EX-99.6 7 e2524ex99-6.htm CLAYTON LOAN LEVEL TAPE COMPARE

Exhibit 99.6

 

Client Name: Everbank
Client Project Name: TBMLT 2018-3
Start - End Dates: 11/2017 TO 09/2018
Deal Loan Count: 478
Report Run Date: 10/15/2018 14:02
 
Loan Level Tape Compare Upload  
         
Loans in Report 478

 

Loan Number Borrower Last Name Field Name Tape Data Reviewer Data
269 XXXXXX Cash Reserves 907847.00 912879.29
269 XXXXXX Debt to Income Ratio (Back) 39.5970 38.4715
234 XXXXXX Borrower 1 Self Employed Flag No Yes
234 XXXXXX Cash Reserves 561348.00 812882.49
234 XXXXXX Total Monthly Income 34073.63 34851.80
296 XXXXXX Cash Reserves 107467.00 300753.24
265 XXXXXX Cash Reserves 143950.00 91463.84
325 XXXXXX Cash Reserves 38576.00 37765.49
388 XXXXXX Cash Reserves 123552.00 136533.96
354 XXXXXX Cash Reserves 93598.50 97462.86
354 XXXXXX Total Monthly Income 16747.88 16552.96
9 XXXXXX Cash Reserves 22802.10 30092.33
10 XXXXXX Cash Reserves 117217.00 132666.27
212 XXXXXX Cash Reserves 48421.90 55279.98
326 XXXXXX Cash Reserves 84727.90 87876.67
326 XXXXXX Debt to Income Ratio (Back) 35.6520 37.4278
270 XXXXXX Cash Reserves 82419.00 94103.91
270 XXXXXX Debt to Income Ratio (Back) 23.0860 30.3553
270 XXXXXX Total Monthly Income 20879.00 15879.18
355 XXXXXX Cash Reserves 107763.00 120780.62
298 XXXXXX Cash Reserves 81184.70 94906.64
271 XXXXXX Cash Reserves 59524.20 54433.78
299 XXXXXX Cash Reserves 28049.20 41277.30
11 XXXXXX Cash Reserves 54847.50 64029.26
11 XXXXXX Sales Price XXXXXX XXXXXX
300 XXXXXX Cash Reserves 49826.20 59672.28
114 XXXXXX Cash Reserves 45320.60 107672.86
115 XXXXXX Cash Reserves 212849.00 190075.57
115 XXXXXX Debt to Income Ratio (Back) 31.1920 29.9028
116 XXXXXX Cash Reserves 187355.00 194776.38
12 XXXXXX Cash Reserves 44803.70 101583.89
12 XXXXXX Total Monthly Income 18672.00 18484.33
436 XXXXXX Cash Reserves 117886.00 121442.47
117 XXXXXX Cash Reserves 954670.00 1342402.72
117 XXXXXX Sales Price XXXXXX XXXXXX
301 XXXXXX Cash Reserves 32857.70 40150.04
13 XXXXXX Cash Reserves 77224.00 80297.38
118 XXXXXX Borrower 1 Self Employed Flag No Yes
118 XXXXXX Cash Reserves 177270.00 179316.43
14 XXXXXX Cash Reserves 179766.00 207903.69
15 XXXXXX Cash Reserves 387606.00 467779.45
15 XXXXXX Debt to Income Ratio (Back) 29.9080 34.4905
205 XXXXXX Cash Reserves 82280.54 94379.92
206 XXXXXX Cash Reserves 36898.70 39248.30
327 XXXXXX Cash Reserves 231504.00 244054.50
384 XXXXXX Cash Reserves 9803.04 14504.71
385 XXXXXX Cash Reserves 5855.90 2036.58
119 XXXXXX Cash Reserves 195725.00 198054.09
120 XXXXXX Cash Reserves 92894.30 141676.28
213 XXXXXX Cash Reserves 171090.00 185366.47
121 XXXXXX Cash Reserves 504983.00 505705.30
16 XXXXXX Cash Reserves 602924.00 620364.48
122 XXXXXX Cash Reserves 77677.10 96062.27
17 XXXXXX Cash Reserves 31799.00 44154.30
123 XXXXXX Cash Reserves 299506.00 250417.24
124 XXXXXX Cash Reserves 82407.40 84212.09
125 XXXXXX Cash Reserves 94550.10 116461.36
328 XXXXXX Cash Reserves 111977.00 127998.37
302 XXXXXX Property Type SFR Detached PUD
449 XXXXXX Debt to Income Ratio (Back) 24.0990 28.0314
457 XXXXXX Cash Reserves 206232.54 218069.29
457 XXXXXX Debt to Income Ratio (Back) 27.6110 26.6011
457 XXXXXX Total Monthly Income 11424.17 11857.73
389 XXXXXX Cash Reserves 85224.80 68213.94
437 XXXXXX Cash Reserves 198190.00 216581.02
19 XXXXXX Cash Reserves 134021.00 132704.75
19 XXXXXX Property Type Rowhouse SFR
20 XXXXXX Cash Reserves 34242.10 42865.91
126 XXXXXX Cash Reserves 43910.40 45214.00
303 XXXXXX Cash Reserves 45721.43 39383.90
