Subsidiary REMIC. The following table sets forth (or describes) the class designation, interest rate, and initial principal amount for each uncertificated REMIC interest in the Subsidiary REMIC: Subsidiary REMIC Interest Initial Principal Balance Interest Rate Corresponding Class of Master REMIC Certificates LT1-Grp 1 (1) 6.00% N/A LT1-1-X (2) (2) A-X LT1-1-PO (3) 0.00% A-P LT1-Grp 2 (4) 6.50% N/A LT1-2-X (5) (5) A-X LT1-Grp 3 (6) 5.50% N/A LT1-3-X (7) (7) C-X LT1-3-PO (8) 0.00% C-P LT1-Grp 4 (9) 6.00% N/A LT1-4-X (10) (10) D-X LT1-4-PO (11) 0.00% A-P LT1-Grp 5 (12) 6.50% N/A LT1-5-X (13) (13) D-X LT1-Grp 6 (14) 7.00% N/A LT1-6-X (15) (15) D-X LT1-Grp 7 (16) 7.00% N/A LT1-7-X (17) (17) D-X LT1-Grp 8 (18) 7.00% N/A LT1-8-X (19) (19) D-X LT1-R (20) (20) N/A ________________
Appears in 1 contract
Subsidiary REMIC. The following table sets forth (or describes) the class designation, interest rate, and initial principal amount for each uncertificated REMIC interest in the Subsidiary REMIC: Subsidiary REMIC Interest Initial Principal Balance Interest Rate Corresponding Class of Master REMIC Certificates LT1-Grp 1 (1) 6.005.50% N/A LT1-1-X (2) (2) A-X LT1-1-PO (3) 0.00% A-P LT1-Grp 2 (4) 6.50% N/A LT1-2-X (5) (5) A-X LT1-2-PO (6) 0.00% A-P LT1-Grp 3 (67) 5.506.00% N/A LT1-3-X (7) 8) (7) C8) D-X LT1-3-PO (8) 9) 0.00% CD-P LT1-Grp 4 (910) 6.006.50% N/A LT1-4-X (1011) (1011) D-X LT1-4-PO (11) 0.00% A-P LT1-Grp 5 (12) 6.50% N/A LT1-5-X (13) (13) D-X LT1-Grp 6 (14) 7.006.50% N/A LT1-6-X (15) (15) D-X LT1-Grp 7 (16) 7.006.50% N/A LT1-7-X (17) (17) D-X LT1-Grp 8 R (18) 7.00% N/A LT1-8-X (19) (19) D-X LT1-R (20) (2018) N/A ________________
Appears in 1 contract
Subsidiary REMIC. The following table sets forth (or describes) the class designationdesignations, principal balances and interest rate, and initial principal amount rates for each uncertificated REMIC interest in the Subsidiary REMIC: , each of which (other than the LT-R interest) is hereby designated as a regular interest in the Subsidiary REMIC Interest Initial Principal Balance Interest Rate Corresponding Class of Master (the “Subsidiary REMIC Certificates LT1Regular Interests”): LT-Grp 1 A1 (1) 6.00% N/A LT1-1-X (2) (2) AA-1 LT-X LT1A2A (1) (2) A-2A LT-A2B (1) (2) ▇-PO ▇▇ ▇▇-▇▇ (1) (2) A-3 LT-A4 (1) (2) A-4 LT-A5A (1) (2) A-5A LT-A5B (1) (2) A-5B LT-A6A (1) (2) A-6A LT-A6B (1) (2) A-6B LT-M1 (1) (2) M-1 LT-M2 (1) (2) M-2 LT-M3 (1) (2) M-3 LT-M4 (1) (2) M-4 LT-M5 (1) (2) M-5 LT-M6 (1) (2) M-6 LT-M7 (1) (2) M-7 LT-M8 (1) (2) M-8 LT-M9 (1) (2) M-9 LT-Q (1) (3) 0.00% A-P LT1-Grp 2 (4) 6.50% N/A LT1-2-X (5) (5) A-X LT1-Grp 3 (6) 5.50% N/A LT1-3-X (7) (7) C-X LT1-3-PO (8) 0.00% C-P LT1-Grp 4 (9) 6.00% N/A LT1-4-X (10) (10) D-X LT1-4-PO (11) 0.00% A-P LT1-Grp 5 (12) 6.50% N/A LT1-5-X (13) (13) D-X LT1-Grp 6 (14) 7.00% N/A LT1-6-X (15) (15) D-X LT1-Grp 7 (16) 7.00% N/A LT1-7-X (17) (17) D-X LT1-Grp 8 (18) 7.00% N/A LT1-8-X (19) (19) D-X LT1-R (20) (20) N/A ________________LT-R (4) (4) N/A
Appears in 1 contract
Sources: Pooling and Servicing Agreement (TBW Mortgage-Backed Trust Series 2006-6)
Subsidiary REMIC. The following table sets forth (or describes) the class designation, interest rate, and initial principal amount for each uncertificated REMIC interest in the Subsidiary REMICREMIC 1: Subsidiary REMIC 1 Interest Initial Principal Balance Interest Rate Corresponding Class of Master REMIC Certificates LT1-Grp 1 I (1) 6.005.75% N/A A(22) LT1-1I-X (2) (2) AI-X LT1-1I-PO (3) 0.00% A(4) I-P LT1-Grp 2 II (45) 6.506.25% N/A LT1-2II-X (56) (56) AD-X X-1 LT1-II-PO (7) (8) D-P-1 LT1-Grp 3 III (69) 5.507.00% N/A LT1-3-X (7) (7) C-X LT1-3-PO (8) 0.00% C-P LT1-Grp 4 (9) 6.00% N/A LT1-4III-X (10) (10) D-X X-1 LT1-4III-PO (11) 0.00% A(12) D-P P-1 LT1-Grp 5 IV (1213) 6.505.00% N/A LT1-5IV-X (1314) (1314) D-X X-2 LT1-IV-P (15) (16) D-P-2 LT1-Grp 6 V (1417) 7.005.50% N/A LT1-6V-X (1518) (1518) D-X X-2 LT1-Grp 7 (16) 7.00% N/A LT1V-7-X (17) (17) D-X LT1-Grp 8 (18) 7.00% N/A LT1-8-X PO (19) (1920) D-X P-2 LT1-R (2021) (2021) N/A ________________
Appears in 1 contract
Sources: Pooling and Servicing Agreement (CSFB Mortgage Backed Pass Thru Cert Series 2004-1)