TOTAL BALANCE Clause Samples

TOTAL BALANCE. 26,381,126.99 *************************** * END OF REPORT * *************************** 1 RUN ON : 02/21/01 RFC DISCLOSURE SYSTEM RFFSD177-01 AT : 20.29.12 FIXED RATE LOAN LISTING AMORTIZED BALANCE SERIES : RAMP 2001-RZ1 CUTOFF : 02/01/01 POOL : 0004484 : : POOL STATUS: F RFC LOAN # S/S CODE PMT TYPE ORIGINAL BAL LOAN FEATURE ORIG TERM PRINCIPAL BAL # OF UNITS ORIG RATE ORIGINAL P+I LTV CURR NET CURRENT P+I VALUE CITY STATE ZIP LOAN PURP NOTE DATE MI CO CODE SERVICER LOAN # PROP TYPE 1ST PMT DATE MI CVG SELLER LOAN # OCCP CODE MATURITY DATE INVESTOR LOAN # ______________________________________________________________________________ 1999535 T24/G01 F 328,100.00 ZZ 360 327,381.37 1 10.125 2,909.67 107 9.875 2,909.67 307,500.00 ▇▇▇ ▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 08/16/00 23 0432286649 03 10/01/00 0 09741316 O 09/01/30 0 3781005 685/G01 F 280,000.00 ZZ 360 279,365.08 1 8.875 2,227.81 100 8.625 2,227.81 280,000.00 ▇▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 09/26/00 23 0432315828 05 11/01/00 0 123632 O 10/01/30 0 3781156 069/G01 F 304,000.00 ZZ 360 302,115.13 1 9.500 2,556.20 105 9.250 2,556.20 290,000.00 ▇▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 09/22/00 23 0432425080 05 11/01/00 0 1 35188083241 O 10/01/30 0 3822004 T24/G01 F 283,250.00 ZZ 360 282,695.37 1 11.375 2,778.02 103 11.125 2,778.02 275,000.00 ▇▇▇▇▇▇▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 09/08/00 23 0432555845 05 11/01/00 0 09750582 O 10/01/30 0 3861628 T24/G01 F 312,950.00 T 360 312,445.96 1 10.500 2,862.68 107 10.250 2,862.68 292,500.00 ▇▇▇▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 09/13/00 23 0432440931 09 11/01/00 0 09765402 O 10/01/30 0 3863352 526/G01 F 290,000.00 ZZ 360 289,605.32 1 10.000 2,544.96 100 9.750 2,544.96 290,000.00 ▇▇▇ ▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 10/26/00 23 0432416949 05 12/01/00 0 0426109 O 11/01/30 0 3869334 B57/G01 F 300,000.00 ZZ 360 299,587.73 1 9.875 2,605.05 99 9.625 2,605.05 305,000.00 ▇▇▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 10/11/00 23 0432423564 05 12/01/00 0 2014587 O 11/01/30 0 3887349 U05/G01 F 316,200.00 ZZ 360 315,776.85 1 10.000 2,774.88 103 9.750 2,774.88 307,000.00 ▇▇▇ ▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 10/18/00 23 0432422053 05 12/01/00 0 3078181 O 11/01/30 0 3902933 M43/G01 F 286,300.00 ZZ 360 285,378.95 1 8.875 2,277.94 99 8.625 2,277.94 290,000.00 ▇▇▇▇▇▇▇▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 10/13/00 23 0432375426 03 12/01/00 0 736316623 O 11/01/30 0 3907973 E22/G01 F 294,000.00 ZZ 360 293,516.05 1 9.250 2,418.67 105 9.000 2,418.67 280,000.00 ▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 1 10/09/00 23 0412165003 05 12/01/00 0 0412165003 O 11/01/30 0 3923608 K15/G01 F 288,300.00 ZZ 360 287,988.77 1 11.000 2,745.55 103 10.750 2,745.55 280,000.00 ▇▇▇▇▇▇▇▇▇▇▇ ▇▇ ▇▇▇▇▇ 5 ...
