.00   0.00   0.00   0.00     0.00 0.00   0.00     0.00
Class S 0.00   0.000000 % - 0.00   0.00   0.00   0.00     0.00 0.00   0.00     0.00
Totals 1,080,725,179.58         2,912,956.24   23,838.50   82.30   0.00     2,936,877.04 0.00   2,891,099.10     45,777.94
Notional Classes                                          
Class X-A 801,093,674.58   1.105772 % 30/360 738,189.04   0.00   0.00   0.00     738,189.04 0.00   738,189.04     0.00
Class X-B 72,704,000.00   0.384790 % 30/360 23,313.17   0.00   0.00   0.00     23,313.17 0.00   23,313.17     0.00
Class X-D 65,713,000.00   1.032790 % 30/360 56,556.46   0.00   0.00   0.00     56,556.46 0.00   56,556.46     0.00
Totals 939,510,674.58         818,058.67   0.00   0.00   0.00     818,058.67 0.00   818,058.67     0.00

 

Reports Available at sf.citidirect.com Page 4 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Principal Distribution Detail
DISTRIBUTION IN DOLLARS  

 

      Prior   Scheduled   Unscheduled       Current   Current     Current Cumulative Original   Current   Original   Current  
  Original   Principal   Principal   Principal   Balance   Realized   Principal     Principal Realized   Class   Class   Credit   Credit  
Class Balance   Balance   Distribution   Distribution   Change   Loss   Recoveries     Balance Loss   (%)   (%)   Support Support  
(1) (2 ) (3 ) (4 ) (5 ) (6 ) (7 ) (8 ) (9)= (3)-(4)-(5)+(6)-(7)+(8) (10 ) (11 ) (12 ) (13 ) (14 )
 
Class A-1 29,302,000.00   0.00   0.00   0.00   0.00   0.00   0.00     0.00 0.00   2.62 % 0.00 % 30.00 % N/A  
Class A-2 146,427,000.00   137,930,674.58   842,463.85   0.00   0.00   0.00   0.00     137,088,210.73 0.00   13.09 % 12.69 % 30.00 % 31.07 %
Class A-3 220,000,000.00   220,000,000.00   0.00   0.00   0.00   0.00   0.00     220,000,000.00 0.00   19.67 % 20.37 % 30.00 % 31.07 %
Class A-4 334,415,000.00   334,415,000.00   0.00   0.00   0.00   0.00   0.00     334,415,000.00 0.00   29.90 % 30.97 % 30.00 % 31.07 %
Class A-AB 52,822,000.00   52,822,000.00   0.00   0.00   0.00   0.00   0.00     52,822,000.00 0.00   4.72 % 4.89 % 30.00 % 31.07 %
Class A-S 55,926,000.00   55,926,000.00   0.00   0.00   0.00   0.00   0.00     55,926,000.00 0.00   5.00 % 5.18 % 25.00 % 25.89 %
Class B 72,704,000.00   72,704,000.00   0.00   0.00   0.00   0.00   0.00     72,704,000.00 0.00   6.50 % 6.73 % 18.50 % 19.16 %
Class C 51,732,000.00   51,732,000.00   0.00   0.00   0.00   0.00   0.00     51,732,000.00 0.00   4.63 % 4.79 % 13.88 % 14.37 %
Class D 65,713,000.00   65,713,000.00   0.00   0.00   0.00   0.00   0.00     65,713,000.00 0.00   5.88 % 6.09 % 8.00 % 8.29 %
Class E 23,769,000.00   23,769,000.00   0.00   0.00   0.00   0.00   0.00     23,769,000.00 0.00   2.13 % 2.20 % 5.87 % 6.09 %
Class F 11,185,000.00   11,185,000.00   0.00   0.00   0.00   0.00   0.00     11,185,000.00 0.00   1.00 % 1.04 % 4.87 % 5.05 %
Class G 15,380,000.00   15,380,000.00   0.00   0.00   0.00   0.00   0.00     15,380,000.00 0.00   1.38 % 1.42 % 3.50 % 3.63 %
Class H 39,148,505.00   39,148,505.00   0.00   0.00   0.00   0.00   0.00     39,148,505.00 0.00   3.50 % 3.63 % 0.00 % 0.00 %
Totals 1,118,523,505.00   1,080,725,179.58   842,463.85   0.00   0.00   0.00   0.00     1,079,882,715.73 0.00   100.00 % 100.00 %        

 

Reports Available at sf.citidirect.com Page 5 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Reconciliation Detail

 

SOURCE OF FUNDS
 
Interest Funds Available    
Scheduled Interest 3,493,924.66  
Prepayment Interest Shortfall 0.00  
Interest Adjustments 0.00  
ASER Amount 340.93  
Realized Loss in Excess of Principal Balance 0.00  
Total Interest Funds Available:   3,494,265.59
Principal Funds Available    
Scheduled Principal 842,463.85  
Unscheduled Principal Collections 0.00  
Net Liquidation Proceeds 0.00  
Repurchased Principal 0.00  
Substitution Principal 0.00  
Other Principal 0.00  
Total Principal Funds Available:   842,463.85
Other Funds Available    
Yield Maintenance Charges 0.00  
Withdrawal of Withheld Amounts from the Interest Reserve Account 248,963.31  
Deposit of Withheld Amounts to the Interest Reserve Account 0.00  
Total Other Funds Available:   248,963.31
Total Funds Available   4,585,692.75

 

ALLOCATION OF FUNDS
 
Scheduled Fees    
Servicing Fee 8,132.56  
Trustee/Certificate Administrator Fee 2,185.43  
Operating Advisor Fee 1,134.76  
CREFC® Intellectual Property Royalty License Fee 420.28  
Total Scheduled Fees:   11,873.03
Additional Fees, Expenses, etc.    
Additional Servicing Fee 0.00  
Special Servicing Fee 21,915.55  
Work-out Fee 0.00  
Liquidation Fee 0.00  
Trust Fund Expenses 0.00  
Trust Advisor Expenses 0.00  
Reimbursement of Interest on Advances to the Servicer 282.55  
Borrower Reimbursable Trust Fund Expenses 0.00  
Other Expenses 0.00  
Total Additional Fees, Expenses, etc.:   22,198.10
Distributions    
Interest Distribution 3,709,157.77  
Principal Distribution 842,463.85  
Yield Maintenance Charge Distribution 0.00  
Total Distributions:   4,551,621.62
Total Funds Allocated   4,585,692.75