303 XXXXXX Debt to Income Ratio (Back) 34.9420 23.1737
272 XXXXXX Cash Reserves 33212.80 39615.03
273 XXXXXX Cash Reserves 174000.00 197845.96
214 XXXXXX Cash Reserves 33561.60 33387.71
438 XXXXXX Cash Reserves 215078.00 226244.52
127 XXXXXX Cash Reserves 633271.00 706291.71
274 XXXXXX Cash Reserves 42320.30 54342.92
304 XXXXXX Cash Reserves 50903.46 55022.52
304 XXXXXX Property Type Low Rise Condo (1-4) Mid Rise Condo  (5-8)
21 XXXXXX Cash Reserves 711288.00 618844.30
21 XXXXXX Debt to Income Ratio (Back) 39.5020 35.6099
363 XXXXXX Cash Reserves 120650.00 147820.90
22 XXXXXX Cash Reserves 173935.00 336205.37
22 XXXXXX Debt to Income Ratio (Back) 38.8950 40.8478
22 XXXXXX Total Monthly Income 13521.27 13156.17
23 XXXXXX Cash Reserves 215158.00 238047.32
24 XXXXXX Cash Reserves 120922.00 125393.55
25 XXXXXX Cash Reserves 46915.50 30474.87
25 XXXXXX Debt to Income Ratio (Back) 37.1560 40.6409
25 XXXXXX Total Monthly Income 13176.27 11935.65
128 XXXXXX Cash Reserves 53526.00 133628.75
129 XXXXXX Cash Reserves 205995.00 223743.23
130 XXXXXX Cash Reserves 328927.00 369823.16
131 XXXXXX Cash Reserves 2246117.00 2126470.32
131 XXXXXX Debt to Income Ratio (Back) 26.6260 27.7019
236 XXXXXX Cash Reserves 212010.00 216914.86
419 XXXXXX Property Type Detached PUD Attached PUD
26 XXXXXX Cash Reserves 71607.30 35200.34
26 XXXXXX Total Monthly Income 15955.91 15493.24
132 XXXXXX Cash Reserves 57814.10 119090.22
364 XXXXXX Cash Reserves 33973.90 69741.26
237 XXXXXX Cash Reserves 56333.10 75596.02
133 XXXXXX Cash Reserves 99808.40 124860.43
329 XXXXXX Cash Reserves 81881.90 112116.64
330 XXXXXX Cash Reserves 45900.70 42711.96
390 XXXXXX Borrower 1 Self Employed Flag No Yes
390 XXXXXX Cash Reserves 96188.40 55388.33
331 XXXXXX Cash Reserves 24931.70 54161.72
391 XXXXXX Cash Reserves 262396.00 302152.23
391 XXXXXX Original Appraised Value XXXXXX XXXXXX
391 XXXXXX Property Type Detached PUD 2 Family
391 XXXXXX Total Monthly Income 28362.81 28849.15
134 XXXXXX Cash Reserves 264293.00 358301.23
27 XXXXXX Cash Reserves 187474.00 196376.93
135 XXXXXX Cash Reserves 34500.20 33090.05
28 XXXXXX Cash Reserves 118424.00 75769.27
28 XXXXXX Debt to Income Ratio (Back) 36.5790 38.1166
136 XXXXXX Cash Reserves 25462.50 33506.89
29 XXXXXX Cash Reserves 219876.00 216346.05
266 XXXXXX Cash Reserves 30053.50 27843.37
137 XXXXXX Cash Reserves 39031.20 39515.69
137 XXXXXX Debt to Income Ratio (Back) 20.0210 21.1459
137 XXXXXX Total Cash Out 190014.00 190114.70
443 XXXXXX Debt to Income Ratio (Back) 29.2890 31.0974
443 XXXXXX Total Monthly Income 20513.00 19416.66
208 XXXXXX Cash Reserves 153974.00 158989.80
209 XXXXXX Cash Reserves 29274.60 29701.73
209 XXXXXX Total Monthly Income 21196.65 20835.51
138 XXXXXX Cash Reserves 238102.00 250418.48
139 XXXXXX Cash Reserves 1204470.00 1242242.36
140 XXXXXX Cash Reserves 244756.00 223350.14
30 XXXXXX Cash Reserves 26927.00 31256.07
332 XXXXXX Cash Reserves 91663.20 104424.07
392 XXXXXX Cash Reserves 197474.00 186560.99
476 XXXXXX Cash Reserves 110414.00 67988.39
238 XXXXXX Debt to Income Ratio (Back) 38.5030 39.5578
238 XXXXXX Total Monthly Income 23257.16 22636.84
31 XXXXXX Cash Reserves 254592.00 262257.52
31 XXXXXX Total Monthly Income 12875.00 12647.26
32 XXXXXX Cash Reserves 249356.00 253318.30
141 XXXXXX Cash Reserves 111173.00 114580.05
239 XXXXXX Cash Reserves 146632.00 148074.62
458 XXXXXX Cash Reserves 71711.20 88385.24
458 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
216 XXXXXX Cash Reserves 561256.00 583496.33
