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EXHIBIT 4.3

 

	
DATE:     January 16, 2007

	
 

	
TO:  The Supplemental Interest Trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust, by Deutsche
Bank National Trust Company, not individually, but solely as the Supplemental Interest Trust Trustee

	
ATTENTION:    Trust Administration WA07H1

	
TELEPHONE:     714-247-6258

	
FACSIMILE:     714-656-2626

	
 

	
FROM:    The Bank of New York

	
    Derivative Products Support Department

	
    Attn: Swap Confirmation Dept.

	
TELEPHONE:     212-804-5163/5103

	
FACSIMILE:   212-804-5818/5837

	
 

	
SUBJECT:  Fixed Income Derivatives Confirmation

	
 

	
REFERENCE NUMBER:  38760

 

The purpose of this long-form confirmation (“Confirmation”) is to confirm the terms and conditions of the Transaction
entered into on the Trade Date specified below (the “Transaction”) between The Bank of New York (“Party A”) and the supplemental interest trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust (the
“Supplemental Interest Trust”) (“Party B”), by Deutsche Bank National Trust Company, not individually, but solely as the supplemental interest trust trustee (the “Supplemental Interest Trust Trustee”) created under
the Pooling and Servicing Agreement, dated as of January 1, 2007, among WaMu Asset Acceptance Corp., as depositor (the “Depositor”), Washington Mutual Bank, as servicer (the “Servicer”), and as seller (the “Seller”) ,
Deutsche Bank National Trust Company, as trustee (the “Trustee”), and Deutsche Bank Trust Company Delaware, as Delaware trustee (the “Delaware Trustee”) (the “Pooling and Servicing Agreement”).  This Confirmation
evidences a complete and binding agreement between you and us to enter into the Transaction on the terms set forth below and replaces any previous agreement between us with respect to the subject matter hereof.  This Confirmation constitutes a
“Confirmation” and also constitutes a “Schedule” as referred to in the ISDA Master Agreement, and Paragraph 13 of a Credit Support Annex to the Schedule. 

 

1.  This
Confirmation shall supplement, form a part of, and be subject to an agreement in the form of the ISDA Master Agreement (Multicurrency - Cross Border) as published and copyrighted in 1992 by the International Swaps and Derivatives Association, Inc. (the “ISDA
Master Agreement”), as if Party A and Party B had executed an agreement in such form on the date hereof, with a Schedule as set forth in Item 3 of this Confirmation, and an ISDA Credit Support Annex (Bilateral Form - ISDA Agreements Subject to New York Law
Only version) as published and copyrighted in 1994 by the International Swaps and Derivatives Association, Inc., with Paragraph 13 thereof as set forth in Annex A hereto (the “Credit Support Annex”).  For the avoidance of doubt, the
Transaction described herein shall be the sole Transaction governed by such ISDA Master Agreement.  In the event of any inconsistency among any of the following documents, the relevant document first listed shall govern: (i) this Confirmation, exclusive of the
provisions set forth in Item 3 hereof and Annex A hereto; (ii) the provisions set forth in Item 3 hereof, which are incorporated by reference into the Schedule; (iii) the Credit Support Annex; (iv) the Definitions; and (v) the ISDA Master Agreement.

Each reference herein to a “Section” (unless specifically referencing the Pooling and Servicing Agreement) or to a “Section” “of this Agreement”
will be construed as a reference to a Section of the ISDA Master Agreement; each herein reference to a “Part” will be construed as a reference to the provisions herein deemed incorporated in a Schedule to the ISDA Master Agreement; each reference herein
to a “Paragraph” will be construed as a reference to a Paragraph of the Credit Support Annex.

2.   The terms of the particular Transaction to which this Confirmation relates are as follows:

Type of Transaction:     Interest Rate Swap

Notional Amount:  With respect to any Calculation Period, the amount set forth for such period on Schedule I attached
hereto.