 

Reports Available at sf.citidirect.com Page 6 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Other Information

 

Interest Reserve Account Information    
Beginning Interest Reserve Account Balance 248,963.31  
Deposit of Withheld Amounts to the Interest Reserve Account 0.00  
Withdrawal of Withheld Amounts from the Interest Reserve Account (248,963.31 )
Ending Interest Reserve Account Balance 0.00  
 
Excess Liquidation Proceeds Reserve Account Information    
Beginning Excess Liquidation Proceeds Reserve Account Balance 0.00  
Deposit to the Excess Liquidation Proceeds Reserve Account 0.00  
Withdrawal from the Excess Liquidation Proceeds Reserve Account 0.00  
Ending Excess Liquidation Proceeds Reserve Account Balance 0.00  
 
Collateral Information    
% of Cut-Off Principal Balance Outstanding 96.545375 %
 
Controlling Class Information    
The Controlling Class is Class H.    
The Controlling Class Representative is Eightfold Real Estate Capital, L.P.    
 
There Are No Disclosable Special Servicer Fees.    

 

Reports Available at sf.citidirect.com Page 7 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Stratification Detail

 

Ending Scheduled Balance
 
Ending Sched # of Ending Sched % of Agg     Wtd Avg
Balance Loans Balance Balance WAC WAM DSCR
 
0 or Less 1 0.00 0.00 0.0000 0 0.000000
1 to 5,000,000 41 128,797,520.05 11.93 4.5247 68 1.733543
5,000,001 to 10,000,000 24 178,303,673.55 16.51 4.3190 72 1.815660
10,000,001 to 15,000,000 7 85,218,709.32 7.89 4.4803 68 2.007068
15,000,001 to 20,000,000 3 50,855,487.24 4.71 4.5981 51 1.772898
20,000,001 to 25,000,000 3 68,251,824.38 6.32 4.3303 68 1.455614
25,000,001 to 30,000,000 1 29,250,000.00 2.71 4.2300 71 2.230000
30,000,001 to 35,000,000 0 0.00 0.00 0.0000 0 0.000000
35,000,001 to 40,000,000 0 0.00 0.00 0.0000 0 0.000000
40,000,001 to 45,000,000 0 0.00 0.00 0.0000 0 0.000000
45,000,001 to 50,000,000 3 150,000,000.00 13.89 3.7900 72 2.243333
50,000,001 to 55,000,000 0 0.00 0.00 0.0000 0 0.000000
55,000,001 to 60,000,000 0 0.00 0.00 0.0000 0 0.000000
60,000,001 to 65,000,000 1 62,705,502.03 5.81 3.9200 72 1.240000
65,000,001 to 70,000,000 0 0.00 0.00 0.0000 0 0.000000
70,000,001 to 75,000,000 0 0.00 0.00 0.0000 0 0.000000
75,000,001 to 80,000,000 0 0.00 0.00 0.0000 0 0.000000
80,000,001 to 85,000,000 0 0.00 0.00 0.0000 0 0.000000
85,000,001 to 90,000,000 0 0.00 0.00 0.0000 0 0.000000
90,000,001 or Greater 3 326,500,000.00 30.23 3.9400 56 1.943675
Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108
 
 
 
 
(When current DSCR is not available, the most currently provided DSCR will be used.)      

 

State
 
    # of Ending Sched % of Agg     Wtd Avg
State   Loans Balance Balance WAC WAM DSCR
 
Alabama   2 7,874,812.85 0.73 4.3257 73 2.001890
Arkansas   1 21,980,000.00 2.04 4.3550 72 1.700000
Arizona   3 124,775,550.00 11.55 3.8688 28 2.178842
California   4 41,097,826.52 3.81 4.5822 38 1.824995
Colorado   1 9,000,000.00 0.83 3.9000 71 3.060000
Florida   7 40,122,858.80 3.72 4.3210 72 1.995614
Georgia   3 17,303,895.93 1.60 4.3838 71 1.654543
Illinois   5 28,915,173.24 2.68 4.4146 72 1.766619
Indiana   1 6,774,711.15 0.63 4.4200 72 1.380000
Kentucky   3 27,384,189.94 2.54 4.8067 72 1.216707
Louisiana   2 27,756,195.83 2.57 4.3789 72 1.222979
Massachusetts   3 21,065,325.30 1.95 4.3230 72 2.168629
Maryland   1 3,509,351.77 0.32 4.6800 72 1.660000
Michigan   5 24,157,825.28 2.24 4.3824 71 2.540323
Minnesota   1 13,070,662.04 1.21 4.6500 71 2.730000
North Carolina   6 33,754,692.65 3.13 4.3538 72 1.751148
Nebraska   1 4,951,452.41 0.46 4.5500 72 1.340000
New Jersey   1 21,271,824.38 1.97 4.2700 60 1.480000
New York   9 348,916,677.66 32.31 3.9772 72 1.893578
Ohio   12 37,463,485.25 3.47 4.4993 70 1.652020
Pennsylvania   2 9,894,530.33 0.92 4.2182 72 1.033286
South Carolina   2 18,892,900.04 1.75 4.4544 73 1.513738
Tennessee   1 8,859,499.66 0.82 4.4600 72 1.970000
Texas   8 43,009,342.46 3.98 4.5114 62 1.789068
Virginia   2 13,079,933.08 1.21 4.1164 71 1.423641
Washington   1 125,000,000.00 11.58 3.9085 73 1.900000
  Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108

 

Reports Available at sf.citidirect.com Page 8 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Stratification Detail

 