216 XXXXXX Debt to Income Ratio (Back) 35.6460 33.8482
305 XXXXXX Cash Reserves 35461.80 180201.53
33 XXXXXX Cash Reserves 134025.00 138509.97
306 XXXXXX Cash Reserves 288945.00 300452.33
34 XXXXXX Cash Reserves 819904.00 853555.23
240 XXXXXX Cash Reserves 356920.00 433472.77
333 XXXXXX Cash Reserves 66937.60 51692.45
35 XXXXXX Cash Reserves 136607.54 65961.54
36 XXXXXX Cash Reserves 37704.20 90691.47
142 XXXXXX Cash Reserves 97789.00 110575.37
143 XXXXXX Cash Reserves 139738.00 151205.58
144 XXXXXX Cash Reserves 88977.60 100396.52
144 XXXXXX Property Type Detached PUD Attached PUD
144 XXXXXX Sales Price XXXXXX XXXXXX
145 XXXXXX Cash Reserves 350049.00 573954.71
393 XXXXXX Cash Reserves 97432.00 154594.94
393 XXXXXX Debt to Income Ratio (Back) 38.4560 41.9128
307 XXXXXX Cash Reserves 110933.00 130970.14
450 XXXXXX Cash Reserves 108077.00 120767.86
146 XXXXXX Cash Reserves 31105.00 33994.48
37 XXXXXX Cash Reserves 25045.70 348479.27
37 XXXXXX Debt to Income Ratio (Back) 18.3500 22.9275
217 XXXXXX Cash Reserves 278784.00 295950.67
217 XXXXXX Total Monthly Income 13031.00 12763.92
405 XXXXXX Cash Reserves 108673.00 136051.83
334 XXXXXX Cash Reserves 71805.70 110143.51
242 XXXXXX Cash Reserves 44273.20 58859.12
38 XXXXXX Cash Reserves 404383.00 404485.90
39 XXXXXX Cash Reserves 227251.00 245557.67
147 XXXXXX Cash Reserves 231040.00 369531.00
148 XXXXXX Cash Reserves 76337.00 98861.07
366 XXXXXX Cash Reserves 22949.90 52977.22
309 XXXXXX Cash Reserves 114777.00 119655.62
309 XXXXXX Total Monthly Income 30559.68 29566.48
275 XXXXXX Cash Reserves 195941.00 196373.56
275 XXXXXX Original Appraised Value XXXXXX XXXXXX
149 XXXXXX Cash Reserves 43965.60 37967.49
149 XXXXXX Original Appraised Value XXXXXX XXXXXX
150 XXXXXX Original Appraised Value XXXXXX XXXXXX
42 XXXXXX Cash Reserves 1319510.00 637674.03
42 XXXXXX Debt to Income Ratio (Back) 32.9210 39.6300
42 XXXXXX Total Monthly Income 47913.33 49825.60
43 XXXXXX Borrower 1 Self Employed Flag Yes No
43 XXXXXX Cash Reserves 147235.00 153511.33
44 XXXXXX Cash Reserves 575306.00 181986.96
44 XXXXXX Debt to Income Ratio (Back) 42.9840 41.8886
44 XXXXXX Total Monthly Income 18522.24 19006.67
45 XXXXXX Cash Reserves 55716.80 55850.31
45 XXXXXX Original Appraised Value XXXXXX XXXXXX
46 XXXXXX Cash Reserves 81474.30 98832.40
46 XXXXXX Debt to Income Ratio (Back) 28.7040 22.6108
46 XXXXXX Representative Credit Score for Grading 776 763
47 XXXXXX Cash Reserves 237961.00 225363.96
47 XXXXXX Debt to Income Ratio (Back) 18.2570 20.4858
47 XXXXXX Total Monthly Income 28840.65 37057.21
48 XXXXXX Cash Reserves 114842.00 104587.68
48 XXXXXX Debt to Income Ratio (Back) 32.0750 35.7198
48 XXXXXX Original Appraised Value XXXXXX XXXXXX
49 XXXXXX Cash Reserves 32904.80 33347.22
50 XXXXXX Cash Reserves 107600.00 113642.59
50 XXXXXX Debt to Income Ratio (Back) 33.4570 32.0376
50 XXXXXX Total Monthly Income 12406.63 12598.50
243 XXXXXX Property Type SFR Detached PUD
51 XXXXXX Debt to Income Ratio (Back) 37.6350 35.5503
51 XXXXXX Total Monthly Income 19510.28 20404.03
53 XXXXXX Cash Reserves 28255.50 35609.81
54 XXXXXX Cash Reserves 74398.80 75567.01
152 XXXXXX Cash Reserves 51526.40 54954.97
55 XXXXXX Cash Reserves 322587.00 322842.01
55 XXXXXX Total Monthly Income 25581.49 25281.45
244 XXXXXX Cash Reserves 139113.00 122391.30
218 XXXXXX Cash Reserves 70355.00 80643.02
310 XXXXXX Cash Reserves 235528.00 241287.96
153 XXXXXX Cash Reserves 108729.00 115905.43
154 XXXXXX Cash Reserves 601672.00 815132.63