Trade Date:   January 10, 2007

Effective Date:  February 25, 2007

Termination Date:  January 25, 2012

Fixed Amounts:

Fixed Rate Payer:  Party B

Fixed Rate Payer

Period End Dates:  The 25th calendar day of each month during the Term of this Transaction, commencing March
25, 2007, and ending on the Termination Date, with No Adjustment.

Fixed Rate Payer

Payment Dates:  The 25th calendar day of each month during the Term of this Transaction, commencing March 25, 2007, and ending on the
Termination Date, subject to adjustment in accordance with the Following Business Day Convention.

Fixed Rate:   4.999%

Fixed Rate Day

Count Fraction:  30/360

Floating Amounts:  

Floating Rate Payer:  Party A

Floating Rate Payer

Period End Dates:  The 25th calendar day of each month during the Term of this Transaction, commencing March
25, 2007, and ending on the Termination Date with No Adjustment.

Floating Rate Payer

Payment Dates:  The 25th
calendar day of each month during the Term of this Transaction, commencing March
25, 2007, and ending on the Termination Date, subject to adjustment in
accordance with the Following Business Day Convention.

Floating Rate Option:  USD-LIBOR-BBA

Designated Maturity:  One month

Floating Rate Day

Count Fraction:  30/360

Reset Dates:  The first day of each Calculation Period.

Compounding:  Inapplicable

Business Days:  New York

Business Day Convention:  Following

Calculation Agent:   Party A

3.   Provisions Deemed Incorporated in a Schedule to the ISDA Master Agreement:

Part 1.  Termination Provisions.

For the purposes of this Agreement:-

(a)   “Specified Entity” will not apply to Party A or Party B for any purpose.

(b)   “Specified Transaction” will have the meaning specified in Section 14.

(c)   Events of Default.

The statement below that an Event of Default will apply to a specific party means that upon the occurrence of such an Event of Default with respect to such party, the other party shall have the rights of a
Non-defaulting Party under Section 6 of this Agreement; conversely, the statement below that such event will not apply to a specific party means that the other party shall not have such rights.

(i)   The “Failure to Pay or
Deliver” provisions of Section 5(a)(i) will apply to Party A and will apply to Party B; provided, however, that Section 5(a)(i) is hereby amended by replacing the word “third” with the word “first”; provided, further, that
notwithstanding anything to the contrary in Section 5(a)(i), any failure by Party A to comply with or perform any obligation to be complied with or performed by Party A under the Credit Support Annex shall not constitute an Event of Default under Section 5(a)(i)
unless (A) a Required Ratings Downgrade Event has occurred and been continuing for 30 or more Local Business Days and (B) such failure is not remedied on or before the third Local Business Day after notice of such failure is given to Party A.

(ii)   The “Breach of Agreement”
provisions of Section 5(a)(ii) will apply to Party A and will not apply to Party B.

(iii)  The “Credit Support Default”
provisions of Section 5(a)(iii) will apply to Party A and will not apply to Party B except that Section 5(a)(iii)(1) will apply to Party B solely in respect of Party B’s obligations under Paragraph 3(b) of the Credit Support Annex; provided, however, that
notwithstanding anything to the contrary in Section 5(a)(iii)(1), any failure by Party A to comply with or perform any obligation to be complied with or performed by Party A under the Credit Support Annex shall not constitute an Event of Default under Section
5(a)(iii) unless (A) a Required Ratings Downgrade Event has occurred and been continuing for 30 or more Local Business Days and (B) such failure is not remedied on or before the third Local Business Day after notice of such failure is given to Party A.

(iv)   The “Misrepresentation” provisions of
Section 5(a)(iv) will apply to Party A and will not apply to Party B. 

(v)   The “Default under Specified
Transaction” provisions of Section 5(a)(v) will apply to Party A and will not apply to Party B.