Seasoning
 
  # of Ending Sched % of Agg     Wtd Avg
Seasoning Loans Balance Balance WAC WAM DSCR
 
12 Months or Less 0 0.00 0.00 0.0000 0 0.000000
13 to 24 Months 1 11,609,869.33 1.08 5.1100 43 1.130000
25 to 36 Months 0 0.00 0.00 0.0000 0 0.000000
37 to 48 Months 59 883,922,321.12 81.85 4.1156 65 1.854098
49 Months or Greater 27 184,350,526.12 17.07 4.2921 69 2.005197
Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108

 

Property Type
 
Property # of Ending Sched % of Agg     Wtd Avg
Type Loans Balance Balance WAC WAM DSCR
 
Multifamily 22 157,783,455.76 14.61 4.4405 70 1.778576
Retail 26 185,257,035.43 17.16 4.2589 72 1.722255
Industrial 3 13,725,618.94 1.27 4.1564 71 1.448893
Mobile Home Park 2 3,190,968.40 0.30 4.5537 72 1.694877
Office 15 327,858,833.42 30.36 4.0315 53 1.892168
Mixed Use 5 278,304,919.08 25.77 3.9084 72 1.996680
Lodging 5 64,823,896.66 6.00 4.5365 56 2.076102
Self Storage 9 48,937,988.88 4.53 4.5717 72 1.758162
Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108

 

Debt Service Coverage Ratio
 
Debt Service # of Ending Sched % of Agg     Wtd Avg
Coverage Ratio Loans Balance Balance WAC WAM DSCR
 
1.250 or Less 17 166,708,572.00 15.44 4.3202 70 1.169103
1.251 to 1.500 16 149,083,947.33 13.81 4.3794 68 1.399690
1.501 to 1.750 15 90,753,297.20 8.40 4.4102 72 1.645909
1.751 to 2.000 12 299,517,446.93 27.74 4.1015 73 1.862730
2.001 to 2.250 8 151,811,315.42 14.06 3.9625 35 2.150231
2.251 to 2.500 5 38,882,370.41 3.60 4.3617 45 2.330225
2.501 to 2.750 9 155,041,708.16 14.36 3.8745 72 2.658278
2.751 to 3.000 4 19,084,059.12 1.77 4.1754 71 2.833572
3.001 to 3.250 1 9,000,000.00 0.83 3.9000 71 3.060000
Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108
 
 
(When current DSCR is not available, the most currently provided DSCR will be used.)      

 

Loan Rate
 
Loan   # of Ending Sched % of Agg     Wtd Avg
Rate (%)   Loans Balance Balance WAC WAM DSCR
 
4.00 or Less   8 394,689,968.22 36.55 3.7945 58 2.080867
4.01 to 4.25   20 301,119,198.43 27.88 4.1539 72 1.871202
4.26 to 4.50   30 229,024,423.13 21.21 4.3952 66 1.708414
4.51 to 4.75   17 92,028,993.59 8.52 4.5923 72 1.755148
4.76 to 5.00   8 43,865,591.52 4.06 4.8324 71 1.371553
5.01 to 5.25   3 14,697,301.34 1.36 5.1022 39 1.204819
5.26 to 5.50   1 4,457,240.34 0.41 5.3500 12 1.400000
5.51 to 5.75   0 0.00 0.00 0.0000 0 0.000000
5.76 to 6.00   0 0.00 0.00 0.0000 0 0.000000
6.01 to 6.25   0 0.00 0.00 0.0000 0 0.000000
6.26 to 6.50   0 0.00 0.00 0.0000 0 0.000000
6.51 to 6.75   0 0.00 0.00 0.0000 0 0.000000
6.76 to 7.00   0 0.00 0.00 0.0000 0 0.000000
7.01 or Greater   0 0.00 0.00 0.0000 0 0.000000
  Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108

 

Reports Available at sf.citidirect.com Page 9 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Stratification Detail

 

Anticipated Remaining Term
 
Anticipated # of Ending Sched % of Agg     Wtd Avg
Remaining Term Loans Balance Balance WAC WAM DSCR
 
60 Months or Less 7 149,440,530.97 13.84 4.0793 21 1.949197
61 to 90 Months 80 930,442,185.60 86.16 4.1688 72 1.859726
91 Months or Greater 0 0.00 0.00 0.0000 0 0.000000
Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108
 
 
(When current DSCR is not available, the most currently provided DSCR will be used.)      

 

Remaining Amortization Term
 
Remaining # of Ending Sched % of Agg     Wtd Avg
Amortization Term Loans Balance Balance WAC WAM DSCR
 
240 Months or Less 6 435,500,000.00 40.33 3.8634 60 2.133525
241 to 270 Months 9 26,985,147.06 2.50 4.4826 65 1.503443
271 to 300 Months 2 24,736,779.62 2.29 4.3239 62 1.436577
301 Months or Greater 70 592,660,789.89 54.88 4.3500 69 1.714977
Totals 87 1,079,882,716.57 100.00 4.1565 65 1.872108

 

Reports Available at sf.citidirect.com Page 10 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Mortgage Loan Detail

 

    Prop               Neg Beginning Ending Paid Appraisal Appraisal Payment Workout   Mod  
Loan   Type     Interest Principal Gross   Maturity Am Scheduled Scheduled Through Reduction Reduction Status Strategy   Type  
Number OMCR (1) City State Payment Payment Coupon   Date Flag Balance Balance Date Date Amount (2 ) (3 ) (4 )
 