429 XXXXXX Cash Reserves 33366.00 33232.57
277 XXXXXX Original Appraised Value XXXXXX XXXXXX
277 XXXXXX Property Type Rowhouse Detached PUD
356 XXXXXX Cash Reserves 2552440.00 4381497.63
312 XXXXXX Cash Reserves 70255.60 150639.34
313 XXXXXX Borrower 1 Self Employed Flag No Yes
313 XXXXXX Cash Reserves 159531.00 160897.88
335 XXXXXX Cash Reserves 59355.80 91748.75
335 XXXXXX Total Monthly Income 26966.88 27676.85
421 XXXXXX Cash Reserves 105321.00 111434.41
451 XXXXXX Debt to Income Ratio (Back) 27.9420 32.2792
336 XXXXXX Cash Reserves 110887.00 107039.06
336 XXXXXX Property Type Low Rise Condo (1-4) High Rise Condo (9+)
336 XXXXXX Total Monthly Income 43153.25 42337.04
394 XXXXXX Borrower 1 Self Employed Flag No Yes
394 XXXXXX Original Appraised Value XXXXXX XXXXXX
394 XXXXXX Total Monthly Income 22446.58 22877.13
459 XXXXXX Debt to Income Ratio (Back) 37.8860 36.6549
459 XXXXXX Original Appraised Value XXXXXX XXXXXX
459 XXXXXX Total Monthly Income 16316.67 16761.75
367 XXXXXX Cash Reserves 27998.40 31016.78
337 XXXXXX Cash Reserves 102666.00 94559.86
337 XXXXXX Debt to Income Ratio (Back) 41.2320 39.3545
468 XXXXXX Cash Reserves 44240.80 50111.90
56 XXXXXX Cash Reserves 306926.00 277721.25
155 XXXXXX Cash Reserves 171936.00 199430.05
57 XXXXXX Cash Reserves 62062.60 374276.60
57 XXXXXX Total Monthly Income 22351.21 22640.48
58 XXXXXX Borrower 1 Self Employed Flag No Yes
58 XXXXXX Cash Reserves 283286.00 290238.27
58 XXXXXX Property Type SFR Detached PUD
59 XXXXXX Cash Reserves 61079.20 60967.91
60 XXXXXX Cash Reserves 133845.00 141719.86
156 XXXXXX Cash Reserves 722636.00 727822.11
61 XXXXXX Borrower 1 Self Employed Flag No Yes
61 XXXXXX Cash Reserves 159581.00 160239.29
61 XXXXXX Debt to Income Ratio (Back) 39.4220 38.2065
62 XXXXXX Cash Reserves 193111.00 343418.20
314 XXXXXX Cash Reserves 494811.00 798271.10
314 XXXXXX Original Appraised Value XXXXXX XXXXXX
63 XXXXXX Cash Reserves 304196.00 301405.99
63 XXXXXX Debt to Income Ratio (Back) 26.7460 28.4924
63 XXXXXX Total Monthly Income 47431.41 46590.56
157 XXXXXX Total Cash Out 0.00 144.08
64 XXXXXX Cash Reserves 31683.50 31439.48
64 XXXXXX Representative Credit Score for Grading 781 802
158 XXXXXX Cash Reserves 408723.00 411876.73
158 XXXXXX Debt to Income Ratio (Back) 33.7900 31.6205
158 XXXXXX Property Type Low Rise Condo (1-4) Site Condo
65 XXXXXX Cash Reserves 39074.70 39905.21
66 XXXXXX Cash Reserves 65717.20 68546.16
67 XXXXXX Cash Reserves 820004.00 865035.95
67 XXXXXX Debt to Income Ratio (Back) 27.0920 36.3010
67 XXXXXX Total Monthly Income 27666.68 31666.67
68 XXXXXX Cash Reserves 177792.00 183609.48
245 XXXXXX Cash Reserves 32780.90 39272.52
159 XXXXXX Cash Reserves 1197950.00 1248347.27
69 XXXXXX Cash Reserves 55421.70 56537.29
69 XXXXXX Property Type Attached PUD Detached PUD
70 XXXXXX Cash Reserves 30469.60 53362.50
70 XXXXXX Debt to Income Ratio (Back) 40.1350 37.8017
71 XXXXXX Cash Reserves 157545.00 159151.94
72 XXXXXX Cash Reserves 172695.00 350815.39
160 XXXXXX Cash Reserves 129899.00 129338.80
160 XXXXXX Debt to Income Ratio (Back) 39.9440 38.1105
160 XXXXXX Total Cash Out '-560.56 0.00
160 XXXXXX Total Monthly Income 26634.49 28991.28
73 XXXXXX Cash Reserves 198643.00 205411.38
162 XXXXXX Cash Reserves 112813.00 335685.86
281 XXXXXX Cash Reserves 377814.00 434004.05
281 XXXXXX Debt to Income Ratio (Back) 34.2210 37.7615
281 XXXXXX Original Appraised Value XXXXXX XXXXXX
281 XXXXXX Total Monthly Income 59466.43 53335.31
163 XXXXXX Cash Reserves 71728.80 102396.87