TOTAL BALANCE. 26,381,126.99 RUN ON : 02/21/01 RFC DISCLOSURE SYSTEM RFFSDFIX-01 AT : 20.29.12 INITIAL SECURITY FEES AMORTIZED BALANCE SERIES : RAMP 2001-RZ1 GRO FIXED SUMMARY REPORT CUTOFF : 02/01/01 POOL : 0004484 : : POOL STATUS: F WEIGHTED AVERAGES FROM TO --------------------------------------------------------------------------- CURR NOTE RATE 9.8412 8.8750 11.3750 RFC NET RATE 9.5383 8.5000 11.1250 NET MTG RATE(INVSTR RATE) 9.4583 8.4200 11.0450 POST STRIP RATE .0000 .0000 .0000 SUB SERV FEE .3029 .2500 .5000 MSTR SERV FEE .0800 .0800 .0800 ALL EXP .0000 .0000 .0000 MISC EXP .0000 .0000 .0000 SPREAD .0000 .0000 .0000 STRIP 9.4583 8.4200 11.0450
TOTAL BALANCE. 12,465,437.36 *************************** * END OF REPORT * *************************** 1 RUN ON : 12/21/00 RFC DISCLOSURE SYSTEM RFFSD175-01 AT : 09.15.57 NONFIXED RATE LOAN LISTING AMORTIZED BALANCE SERIES : RAMP 2000-RS4 M CUTOFF : 12/01/00 POOL : 0004477 : : POOL STATUS: F RFC LOAN # ORIG RATE ORIGINAL BAL MAX NEG AM MORTGAGOR NAME CURR RATE PRINCIPAL BAL LN FEATURE CURR NET ORIGINAL P+I # OF UNITS NOTE CEILING CURRENT P+I LTV CITY STATE ZIP NET CEILING NOTE DATE VALUE SERVICER LOAN # NOTE FLOOR 1ST PMT DT MI CO CODE SELLER LOAN # NET FLOOR MATURITY DT MI CVG INVSTR LOAN # GROSS MARGIN 1ST INTCHGDT NXT INTCHGDT S/S CODE NET MARGIN 1ST PMTCHGDT NXT PMTCHGDT INT CHG PRIOR DAYS 1ST YR FLR PMT CAP INCR PMT CAP DECR PMT TYPE 1ST YR CEIL INT FREQ MOS PMT FREQ MOS ORIG TERM ADJ INDEX PERIOD INCR PERIOD DECR NOTE LF INCR RND NOTE TYPE RND NOTE METH RND NOTE FCTR NET LF INCR RND NET TYPE RND NET METH RND NET FCTR NOTE LF DECR LOAN PURP CNVRT CODE FROM WINDOW NET LF DECR PROP TYPE CNVT INDEX TO WINDOW OCCP CODE CNVT MARGIN ______________________________________________________________________________ 4014390 9.0900 700,000.00 100 CALIBER INVESTMENTS LLC 9.0900 693,883.13 ZZ 8.8650 5,917.58 46 .0000 5,917.58 70 CHICAGO IL 60653 .0000 12/03/99 1,000,000.00 10542 .0000 02/01/00 00 10542 .0000 01/01/10 0 0 .0000 00/00/00 00/00/00 Q63/W22 .0000 00/00/00 00/00/00 0 .0000 .0000 .0000 F .0000 0 0 120 0 .0000 .0000 .0000 X X .0000 .0000 X X .0000 .0000 1 00 00/00/00 .0000 23 0 00/00/00 N .0000 4014392 8.0000 468,000.00 100 GOLD INVESTMENTS LLC 8.0000 453,296.57 ZZ 7.7750 3,612.10 48 .0000 3,612.10 78 PURCELL OK 73080 .0000 05/13/98 600,000.00 1881677 .0000 07/01/98 00 1881677 .0000 06/01/08 0 0 .0000 00/00/00 00/00/00 1 Q63/W22 .0000 00/00/00 00/00/00 0 .0000 .0000 .0000 F .0000 0 0 120 0 .0000 .0000 .0000 X X .0000 .0000 X X .0000 .0000 1 00 00/00/00 .0000 23 0 00/00/00 N .0000 4014393 7.6250 315,000.00 100 THE 012-015 APTS,LLC 7.6250 303,641.31 ZZ 7.4000 2,353.49 9 .0000 2,353.49 75 EL MONTE CA 91732 .0000 03/13/98 420,000.00 1881685 .0000 05/01/98 00 1881685 .0000 04/01/13 0 0 .0000 00/00/00 00/00/00 Q63/W22 .0000 00/00/00 00/00/00 0 .0000 .0000 .0000 F .0000 0 0 180 0 .0000 .0000 .0000 X X .0000 .0000 X X .0000 .0000 2 00 00/00/00 .0000 23 0 00/00/00 N .0000 4014394 8.3750 262,000.00 100 CHANDLER COURT, LLC 8.3750 248,361.79 ZZ 8.1500 2,253.01 12 .0000 2,253.01 80 NASHUA NH 03064 .0000 04/03/98 330,000.00 1881700 .0000 06/01/98 00 1881700 .0000 05/01/18 0 0 .0000 00/...