030308990 002 MU New York NY 354,627.78 0.00 4.14500 % 4/6/25 N 110,000,000.00 110,000,000.00 3/6/19 N/A 0.00 0   0   0  
030308991 003 MU New York NY 140,388.89 0.00 3.61000 % 3/6/25 N 50,000,000.00 50,000,000.00 3/6/19 N/A 0.00 0   0   0  
030309095 003 MU New York NY 140,388.89 0.00 3.61000 % 3/6/25 N 50,000,000.00 50,000,000.00 3/6/19 N/A 0.00 0   0   0  
030520738 004 OF Phoenix AZ 265,914.25 0.00 3.73650 % 2/28/20 N 91,500,000.00 91,500,000.00 3/1/19 N/A 0.00 0   0   0  
030308992 005 MU Bronx NY 191,535.15 115,794.43 3.92000 % 3/1/25 N 62,821,296.46 62,705,502.03 3/1/19 N/A 0.00 0   0   0  
030308993 006 RT New York NY 161,388.89 0.00 4.15000 % 4/6/25 N 50,000,000.00 50,000,000.00 3/6/19 N/A 0.00 0   0   0  
030520734 007 OF Tempe AZ 96,232.50 0.00 4.23000 % 2/6/25 N 29,250,000.00 29,250,000.00 3/6/19 N/A 0.00 0   0   0  
030308994 008 MF Lafayette LA 84,777.78 0.00 4.36000 % 3/6/25 N 25,000,000.00 25,000,000.00 3/6/19 N/A 0.00 0   0   0  
030308995 009 OF Secaucus NJ 70,771.34 37,713.18 4.27000 % 3/6/24 N 21,309,537.56 21,271,824.38 3/6/19 N/A 0.00 0   0   0  
030308996 010 MF Rogers AR 74,451.14 0.00 4.35500 % 3/6/25 N 21,980,000.00 21,980,000.00 3/6/19 N/A 0.00 0   0   0  
030308997 011 LO Beverly Hills CA 63,175.36 32,869.19 4.48000 % 4/6/20 N 18,130,684.39 18,097,815.20 3/6/19 N/A 0.00 0   0   0  
030308998 012 LO Orangeburg NY 58,178.53 31,609.97 4.51000 % 4/6/25 N 16,585,580.90 16,553,970.93 3/6/19 N/A 0.00 0   0   0  
030308999 013 SS Various KY 60,858.49 30,038.99 4.82000 % 3/6/25 N 16,233,740.10 16,203,701.11 2/6/19 N/A 0.00 A   0   0  
030520740 015 RT Saugus MA 44,813.81 24,083.30 4.10500 % 3/6/25 N 14,035,993.92 14,011,910.62 3/6/19 N/A 0.00 0   0   0  
030309001 016 LO Bloomington MN 47,362.02 24,827.13 4.65000 % 2/6/25 N 13,095,489.17 13,070,662.04 3/6/19 N/A 0.00 0   0   0  
030309002 017 MF Orion MI 44,863.00 0.00 4.42000 % 2/6/25 N 13,050,000.00 13,050,000.00 3/6/19 N/A 0.00 0   0   0  
030520743 018 LO North Charleston SC 42,876.34 21,945.92 4.52900 % 4/4/25 N 12,171,942.00 12,149,996.08 3/6/19 N/A 0.00 0   0   0  
030309004 020 RT Portsmouth VA 34,357.69 19,406.19 4.12000 % 2/6/25 N 10,721,888.10 10,702,481.91 3/6/19 N/A 0.00 0   0   0  
030295033 021 MF Arlington Heights IL 36,916.41 18,353.60 4.46000 % 4/6/25 N 10,642,142.94 10,623,789.34 3/6/19 N/A 0.00 0   0   0  
030309005 022 RT Miami FL 33,897.24 16,978.35 4.45000 % 3/6/25 N 9,793,746.12 9,776,767.77 3/6/19 N/A 0.00 0   0   0  
030520746 023 MF Various NC 32,030.19 18,177.62 4.38000 % 4/4/25 N 9,402,209.69 9,384,032.07 3/6/19 N/A 0.00 0   0   0  
030309006 024 SS Nicholasville KY 33,448.40 16,509.72 4.82000 % 3/6/25 N 8,922,217.44 8,905,707.72 2/6/19 N/A 0.00 A   0   0  
030309007 025 RT Roswell GA 31,467.35 14,929.30 4.46000 % 3/6/25 N 9,071,306.64 9,056,377.34 3/6/19 N/A 0.00 0   0   0  
030309008 026 RT Tallahassee FL 27,857.59 15,734.75 4.12000 % 2/6/25 N 8,693,422.67 8,677,687.92 3/6/19 N/A 0.00 0   0   0  
030309009 027 RT Barrington IL 28,700.00 0.00 4.10000 % 2/6/25 N 9,000,000.00 9,000,000.00 3/6/19 N/A 0.00 0   0   0  
030520735 028 SS Centennial CO 27,300.00 0.00 3.90000 % 2/6/25 N 9,000,000.00 9,000,000.00 3/6/19 N/A 0.00 0   0   0  
030309010 029 OF Nashville TN 30,783.28 14,604.74 4.46000 % 3/6/25 N 8,874,104.40 8,859,499.66 3/6/19 N/A 0.00 0   0   0  

 

Reports Available at sf.citidirect.com Page 11 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Mortgage Loan Detail

 

    Prop               Neg Beginning Ending Paid Appraisal Appraisal Payment Workout   Mod  
Loan   Type     Interest Principal Gross   Maturity Am Scheduled Scheduled Through Reduction Reduction Status Strategy   Type  
Number OMCR (1) City State Payment Payment Coupon   Date Flag Balance Balance Date Date Amount (2 ) (3 ) (4 )
 