163 XXXXXX Debt to Income Ratio (Back) 32.2700 31.2672
164 XXXXXX Cash Reserves 215525.00 52876.35
165 XXXXXX Cash Reserves 389031.00 331962.25
165 XXXXXX Debt to Income Ratio (Back) 17.4960 31.8033
165 XXXXXX Total Monthly Income 75615.34 41595.34
166 XXXXXX Cash Reserves 75516.30 76250.34
220 XXXXXX Cash Reserves 65040.50 75341.74
221 XXXXXX Cash Reserves 80616.70 94288.17
282 XXXXXX Cash Reserves 87890.50 89390.86
282 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
167 XXXXXX Cash Reserves 224553.00 254045.54
283 XXXXXX Cash Reserves 332120.00 338198.44
283 XXXXXX Debt to Income Ratio (Back) 29.9110 27.8343
246 XXXXXX Cash Reserves 69414.00 65416.74
246 XXXXXX Original Appraisal Date XXXXXX XXXXXX
168 XXXXXX Cash Reserves 83015.90 67380.22
284 XXXXXX Cash Reserves 186726.00 187727.29
284 XXXXXX Debt to Income Ratio (Back) 32.7900 31.1596
284 XXXXXX Property Type Low Rise Condo (1-4) Mid Rise Condo  (5-8)
247 XXXXXX Cash Reserves 102748.00 121867.92
248 XXXXXX Cash Reserves 113056.00 117074.32
249 XXXXXX Total Monthly Income 22136.17 22754.76
338 XXXXXX Cash Reserves 78669.80 63054.36
250 XXXXXX Representative Credit Score for Grading 782 774
223 XXXXXX Cash Reserves 200420.00 207757.96
169 XXXXXX Cash Reserves 32088.70 59375.59
251 XXXXXX Cash Reserves 156584.00 160806.64
315 XXXXXX Cash Reserves 214453.00 257160.65
315 XXXXXX Debt to Income Ratio (Back) 24.5580 23.2365
252 XXXXXX Total Cash Out 434392.65 710395.23
339 XXXXXX Cash Reserves 82180.30 89594.20
395 XXXXXX Cash Reserves 771123.00 782123.54
395 XXXXXX Original Appraised Value XXXXXX XXXXXX
285 XXXXXX Cash Reserves 77799.90 86937.42
224 XXXXXX Cash Reserves 82613.70 51826.05
357 XXXXXX Cash Reserves 53707.70 58689.62
253 XXXXXX Cash Reserves 25922.40 55990.43
286 XXXXXX Cash Reserves 237511.00 257024.91
368 XXXXXX Cash Reserves 58626.70 60122.86
407 XXXXXX Cash Reserves 115742.00 116669.88
369 XXXXXX Total Monthly Income 13079.00 13333.34
358 XXXXXX Cash Reserves 153924.00 157773.96
316 XXXXXX Cash Reserves 143537.00 157097.89
316 XXXXXX Total Monthly Income 21306.29 21026.10
341 XXXXXX Cash Reserves 36015.40 49750.75
370 XXXXXX Cash Reserves 254988.00 259173.23
408 XXXXXX Cash Reserves 23491.60 27012.46
371 XXXXXX Cash Reserves 247668.00 267271.81
463 XXXXXX Cash Reserves 113182.00 125749.40
372 XXXXXX Cash Reserves 90349.70 42740.14
396 XXXXXX Cash Reserves 58020.40 40329.51
423 XXXXXX Cash Reserves 182000.00 184512.12
461 XXXXXX Cash Reserves 73900.90 83290.81
461 XXXXXX Debt to Income Ratio (Back) 38.7500 37.5090
478 XXXXXX Debt to Income Ratio (Back) 19.9560 21.2774
478 XXXXXX Property Type Attached PUD Detached PUD
410 XXXXXX Cash Reserves 143947.00 295662.05
470 XXXXXX Cash Reserves 424336.00 813726.15
287 XXXXXX Cash Reserves 86298.80 90267.29
287 XXXXXX Property Type SFR Detached PUD
74 XXXXXX Property Type Low Rise Condo (1-4) Site Condo
171 XXXXXX Cash Reserves 34278.70 36884.62
464 XXXXXX Cash Reserves 34803.60 35355.55
172 XXXXXX Cash Reserves 78252.20 77361.02
172 XXXXXX Debt to Income Ratio (Back) 27.8690 30.4957
397 XXXXXX Cash Reserves 29066.40 29987.08
411 XXXXXX Cash Reserves 49574.50 50088.98
225 XXXXXX Cash Reserves 627164.00 627422.54
75 XXXXXX Cash Reserves 115117.00 97520.64
317 XXXXXX Debt to Income Ratio (Back) 35.9160 34.2183
254 XXXXXX Cash Reserves 399823.00 406966.25
76 XXXXXX Cash Reserves 185447.00 76124.44
412 XXXXXX Cash Reserves 111363.00 111770.25
412 XXXXXX Sales Price XXXXXX XXXXXX
77 XXXXXX Cash Reserves 227860.00 233866.94