(vi)   The “Cross Default” provisions of Section
5(a)(vi) will apply to Party A and will not apply to Party B.  For purposes of Section 5(a)(vi), solely with respect to Party A:

“Specified Indebtedness” will have the meaning specified in Section 14 ,except that such term shall not include obligations in respect of deposits received in the ordinary course of Party
A’s banking business.

“Threshold Amount” means with respect to Party A an amount equal to three percent (3%) of the consolidated shareholders’ equity of Party A and its subsidiaries or, if applicable, the
Eligible Guarantor and its subsidiaries.

(vii)  The “Bankruptcy” provisions of Section
5(a)(vii) will apply to Party A and will apply to Party B except that the provisions of Section 5(a)(vii)(2), (6) (to the extent that such provisions refer to any appointment contemplated or effected by the Pooling and Servicing Agreement or any appointment to which
Party B has not become subject), (7) and (9) will not apply to Party B; provided that, with respect to Party B only, Section 5(a)(vii)(4) is hereby amended by adding after the words “against it” the words “(excluding any proceeding or petition
instituted or presented by Party A or its Affiliates)”, and Section 5(a)(vii)(8) is hereby amended by deleting the words “to (7) inclusive” and inserting lieu thereof “, (3), (4) as amended, (5), (6) as amended, or (7)”.

(viii)The “Merger Without Assumption” provisions of Section 5(a)(viii) will apply to Party A and
will  apply to Party B.

(d)   Termination Events.

The statement below that a Termination Event will apply to a specific party means that upon the occurrence of such a Termination Event, if such specific party is the Affected Party with respect to a Tax
Event, the Burdened Party with respect to a Tax Event Upon Merger (except as noted below) or the non-Affected Party with respect to a Credit Event Upon Merger, as the case may be, such specific party shall have the right to designate an Early Termination Date in
accordance with Section 6 of this Agreement; conversely, the statement below that such an event will not apply to a specific party means that such party shall not have such right; provided, however, with respect to “Illegality” the statement that such
event will apply to a specific party means that upon the occurrence of such a Termination Event with respect to such party, either party shall have the right to designate an Early Termination Date in accordance with Section 6 of this Agreement.

(i)  The “Illegality” provisions of Section 5(b)(i) will apply to Party A and will apply to Party B.

(ii)   The “Tax Event” provisions of Section 5(b)(ii) will apply to Party A except that, for purposes of the application of Section 5(b)(ii) to Party A, Section 5(b)(ii) is hereby
amended by deleting the words “(x) any action taken by a taxing authority, or brought in a court of competent jurisdiction, on or after the date on which a Transaction is entered into (regardless of whether such action is taken or brought with respect to a
party to this Agreement) or (y)”, and the “Tax Event” provisions of Section 5(b)(ii) will apply to Party B. 

(iii)  The “Tax Event Upon Merger” provisions of Section 5(b)(iii) will apply to Party A and will apply to Party B, provided that Party A shall not be entitled to designate an Early
Termination Date by reason of a Tax Event upon Merger in respect of which it is the Affected Party.

(iv)  The “Credit Event Upon Merger” provisions of Section 5(b)(iv) will not apply to Party A and will not apply to Party B.

(e)   The “Automatic Early Termination” provision of Section 6(a) will not apply to Party A and will not apply to Party B.

(f)  Payments on Early Termination.  For the purpose of Section 6(e) of this Agreement:

(i)   Market Quotation will apply, provided,
however, that, in the event of a Derivative Provider Trigger Event, the following provisions will apply:

(A) The definition of Market Quotation in Section 14 shall be deleted in its entirety and replaced with the following:

“Market Quotation” means, with respect to one or more Terminated Transactions, a Firm Offer which is (1) made by a Reference Market-maker
that is an Eligible Replacement, (2) for an amount that would be paid to Party B (expressed as a negative number) or by Party B (expressed as a positive number) in consideration of an agreement between Party B and such Reference Market-maker to enter into a
Replacement Transaction, and (3) made on the basis that Unpaid Amounts in respect of the Terminated Transaction or group of Transactions are to be excluded but, without limitation, any payment or delivery that would, but for the relevant Early Termination Date, have
been required (assuming satisfaction of each applicable condition precedent) after that Early Termination Date is to be included.