030309011 030 OF Palmdale CA 27,774.71 14,759.33 4.15000 % 2/6/25 N 8,604,901.32 8,590,141.99 3/6/19 N/A 0.00 0   0   0  
030309012 031 RT Durham NC 24,743.13 13,583.59 4.20000 % 2/6/25 N 7,574,426.31 7,560,842.72 3/6/19 N/A 0.00 0   0   0  
030520744 032 OF Broomall (Marple Twshp) PA 23,106.36 13,408.15 4.16300 % 4/4/25 N 7,136,243.91 7,122,835.76 2/6/19 N/A 0.00 A   0   0  
030309013 033 MF Romulus MI 23,885.56 0.00 4.15000 % 3/6/25 N 7,400,000.00 7,400,000.00 3/6/19 N/A 0.00 0   0   0  
030520742 034 RT Arlington TX 24,743.41 0.00 4.45700 % 3/6/25 N 7,137,750.00 7,137,750.00 3/6/19 N/A 0.00 0   0   0  
030520737 035 MF Fort Mill SC 22,698.23 12,521.07 4.32000 % 3/6/25 N 6,755,425.03 6,742,903.96 3/6/19 N/A 0.00 0   0   0  
030309014 036 MF Greencastle IN 23,330.54 11,805.47 4.42000 % 3/6/25 N 6,786,516.62 6,774,711.15 3/6/19 N/A 0.00 0   0   0  
030309015 037 RT Houston TX 19,709.91 13,306.86 3.90000 % 3/6/25 N 6,497,773.05 6,484,466.19 3/6/19 N/A 0.00 0   0   0  
030309016 038 MF Houston TX 23,546.92 11,209.67 4.45000 % 3/6/25 N 6,803,284.34 6,792,074.67 3/6/19 N/A 0.00 0   0   0  
030520745 039 IN Charlotte NC 20,524.26 12,568.37 4.15950 % 4/4/25 N 6,344,111.16 6,331,542.79 3/6/19 N/A 0.00 0   0   0  
030295161 040 RT Port Saint Lucie FL 21,406.00 0.00 4.17000 % 4/1/25 N 6,600,000.00 6,600,000.00 2/1/19 N/A 0.00 A   0   0  
030309017 041 MF Houston TX 22,636.34 10,452.87 4.54000 % 3/6/25 N 6,410,541.89 6,400,089.02 3/6/19 N/A 0.00 0   0   0  
030309018 042 MF Fall River MA 20,800.93 10,497.91 4.75000 % 3/6/25 N 5,630,327.09 5,619,829.18 3/6/19 N/A 0.00 0   0   0  
030309019 043 MU Avon OH 19,461.21 10,797.47 4.46000 % 3/6/25 N 5,610,214.52 5,599,417.05 3/6/19 N/A 0.00 0   0   0  
030309020 044 OF Cleveland OH 18,891.05 10,446.03 4.50000 % 1/6/25 N 5,397,442.62 5,386,996.59 3/6/19 N/A 0.00 0   0   0  
030309021 045 LO Bellevue NE 17,568.22 12,879.53 4.55000 % 3/6/25 N 4,964,331.94 4,951,452.41 3/6/19 N/A 0.00 0   0   0  
030520709 046 MF Doraville GA 15,057.67 12,957.59 4.10450 % 12/6/24 N 4,716,740.48 4,703,782.89 3/6/19 N/A 0.00 0   0   0  
030309022 047 RT Jacksonville FL 17,036.83 0.00 4.29500 % 3/6/25 N 5,100,000.00 5,100,000.00 3/6/19 N/A 0.00 0   0   0  
030309097 048 OF Arlington Heights IL 18,695.40 7,749.84 4.87000 % 3/6/25 N 4,935,717.19 4,927,967.35 2/6/19 N/A 0.00 A   98   0  
030309024 049 IN Cincinnati OH 14,518.18 9,439.14 4.03000 % 1/6/25 N 4,631,820.72 4,622,381.58 3/6/19 N/A 0.00 0   0   0  
030309025 050 MF Houston TX 16,007.73 7,887.24 4.35000 % 3/6/25 N 4,731,348.22 4,723,460.98 3/6/19 N/A 0.00 0   0   0  
030309026 051 MF Youngstown OH 16,747.76 8,520.38 4.82900 % 8/6/24 N 4,459,068.02 4,450,547.64 3/6/19 N/A 0.00 0   0   0  
030520739 052 MF Killeen TX 18,579.55 7,805.50 5.35000 % 3/6/20 N 4,465,045.84 4,457,240.34 3/6/19 N/A 0.00 0   0   0  
030309027 053 RT Tuscaloosa AL 16,163.88 0.00 4.41000 % 4/6/25 N 4,712,500.00 4,712,500.00 3/6/19 N/A 0.00 0   0   0  
030309028 054 MF Bellmead TX 16,059.60 7,695.07 4.57000 % 4/6/25 N 4,518,174.61 4,510,479.54 3/6/19 N/A 0.00 0   0   0  
030309029 055 OF Scarsdale NY 15,418.67 0.00 4.48000 % 11/6/24 N 4,425,000.00 4,425,000.00 3/6/19 N/A 0.00 0   0   0  
030309030 056 RT Mesa AZ 13,306.68 0.00 4.25000 % 1/6/25 N 4,025,550.00 4,025,550.00 3/6/19 N/A 0.00 0   0   0  

 

Reports Available at sf.citidirect.com Page 12 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Mortgage Loan Detail

 

    Prop               Neg Beginning Ending Paid Appraisal Appraisal Payment Workout   Mod  
Loan   Type     Interest Principal Gross   Maturity Am Scheduled Scheduled Through Reduction Reduction Status Strategy   Type  
Number OMCR (1) City State Payment Payment Coupon   Date Flag Balance Balance Date Date Amount (2 ) (3 ) (4 )
 