77 XXXXXX Debt to Income Ratio (Back) 33.2990 34.8972
78 XXXXXX Cash Reserves 108212.00 108972.01
174 XXXXXX Cash Reserves 125029.00 102848.26
255 XXXXXX Cash Reserves 407773.00 414531.34
79 XXXXXX Cash Reserves 62407.30 76017.04
413 XXXXXX Cash Reserves 58277.10 58773.40
413 XXXXXX Original Appraised Value XXXXXX XXXXXX
80 XXXXXX Cash Reserves 118775.00 129015.78
414 XXXXXX Debt to Income Ratio (Back) 21.0810 22.3973
414 XXXXXX Total Monthly Income 21458.43 20732.17
81 XXXXXX Cash Reserves 152376.00 169165.16
83 XXXXXX Cash Reserves 67966.80 75052.64
83 XXXXXX Debt to Income Ratio (Back) 38.6390 35.1535
83 XXXXXX Total Monthly Income 16435.84 16941.68
343 XXXXXX Cash Reserves 365414.00 776515.02
85 XXXXXX Cash Reserves 30723.80 32885.48
226 XXXXXX Cash Reserves 145763.00 156965.16
86 XXXXXX Cash Reserves 73651.00 75742.30
87 XXXXXX Cash Reserves 31699.00 75704.24
175 XXXXXX Cash Reserves 71170.50 73167.12
175 XXXXXX Debt to Income Ratio (Back) 40.6440 39.5377
88 XXXXXX Cash Reserves 328028.00 384116.13
89 XXXXXX Cash Reserves 172330.00 186520.62
227 XXXXXX Cash Reserves 80187.90 80617.59
227 XXXXXX Property Type Rowhouse Detached PUD
227 XXXXXX Total Monthly Income 29418.17 30000.00
373 XXXXXX Cash Reserves 110616.00 92580.47
373 XXXXXX Total Cash Out 300681.00 300000.00
176 XXXXXX Debt to Income Ratio (Back) 40.2000 41.3976
176 XXXXXX Total Monthly Income 13643.73 13249.02
177 XXXXXX Cash Reserves 141143.00 158701.10
178 XXXXXX Cash Reserves 40556.20 42648.88
90 XXXXXX Cash Reserves 47690.00 82152.97
344 XXXXXX Cash Reserves 39121.30 43542.40
345 XXXXXX Cash Reserves 270485.00 295759.70
91 XXXXXX Cash Reserves 219253.00 219565.64
92 XXXXXX Cash Reserves 74220.50 78442.70
256 XXXXXX Property Type Detached PUD Attached PUD
359 XXXXXX Cash Reserves 48416.00 47624.46
228 XXXXXX Cash Reserves 103949.00 105703.80
180 XXXXXX Cash Reserves 69154.10 70628.65
181 XXXXXX Cash Reserves 98784.70 94937.02
374 XXXXXX Total Cash Out 51271.98 395399.96
257 XXXXXX Cash Reserves 48754.60 48613.01
229 XXXXXX Cash Reserves 60318.00 62704.98
230 XXXXXX Cash Reserves 479156.00 487807.13
230 XXXXXX Original Appraised Value XXXXXX XXXXXX
360 XXXXXX Cash Reserves 92481.20 95774.37
360 XXXXXX Debt to Income Ratio (Back) 42.3420 40.0958
360 XXXXXX Property Type Low Rise Condo (1-4) Site Condo
182 XXXXXX Borrower 1 Self Employed Flag No Yes
182 XXXXXX Cash Reserves 70736.50 80324.31
318 XXXXXX Cash Reserves 21534.80 48576.46
319 XXXXXX Cash Reserves 226222.00 95234.52
319 XXXXXX Debt to Income Ratio (Back) 34.0550 32.4482
319 XXXXXX Original Appraised Value XXXXXX XXXXXX
319 XXXXXX Property Type SFR Detached PUD
258 XXXXXX Cash Reserves 137564.00 142293.68
320 XXXXXX Cash Reserves 41525.40 42823.86
320 XXXXXX Total Cash Out 79338.30 339143.97
183 XXXXXX Cash Reserves 59074.30 61697.57
346 XXXXXX Cash Reserves 99259.50 103284.45
259 XXXXXX Cash Reserves 85571.50 85097.80
321 XXXXXX Cash Reserves 66957.40 324495.11
288 XXXXXX Cash Reserves 54661.80 63081.73
289 XXXXXX Cash Reserves 309106.00 303222.59
289 XXXXXX Original Appraisal Date XXXXXX XXXXXX
322 XXXXXX Cash Reserves 35652.30 36278.99
322 XXXXXX Debt to Income Ratio (Back) 25.5360 23.9276
322 XXXXXX Representative Credit Score for Grading 757 766
375 XXXXXX Cash Reserves 49041.50 114687.06
375 XXXXXX Representative Credit Score for Grading 770 789
347 XXXXXX Cash Reserves 205672.00 218174.43
347 XXXXXX Original Appraised Value XXXXXX XXXXXX
347 XXXXXX Property City XXXXXX XXXXXX