TOTAL BALANCE. 12,465,437.36 RUN ON : 12/21/00 RFC DISCLOSURE SYSTEM RFFSDARM-01 AT : 09.15.57 INITIAL SECURITY FEES AMORTIZED BALANCE SERIES : RAMP 2000-RS4 MULT ARM SUMMARY REPORT CUTOFF : 12/01/00 POOL : 0004477 : : POOL STATUS: F WEIGHTED AVERAGES FROM TO ---------------------------------------------------------------------------- CURR NOTE RATE 8.1632 7.5000 9.0900 RFC NET RATE 7.9382 7.2750 8.8650 NET MTG RATE(INVSTR RATE) 7.7482 7.0850 8.6750 POST STRIP RATE 7.7482 7.0850 8.6750 SUB SERV FEE .2250 .2250 .2250 MSTR SERV FEE .0500 .0500 .0500 ALL EXP .0000 .0000 .0000 MISC EXP .1400 .1400 .1400 SPREAD .0000 .0000 .0000 STRIP .0000 .0000 .0000 RFC NET CEILING(MX RFC NET RT) .0000 .0000 .0000 MAX NET MTG RT(MAX INV RT) -.1900 -.1900 -.1900 MAX POST STRIP RATE -.1900 -.1900 -.1900 INV RATE MARGIN -.1900 -.1900 -.1900 POST STRIP MARGIN -.1900 -.1900 -.1900
TOTAL BALANCE. 600,000,501.91
TOTAL BALANCE. 3,897,696.06 RUN ON : 06/18/02 RFC DISCLOSURE SYSTEM RFFSDARM-01 AT : 14.30.19 INITIAL SECURITY FEES AMORTIZED BALANCE SERIES : MULTIPLE POOLS ARM SUMMARY REPORT CUTOFF : 06/01/02 POOL : 0004594 0004595 0004596 0004597 : : POOL STATUS: WEIGHTED AVERAGES FROM TO -------------------------------------------------------------------------- CURR NOTE RATE 5.2905 4.4050 7.3750 RFC NET RATE 4.8817 4.0300 6.7500 NET MTG RATE(INVSTR RATE) 4.8317 3.9800 6.7000 POST STRIP RATE 4.8317 3.9800 6.7000 SUB SERV FEE .4088 .3750 .6250 MSTR SERV FEE .0500 .0500 .0500 ALL EXP .0000 .0000 .0000 MISC EXP .0000 .0000 .0000 SPREAD .0000 .0000 .0000 STRIP .0000 .0000 .0000 RFC NET CEILING(MX RFC NET RT) 14.4875 12.6250 17.1250 MAX NET MTG RT(MAX INV RT) 14.4375 12.5750 17.0750 MAX POST STRIP RATE 14.4375 12.5750 17.0750 INV RATE MARGIN 2.2440 2.0750 2.5750 POST STRIP MARGIN 2.2440 2.0750 2.5750 TOTAL NUMBER OF LOANS: 52 TOTAL BALANCE........: 3,897,696.06 *************************** * END OF REPORT * *************************** 1 RUN ON : 06/18/02 RFC DISCLOSURE SYSTEM RFFSD175-01 AT : 14.30.19 NONFIXED RATE LOAN LISTING AMORTIZED BALANCE SERIES : MULTIPLE POOLS CUTOFF : 06/01/02 POOL : 0004594 0004595 0004596 0004597 : : POOL STATUS: RFC LOAN # ORIG RATE ORIGINAL BAL MAX NEG AM MORTGAGOR NAME CURR RATE PRINCIPAL BAL LN FEATURE CURR NET ORIGINAL P+I # OF UNITS NOTE CEILING CURRENT P+I LTV CITY STATE ZIP NET CEILING NOTE DATE SERVICER LOAN # NOTE FLOOR 1ST PMT DT MI CO CODE SELLER LOAN # NET FLOOR MATURITY DT MI CVG INVSTR LOAN # GROSS MARGIN 1ST INTCHGDT NXT INTCHGDT S/S CODE NET MARGIN 1ST PMTCHGDT NXT PMTCHGDT INT CHG PRIOR DAYS 1ST YR FLR PMT CAP INCR PMT CAP DECR PMT TYPE 1ST YR CEIL INT FREQ MOS PMT FREQ MOS ORIG TERM ADJ INDEX PERIOD INCR PERIOD DECR NOTE LF INCR RND NOTE TYPE RND NOTE METH RND NOTE FCTR NET LF INCR RND NET TYPE RND NET METH RND NET FCTR NOTE LF DECR LOAN PURP CNVRT CODE FROM WINDOW NET LF DECR PROP TYPE CNVT INDEX TO WINDOW OCCP CODE CNVT MARGIN ______________________________________________________________________________ 1192318 6.8750 204,000.00 100 6.8750 140,485.83 ZZ 6.5000 1,771.44 1 13.8750 1,166.50 80 SAN JOSE CA ▇▇▇▇▇ ▇▇.▇▇▇▇ 06/05/89 0656939 .0000 08/01/89 00 1692755 .0000 07/01/19 0 0 2.7500 01/01/90 07/01/02 372/G48 2.3750 02/01/90 08/01/02 45 .0000 .0000 .0000 A .0000 6 6 360 T 1.0000 1.0000 4.0000 S N .1250 4.7500 S N .1250 .0000 1 00 00/00/00 .0000 05 0 00/00/00 O .0000 1194916 7.3750 404,000.00 100 7.3750 328,314.79 ZZ 6.7500 2,859.49 1 14.1...

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