030309031 057 RT Raleigh NC 14,097.35 6,605.47 4.65000 % 3/6/25 N 3,897,886.04 3,891,280.57 3/6/19 N/A 0.00 0   0   0  
030309032 058 RT Macon GA 12,601.11 9,209.39 4.56000 % 3/6/25 N 3,552,945.09 3,543,735.70 2/6/19 10/9/18 898,170.95 A   9   0  
030520741 059 MF Asheville NC 11,713.74 6,979.98 4.25000 % 3/6/25 N 3,543,653.26 3,536,673.28 3/6/19 N/A 0.00 0   0   0  
030309033 060 SS Forest Hill MD 12,798.09 6,605.77 4.68000 % 3/6/25 N 3,515,957.54 3,509,351.77 3/6/19 N/A 0.00 0   0   0  
030309034 061 MF Tallahassee FL 11,405.49 6,796.29 4.25000 % 3/6/25 N 3,450,399.24 3,443,602.95 3/6/19 N/A 0.00 0   0   0  
030309035 062 RT Jacksonville FL 12,570.29 6,967.78 4.65500 % 3/1/25 N 3,471,923.02 3,464,955.24 3/1/19 N/A 0.00 0   0   0  
030294899 063 OF Bronx NY 11,677.80 6,299.52 4.40000 % 2/6/25 N 3,412,342.84 3,406,043.32 3/6/19 N/A 0.00 0   0   0  
030309036 064 RT Avon OH 11,567.92 8,225.48 4.67000 % 2/6/25 N 3,184,804.01 3,176,578.53 3/6/19 N/A 0.00 0   0   0  
030309037 065 SS Dothan AL 10,350.72 6,275.86 4.20000 % 3/6/25 N 3,168,588.71 3,162,312.85 3/6/19 N/A 0.00 0   0   0  
030309038 066 RT Tampa FL 10,849.13 5,842.25 4.55000 % 3/6/25 N 3,065,687.17 3,059,844.92 2/6/19 N/A 0.00 A   0   0  
030309039 067 MF Greenboro NC 11,408.93 5,642.69 4.80000 % 4/1/25 N 3,055,963.91 3,050,321.22 2/1/19 N/A 0.00 A   0   0  
030309040 068 SS Cincinnati OH 10,606.78 5,497.43 4.35000 % 3/6/25 N 3,135,007.68 3,129,510.25 3/6/19 N/A 0.00 0   0   0  
030309041 069 MF Bedford OH 10,632.22 5,198.53 4.85000 % 3/6/25 N 2,818,556.38 2,813,357.85 3/6/19 N/A 0.00 0   0   0  
030309042 070 RT Plaquemine LA 9,772.49 5,262.50 4.55000 % 3/6/25 N 2,761,458.33 2,756,195.83 3/6/19 N/A 0.00 0   0   0  
030309043 071 RT South Elgin IL 9,531.67 0.00 4.30000 % 2/6/25 N 2,850,000.00 2,850,000.00 3/6/19 N/A 0.00 0   0   0  
030309044 072 IN Philadelphia PA 9,414.94 4,664.89 4.36000 % 1/6/25 N 2,776,359.46 2,771,694.57 3/6/19 N/A 0.00 0   0   0  
030309045 073 RT Mission Viejo CA 9,538.67 0.00 4.38000 % 3/1/25 N 2,800,000.00 2,800,000.00 2/1/19 N/A 0.00 A   0   0  
030309046 074 OF Houston TX 9,859.03 6,297.41 5.05000 % 1/6/20 N 2,510,079.13 2,503,781.72 3/6/19 N/A 0.00 0   0   0  
030294986 075 OF Virginia Beach VA 7,599.71 5,734.64 4.10000 % 2/6/25 N 2,383,185.81 2,377,451.17 3/6/19 N/A 0.00 0   0   0  
030309047 076 RT Owensboro KY 8,266.05 5,857.78 4.66000 % 3/6/25 N 2,280,638.89 2,274,781.11 3/6/19 N/A 0.00 0   0   0  
030309048 077 MF Maple Heights OH 7,977.55 4,541.47 4.40000 % 2/1/25 N 2,331,101.15 2,326,559.68 3/6/19 N/A 0.00 0   0   0  
030294985 078 RT Toledo OH 7,283.06 4,318.84 4.28000 % 2/6/25 N 2,187,836.23 2,183,517.39 3/6/19 N/A 0.00 0   0   0  
030309049 079 SS Lansing MI 8,038.84 3,396.88 4.96000 % 4/6/25 N 2,083,800.01 2,080,403.13 3/6/19 N/A 0.00 0   0   0  
030294444 080 RT Buffalo NY 6,223.70 4,937.86 4.37000 % 11/6/24 N 1,831,099.24 1,826,161.38 3/6/19 N/A 0.00 0   0   0  
030294852 081 OF Detroit MI 5,584.18 4,318.91 4.40000 % 2/6/25 N 1,631,741.06 1,627,422.15 3/6/19 N/A 0.00 0   0   0  
030309050 082 MH Chardon OH 5,515.65 3,122.48 4.40000 % 3/6/25 N 1,611,716.71 1,608,594.23 3/6/19 N/A 0.00 0   0   0  
030309051 083 MH Geneva OH 5,806.50 2,657.10 4.71000 % 4/6/25 N 1,585,031.27 1,582,374.17 3/6/19 N/A 0.00 0   0   0  

 

Reports Available at sf.citidirect.com Page 13 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Mortgage Loan Detail

 

      Prop                 Neg Beginning Ending Paid Appraisal Appraisal Payment Workout   Mod  
Loan     Type       Interest Principal Gross   Maturity Am Scheduled Scheduled Through Reduction Reduction Status   Strategy   Type  
Number OMCR   (1 ) City State Payment Payment Coupon   Date Flag Balance Balance Date Date Amount (2 ) (3 ) (4 )
 
030309052 084   SS   Lake Villa IL 5,542.83 2,859.10 4.70000 % 2/6/25 N 1,516,275.65 1,513,416.55 3/6/19 N/A 0.00 0   0   0  
030309053 085   SS   Taunton MA 5,339.68 2,669.21 4.78000 % 3/6/25 N 1,436,254.71 1,433,585.50 3/6/19 N/A 0.00 0   0   0  
030309054 086   RT   Mentor-On-The-Lake OH 2,351.11 1,041.90 5.17000 % 3/6/25 N 584,692.19 583,650.29 3/6/19 N/A 0.00 0   0   0  
030520747 1 A1 OF   Seattle WA 379,993.06 0.00 3.90850 % 4/4/25 N 125,000,000.00 125,000,000.00 3/6/19 N/A 0.00 0   0   0  
030309003 9 A2 OF   Oakland CA 46,225.33 20,768.98 5.11000 % 10/1/22 N 11,630,638.31 11,609,869.33 2/1/19 N/A 0.00 0   0   0  
Totals 86           3,493,924.66 842,463.85         1,080,725,180.42 1,079,882,716.57     898,170.95            

 

Reports Available at sf.citidirect.com Page 14 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Delinquency Loan Detail

 