376 XXXXXX Cash Reserves 67111.10 67856.49
376 XXXXXX Debt to Income Ratio (Back) 38.6080 36.8343
376 XXXXXX Representative Credit Score for Grading 708 732
445 XXXXXX Cash Reserves 145881.00 148986.86
348 XXXXXX Cash Reserves 41890.60 33099.65
349 XXXXXX Cash Reserves 1218270.00 1232127.75
349 XXXXXX Original Appraised Value XXXXXX XXXXXX
377 XXXXXX Cash Reserves 48188.90 48468.42
323 XXXXXX Cash Reserves 39744.20 196158.35
323 XXXXXX Total Monthly Income 11343.25 11557.41
465 XXXXXX Cash Reserves 49403.80 129478.93
362 XXXXXX Cash Reserves 155453.00 186003.58
350 XXXXXX Cash Reserves 85365.00 79434.21
378 XXXXXX Cash Reserves 615510.00 617941.11
415 XXXXXX Cash Reserves 109149.00 117172.48
416 XXXXXX Cash Reserves 60945.70 61588.46
466 XXXXXX Cash Reserves 283248.00 282551.46
434 XXXXXX Cash Reserves 87030.30 106297.11
471 XXXXXX Cash Reserves 38503.50 40054.94
454 XXXXXX Cash Reserves 74322.40 84324.55
454 XXXXXX Debt to Income Ratio (Back) 40.2900 38.4873
454 XXXXXX Total Monthly Income 15538.76 16192.91
462 XXXXXX Cash Reserves 23995.60 110039.05
462 XXXXXX Debt to Income Ratio (Back) 42.5090 41.2370
462 XXXXXX Representative Credit Score for Grading 791 772
426 XXXXXX Cash Reserves 98866.50 132988.10
426 XXXXXX Property Type Detached PUD Attached PUD
440 XXXXXX Cash Reserves 67376.60 67656.20
440 XXXXXX Debt to Income Ratio (Back) 30.3500 31.7188
472 XXXXXX Combined LTV 75.00 100.00
472 XXXXXX Original LTV 75.00 100.00
472 XXXXXX Sales Price XXXXXX XXXXXX
479 XXXXXX Cash Reserves 161325.00 162014.85
455 XXXXXX Cash Reserves 52725.80 61431.46
455 XXXXXX Total Monthly Income 11982.92 12163.00
446 XXXXXX Total Cash Out 282101.00 282310.40
93 XXXXXX Cash Reserves 49641.70 64828.86
184 XXXXXX Cash Reserves 43213.80 50796.98
185 XXXXXX Cash Reserves 26269.20 32226.25
94 XXXXXX Cash Reserves 77000.40 77455.43
94 XXXXXX Debt to Income Ratio (Back) 26.9890 25.8922
94 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
417 XXXXXX Cash Reserves 152216.00 168538.57
186 XXXXXX Cash Reserves 579925.32 562259.87
95 XXXXXX Cash Reserves 440126.00 454956.40
473 XXXXXX Debt to Income Ratio (Back) 27.3510 26.2070
187 XXXXXX Cash Reserves 57140.05 73407.63
188 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
189 XXXXXX Cash Reserves 199673.35 201764.41
190 XXXXXX Cash Reserves 63336.45 64997.24
260 XXXXXX Cash Reserves 280964.00 285660.47
474 XXXXXX Total Monthly Income 20492.26 20908.93
400 XXXXXX Cash Reserves 665435.00 672664.43
386 XXXXXX Cash Reserves 34731.20 35103.89
386 XXXXXX Debt to Income Ratio (Back) 29.5480 31.3207
386 XXXXXX Total Monthly Income 21815.75 20580.93
191 XXXXXX Cash Reserves 158736.00 145932.83
191 XXXXXX Debt to Income Ratio (Back) 38.0810 40.3855
191 XXXXXX Total Monthly Income 18157.39 17332.49
96 XXXXXX Cash Reserves 191168.00 452631.23
97 XXXXXX Cash Reserves 83720.50 71145.34
98 XXXXXX Cash Reserves 59614.50 73500.34
192 XXXXXX Cash Reserves 491530.00 507344.86
99 XXXXXX Cash Reserves 234776.00 238110.13
99 XXXXXX Property Type Low Rise Condo (1-4) Site Condo
447 XXXXXX Cash Reserves 134121.00 153255.79
447 XXXXXX Total Monthly Income 15777.34 16157.61
193 XXXXXX Cash Reserves 288859.00 239315.04
456 XXXXXX Cash Reserves 65393.90 343874.59
194 XXXXXX Cash Reserves 95062.00 117633.62
290 XXXXXX Cash Reserves 1237190.00 1275786.16
290 XXXXXX Total Monthly Income 12551.72 12722.44
401 XXXXXX Cash Reserves 115518.00 146819.12
100 XXXXXX Cash Reserves 79787.20 106889.42
351 XXXXXX Cash Reserves 51151.00 228959.82