(B)   The definition of Settlement Amount shall be deleted in its entirety and replaced with the following:

“Settlement Amount”means, with respect to any Early Termination Date, an amount (as determined by Party B) equal to:

(a)   If a Market Quotation for the relevant Terminated Transaction or group of Terminated Transactions is accepted by Party B so as to become legally binding on or before the day falling ten Local
Business Days after the day on which the Early Termination Date is designated, or such later day as Party B may specify in writing to Party A, but in either case no later than one Local Business Day prior to the Early Termination Date (such day, the “Latest
Settlement Amount Determination Day”), the Termination Currency Equivalent of the amount (whether positive or negative) of such Market Quotation;

(b)   If, on the Latest Settlement Amount Determination Day, no Market Quotation for the relevant Terminated Transaction or group of Terminated Transactions has been accepted by Party B so as to
become legally binding and one or more Market Quotations from Approved Replacements have been made and remain capable of becoming legally binding upon acceptance, the Settlement Amount shall equal the Termination Currency Equivalent of the
amount (whether positive or negative) of the lowest of such Market Quotations (for the avoidance of doubt, the lowest of such Market Quotations shall be the lowest Market Quotation of such Market Quotations expressed as a positive number or,
if any of such Market Quotations is expressed as a negative number, the Market Quotation expressed as a negative number with the largest absolute value); or

(c)   If, on the Latest Settlement Amount Determination Day, no Market Quotation for the relevant Terminated Transaction or group of Terminated Transactions is accepted by Party B so as to become
legally binding and no Market Quotation from an Approved Replacement remains capable of becoming legally binding upon acceptance, the Settlement Amount shall equal Party B’s Loss (whether positive or negative and without reference to any Unpaid Amounts) for the
relevant Terminated Transaction or group of Terminated Transactions.

(C)   If Party B requests Party A in writing to obtain Market Quotations, Party A shall use its reasonable efforts to do so before the Latest Settlement Amount Determination Day.

(D)  If the Settlement Amount is a negative number, Section 6(e)(i)(3) shall be deleted in its entirety and replaced with the following:

“(3) Second Method and Market Quotation. If the Second Method and Market Quotation apply, (I) Party B shall pay to Party A an amount equal to the absolute value of the Settlement Amount in
respect of the Terminated Transactions, (II) Party B shall pay to Party A the Termination Currency Equivalent of the Unpaid Amounts owing to Party A and (III) Party A shall pay to Party B the Termination Currency Equivalent of the Unpaid Amounts owing to Party B;
provided, however, that (x) the amounts payable under the immediately preceding clauses (II) and (III) shall be subject to netting in accordance with Section 2(c) of this Agreement and (y) notwithstanding any other provision of this Agreement, any amount payable by
Party A under the immediately preceding clause (III) shall not be netted-off against any amount payable by Party B under the immediately preceding clause (I).”

(E)   At any time on or before the Latest Settlement Amount Determination Day at which two or more Market Quotations from Approved Replacements remain capable of becoming legally binding upon
acceptance, Party B shall be entitled to accept only the lowest of such Market Quotations (for the avoidance of doubt, the lowest of such Market Quotations shall be the lowest Market Quotation of such Market Quotations expressed as a positive number or, if any of
such Market Quotations is expressed as a negative number, the Market Quotation expressed as a negative number with the largest absolute value).

(ii)   The Second Method will apply.

(g)   “Termination Currency” means USD.

(h)   Additional Termination Events.  Additional Termination Events will apply as provided in Part 5(c).

Part 2.    Tax Matters.

(a)   Tax Representations.