      Actual Paid Current P&I Total P&I Cumulative Other Expense Payment Workout   Most Recent      
Loan   # of Months Principal Through Advances Advances Accrued Unpaid Advances Status Strategy   Special Serv Foreclosure Bankruptcy REO
Number OMCR Delinq Balance Date (Net of ASER) Outstanding Interest Advances Outstanding (2) (3 ) Transfer Date Date Date Date
030308999 013 <1 16,233,740.10 2/6/19 90,897.48 90,834.35 0.00 0.00 A 0          
030309006 024 <1 8,922,217.44 2/6/19 49,958.12 49,923.42 0.00 0.00 A 0          
030520744 032 <1 7,136,243.91 2/6/19 36,514.51 36,264.74 0.00 0.00 A 0          
030295161 040 <1 6,600,000.00 2/1/19 21,406.00 21,380.33 0.00 0.00 A 0          
030309097 048 <1 4,935,717.19 2/6/19 26,445.24 26,426.05 0.00 0.00 A 98   10/24/18      
030309032 058 <1 3,552,945.09 2/6/19 22,151.43 18,614.66 49.01 10,491.85 A 9   9/19/18      
030309038 066 <1 3,065,687.17 2/6/19 16,691.38 16,679.46 0.00 0.00 A 0          
030309039 067 <1 3,055,963.91 2/1/19 17,051.62 17,039.74 0.00 0.00 A 0          
030309045 073 <1 2,800,000.00 2/1/19 9,538.67 9,527.78 0.00 0.00 A 0          

 

Reports Available at sf.citidirect.com Page 15 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Historical Delinquency Information

 

Distribution Less Than 1 Month   1 Month       2 Months       3 Months       4+ Months       Bankruptcy       Foreclosure       REO      
Date End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #  
 
03/12/2019 56,214,113.78   9   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  5.206 % 10.5 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
02/12/2019 53,875,536.76   7   3,065,687.17   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  4.985 % 8.1 % 0.284 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
01/11/2019 32,587,011.37   4   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  3.013 % 4.7 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
12/12/2018 193,615,724.01   17   0.00   0   0.00   0   3,568,571.53   1   0.00   0   0.00   0   0.00   0   0.00   0  
  17.893 % 19.8 % 0.000 % 0.0 % 0.000 % 0.0 % 0.330 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
11/13/2018 64,898,741.05   10   0.00   0   3,576,790.23   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  5.994 % 11.6 % 0.000 % 0.0 % 0.330 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
10/15/2018 153,752,661.47   11   0.00   0   3,584,525.49   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  14.191 % 12.8 % 0.000 % 0.0 % 0.331 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
09/12/2018 155,330,056.72   9   0.00   0   3,592,683.79   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  14.327 % 10.5 % 0.000 % 0.0 % 0.331 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
08/10/2018 126,581,140.06   6   3,600,356.89   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  11.668 % 7.0 % 0.332 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
07/12/2018 6,706,706.33   2   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  0.618 % 2.3 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
06/12/2018 10,890,987.04   3   3,616,069.42   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  1.003 % 3.5 % 0.333 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
05/11/2018 0.00   0   3,623,651.05   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  0.000 % 0.0 % 0.333 % 1.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
04/12/2018 20,473,921.17   2   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  1.883 % 2.3 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %

 

Reports Available at sf.citidirect.com Page 16 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Appraisal Reduction Detail

 

      Appraisal Appraisal Most Recent Cumulative
Loan Number OMCR Property Name Reduction Amount Reduction Date ASER Amount ASER Amount
030309032 058 Mercer Crossing 898,170.95 10/09/2018 -340.93 3,182.02
Totals 1   898,170.95   -340.93 3,182.02

 

Reports Available at sf.citidirect.com Page 17 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Historical Appraisal Reduction Detail

 

Distribution Loan     Appraisal Appraisal Most Recent Cumulative
Date Number OMCR Property Name Reduction Amount Reduction Date ASER Amount ASER Amount
10/15/2018 030309032 058 Mercer Crossing 898,170.95 10/09/2018 3,409.31 3,409.31
11/13/2018 030309032 058 Mercer Crossing 898,170.95 10/09/2018 3,522.95 6,932.26
12/12/2018 030309032 058 Mercer Crossing 898,170.95 10/09/2018 3,409.31 10,341.57
01/11/2019 030309032 058 Mercer Crossing 898,170.95 10/09/2018 -6,818.62 3,522.95
02/12/2019 030309032 058 Mercer Crossing 898,170.95 10/09/2018 0.00 3,522.95
03/12/2019 030309032 058 Mercer Crossing 898,170.95 10/09/2018 -340.93 3,182.02

 

Reports Available at sf.citidirect.com Page 18 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Loan Modification Detail

 

      Modification Modification Modification
Loan Number OMCR Property Name Date Type (4) Description
    There is no loan modification activity for the current distribution period.  
Totals          

 

Reports Available at sf.citidirect.com Page 19 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Historical Loan Modification Detail

 

Distribution Loan     Modification Modification Modification
Date Number OMCR Property Name Date Type (4) Description
 
        There is no historical loan modification activity.    

 

Reports Available at sf.citidirect.com Page 20 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Specially Serviced Loan Detail

 

    Workout   Most Recent Most Recent        
Loan   Strategy   Inspection Specially Serviced Most Recent Most Recent Other REO  
Number OMCR (3 ) Date Transfer Date Valuation Date Value Property Value Comment from Special Servicer
030309097 048 98     10/24/18 1/1/21 7,800,000.00 0.00 See the loan supplemental file for comments.
030309032 058 9     9/19/18 11/24/14 6,300,000.00 0.00 See the loan supplemental file for comments.
Totals 2           14,100,000.00 0.00  

 

Reports Available at sf.citidirect.com Page 21 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    Historical Specially Serviced Loan Detail

 