101 XXXXXX Cash Reserves 243327.00 252333.80
102 XXXXXX Cash Reserves 202928.00 203096.18
102 XXXXXX Debt to Income Ratio (Back) 36.7840 41.3505
103 XXXXXX Cash Reserves 128219.00 91231.50
104 XXXXXX Cash Reserves 335904.00 335608.56
195 XXXXXX Cash Reserves 699566.00 713431.01
232 XXXXXX Cash Reserves 290747.00 269988.23
387 XXXXXX Cash Reserves 49919.90 60804.12
352 XXXXXX Cash Reserves 827101.00 822939.03
402 XXXXXX Cash Reserves 55748.80 60915.29
233 XXXXXX Cash Reserves 271101.00 171859.21
291 XXXXXX Cash Reserves 544979.00 548737.06
353 XXXXXX Cash Reserves 70844.30 81628.78
467 XXXXXX Debt to Income Ratio (Back) 16.7890 23.7062
467 XXXXXX Total Monthly Income 40156.00 28439.50
196 XXXXXX Cash Reserves 39178.70 37203.89
197 XXXXXX Cash Reserves 90006.40 97382.94
198 XXXXXX Cash Reserves 421438.00 475731.87
198 XXXXXX Debt to Income Ratio (Back) 34.6360 37.5386
198 XXXXXX Total Monthly Income 22869.81 20959.64
379 XXXXXX Cash Reserves 43906.80 43277.32
105 XXXXXX Cash Reserves 43074.70 33120.22
106 XXXXXX Cash Reserves 539619.00 611924.83
380 XXXXXX Cash Reserves 104031.00 123112.90
403 XXXXXX Cash Reserves 75246.70 94611.07
199 XXXXXX Cash Reserves 118279.00 118512.74
418 XXXXXX Cash Reserves 40295.20 39614.50
381 XXXXXX Cash Reserves 172749.00 201020.27
107 XXXXXX Cash Reserves 50970.30 55197.03
108 XXXXXX Cash Reserves 388717.00 412124.99
109 XXXXXX Cash Reserves 194518.00 194399.24
210 XXXXXX Cash Reserves 66576.20 53926.26
292 XXXXXX Cash Reserves 1077940.00 936892.15
262 XXXXXX Cash Reserves 39896.10 43806.99
262 XXXXXX Debt to Income Ratio (Back) 19.2930 22.1169
382 XXXXXX Cash Reserves 83911.00 86544.25
383 XXXXXX Cash Reserves 83537.70 71184.42
200 XXXXXX Cash Reserves 349571.00 697643.37
200 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
267 XXXXXX Cash Reserves 8277.55 7831.32
201 XXXXXX Cash Reserves 495409.00 492945.50
110 XXXXXX Cash Reserves 279919.00 317283.11
111 XXXXXX Cash Reserves 253195.00 256905.01
111 XXXXXX Property Type Detached PUD Attached PUD
293 XXXXXX Cash Reserves 32691.10 133434.89
293 XXXXXX Debt to Income Ratio (Back) 29.3270 28.1617
202 XXXXXX Cash Reserves 153753.00 177082.89
264 XXXXXX Cash Reserves 102769.00 107843.76
294 XXXXXX Cash Reserves 124980.00 134491.77
427 XXXXXX Cash Reserves 35025.60 49594.27
427 XXXXXX Property Type Detached PUD Attached PUD
404 XXXXXX Cash Reserves 34309.80 78961.14
112 XXXXXX Cash Reserves 132079.00 155925.97
112 XXXXXX Debt to Income Ratio (Back) 40.3940 41.8884
203 XXXXXX Cash Reserves 385942.00 384141.63
295 XXXXXX Cash Reserves 65297.00 67123.27
295 XXXXXX Debt to Income Ratio (Back) 37.0700 35.7295
1 XXXXXX Debt to Income Ratio (Back) 25.6240 24.6204
1 XXXXXX Total Monthly Expenses/Debt 9217.59 8856.64
2 XXXXXX Total Monthly Expenses/Debt 6732.58 6965.49
3 XXXXXX Cash Reserves 425207.00 593109.23
4 XXXXXX Borrower 2 Length of Employment 0.00 1.92
4 XXXXXX Cash Reserves 469459.00 542793.17
4 XXXXXX Debt to Income Ratio (Back) 39.2330 40.3199
4 XXXXXX Total Monthly Expenses/Debt 7964.37 8184.94
5 XXXXXX Borrower 2 Length of Employment 0.00 4.00
5 XXXXXX Cash Reserves 40877.00 54330.86
6 XXXXXX Borrower 2 Length of Employment 0.00 3.92
6 XXXXXX Cash Reserves 75097.50 86008.90
6 XXXXXX Total Monthly Expenses/Debt 5422.74 5615.41
7 XXXXXX Cash Reserves 335446.00 271328.17
8 XXXXXX Borrower 2 Length of Employment 0.00 8.75
8 XXXXXX Borrower1 Length of Employment 12.58 12.92
8 XXXXXX Cash Reserves 24016.60 31697.06
8 XXXXXX Representative Credit Score for Grading 0 783