      Special Workout   Special     Property           Net        
Distribution Loan   Serviced Strategy   Serviced Scheduled Actual Type     Interest   Note Operating     Maturity  
Date Number OMCR Trans Date (3 ) Loan to MS Balance Balance (1 ) State Rate   Date Income (NOI) DSCR   Date WART
3/12/19 030309032 058 9/19/18 9     3,543,735.70 3,552,945.09 12   GA 4.560 %   210,010.00 0.80 % 3/6/25 72
2/12/19 030309032 058 9/19/18 98     3,552,945.09 3,560,773.62 12   GA 4.560 %   210,010.00 0.80 % 3/6/25 73
1/11/19 030309032 058 9/19/18 98     3,560,773.62 3,560,773.62 12   GA 4.560 %   237,254.80 0.91 % 3/6/25 74
12/12/18 030309032 058 9/19/18 98     3,568,571.53 3,600,356.89 12   GA 4.560 %   237,254.80 0.91 % 3/6/25 75
11/13/18 030309032 058 9/19/18 98     3,576,790.23 3,600,356.89 12   GA 4.560 %   237,254.80 0.91 % 3/6/25 76
10/15/18 030309032 058 9/19/18 98     3,584,525.49 3,607,999.98 12   GA 4.560 %   237,254.80 0.91 % 3/6/25 77
3/12/19 030309097 048 10/24/18 98     4,927,967.35 4,935,717.19 17   IL 4.870 %   1,529,646.70 1.61 % 3/6/25 72
2/12/19 030309097 048 10/24/18 98     4,935,717.19 4,935,717.19 17   IL 4.870 %   1,487,279.71 1.66 % 3/6/25 73
1/11/19 030309097 048 10/24/18 98     4,941,439.95 4,947,138.81 17   IL 4.870 %   1,466,584.13 1.54 % 3/6/25 74
12/12/18 030309097 048 10/24/18 98     4,947,138.81 4,953,481.17 17   IL 4.870 %   1,466,584.13 1.54 % 3/6/25 75
11/13/18 030309097 048 10/24/18 98     4,953,481.17 4,959,129.75 17   IL 4.870 %   1,466,584.13 1.54 % 3/6/25 76

 

Reports Available at sf.citidirect.com Page 22 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Unscheduled Principal Detail

 

    Liquidation / Liquid / Prepay Unscheduled Unscheduled Other Prepayment Interest Prepayment Yield Maintenance
Loan Number OMCR Prepayment Date Type (5) Principal Collections Principal Adjustments Interest Adjustments Excess / (Shortfall) Penalties Penalties
There is no unscheduled principal activity for the current distribution period.

Totals                  

 

Reports Available at sf.citidirect.com Page 23 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Historical Unscheduled Principal Detail

 

Distribution Loan   Liquidation / Liquid / Prepay Unscheduled   Unscheduled Other Prepayment Interest Prepayment Yield Maintenance
Date Number OMCR Prepayment Date Type (5) Principal Collections   Principal Adjustments Interest Adjustments Excess / (Shortfall) Penalties Penalties
1/12/18 030309000 014 1/10/18 9 16,300,696.12   0.00   0.00 0.00 899,307.95
4/12/17 030309008 026   0 (2,007.09 ) 0.00   0.00 0.00 0.00

 

Reports Available at sf.citidirect.com Page 24 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Liquidated Loan Detail

 

Loan   Final Recovery Most Recent Most Recent Actual Gross Proceeds Liquidation Net Liquidation Net Proceeds Realized Repurchased by
Number OMCR Determ Date Appraisal Date Appraisal Value Balance Proceeds as % of Act Bal Expenses Proceeds as a % of Act Bal Losses Seller (Y/N)
There is no liquidated loan activity for the current distribution period.

Totals                        

 

Reports Available at sf.citidirect.com Page 25 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
    Historical Liquidated Loan Detail

 

Distribution Loan   Final Recovery Most Recent Most Recent Actual Gross Gross Proceeds Liquidation Net Liquidation Net Proceeds Realized Repurchased by
Date Number OMCR Determ Date Appraisal Date Appraisal Value Balance Proceeds as % of Act Bal Expenses Proceeds as a % of Act Bal Loss Seller (Y/N)
 
There is no historical liquidated loan activity.

 

Reports Available at sf.citidirect.com Page 26 of 27 © Copyright 2019 Citigroup

 


 

Distribution Date: 03/12/2019 Citigroup Commercial Mortgage Trust 2015-GC29
Determination Date: 03/06/2019  
    Commercial Mortgage Pass-Through Certificates
    Series 2015-GC29
 
    CREFC® Legends

 

(1) Property Type (3) Workout Strategy (5) Liquidation / Prepayment Type
 
MF = Multifamily 1 . Modification 1 . Partial Liquidation (Curtailment)
RT = Retail 2 . Foreclosure 2 . Payoff Prior To Maturity
HC = HealthCare 3 . Bankruptcy 3 . Disposition / Liquidation
IN = Industrial 4 . Extension 4 . Repurchase / Substitution
WH = Warehouse 5 . Note Sale 5 . Full Payoff At Maturity
MH = Mobile Home Park 6 . DPO 6 . DPO
OF = Office 7 . REO 7 . Liquidation prior to 7/1/2006
MU = Mixed Use 8 . Resolved 8 . Payoff With Penalty
LO = Lodging 9 . Pending Return to Master Servicer 9 . Payoff With Yield Maintenance
SS = Self Storage 10. Deed In Lieu of Foreclosure 10. Curtailment With Penalty
OT = Other 11. Full Payoff 11. Curtailment With Yield Maintenance
SE = Securities 12. Reps and Warranties      
CH = Cooperative Housing 13. Other or TBD      
N/A = Not Available 98. Not Provided By Servicer      
 
 
(2) Payment Status (4) Modification Type      
 
A.   In Grace Period 1 . Maturity Date Extension      
B.   Late, but less than 30 Days 2 . Amortization Change      
0 . Current 3 . Principal Write-Off      
1 . 30-59 Days Delinquent 4 . Blank (formerly Combination)      
2 . 60-89 Days Delinquent 5 . Temporary Rate Reduction      
3 . 90-120 Days Delinquent 6 . Capitalization of Interest      
4 . Performing Matured Balloon 7 . Capitalization of Taxes      
5 . Non Performing Matured Balloon 8 . Other      
6. 121+ Days Delinquent 9 . Combination      

 

Reports Available at sf.citidirect.com Page 27 of 27 © Copyright 2019 Citigroup