(i)  Payer Representations.  For the purpose of Section 3(e) of this Agreement

(A) Party A makes the following representation(s):

It is not required by any applicable law, as modified by the practice of any relevant governmental revenue authority, of any Relevant Jurisdiction to make any deduction or withholding
for or on account of any Tax from any payment (other than interest under Section 2(e), 6(d)(ii) or 6(e) of this Agreement) to be made by it to the other party under this Agreement.  In making this representation, it may rely on: the accuracy of any
representations made by the other party pursuant to Section 3(f) of this Agreement; (ii) the satisfaction of the agreement contained in Section 4(a)(i) or 4(a)(iii) of this Agreement and the accuracy and effectiveness of any document provided by the other party
pursuant to Section 4(a)(i) or 4(a)(iii) of this Agreement; and (iii) the satisfaction of the agreement of the other party contained in Section 4(d) of this Agreement, provided that it shall not be a breach of this representation where reliance is placed on clause
(ii) and the other party does not deliver a form or document under Section 4(a)(iii) by reason of material prejudice to its legal or commercial position.

(B)   Party B makes the following representation(s):

None.

(ii)   Payee Representations.  For the purpose of Section 3(f) of this Agreement:

(A)  Party A makes the following representation(s):

(x) It is a “U.S. person” (as that term is used in section 1.1441-4(a)(3)(ii) of the United States Treasury Regulations) for United States federal income tax purposes, (y)
it is a trust company duly organized and existing under the laws of the State of New York, and (y) its U.S. taxpayer identification number is 135160382.

(B)   Party B makes the following representation(s):

None.

(b)   Tax Provisions.

(i)  Gross Up.  Section 2(d)(i)(4) shall not apply to Party B as X, and Section 2(d)(ii) shall not apply to Party B as Y, in each case such that Party B shall not be required to
pay any additional amounts referred to therein.

(ii)   Indemnifiable Tax.  The definition of “Indemnifiable Tax” in Section 14 is deleted in its entirety and replaced with the following:

“Indemnifiable Tax”means, in relation to payments by Party A, any Tax and, in relation to payments by Party B, no Tax.

 

 Part 3.    Agreement to Deliver Documents.  

 (a)  For the purpose of Section 4(a)(i), tax forms, documents, or certificates to be delivered are:

	
Party required to deliver document

	
Form/Document/

Certificate

	
Date by which to

be delivered

	
Party A

	
A correct, complete and duly executed U.S. Internal Revenue Service Form W-9 (or successor thereto).

	
Upon the execution and delivery of this Agreement

	
Party B

	
An Internal Revenue Service Form W-9 as applicable or any successor form, accurately completed and in a manner reasonably
satisfactory to Party A, and will deliver any other tax forms relating to the beneficial owner of payments to Party B under this Agreement from time to time.

	
Upon the execution and delivery of this Agreement or soon thereafter, or upon any form previously provided becoming
obsolete

(b)   For the purpose of Section 4(a)(ii), other documents to be delivered are:

	
Party required to deliver document

	
Form/Document/

Certificate

	
Date by which to

be delivered

	
Covered by Section 3(d) Representation

	
Party A and

Party B

	
Any documents required by the receiving party to evidence the authority of the delivering party or its Credit Support Provider,
if any, for it to execute and deliver the Agreement, this Confirmation, and any Credit Support Documents to which it is a party, and to evidence the authority of the delivering party or its Credit Support Provider to perform its obligations under the Agreement, this
Confirmation and any Credit Support Document, as the case may be

	
Upon the execution and delivery of this Agreement

	
Yes

	
Party A and

Party B

	
A certificate of an authorized officer of the party, as to the incumbency and authority of the respective
officers of the party signing the Agreement, this Confirmation, and any relevant Credit Support Document, as the case may be

	
Upon the execution and delivery of this Agreement

	
Yes

	
Party A

	
A copy of the annual balance sheet of Party A for the most recently completed fiscal year and publicly available in its
regulatory call report

	
Promptly upon becoming publicly available; provided, if available on http://www.fdic.gov, such delivery is not
required

	
No

	
Party A

	
An opinion of counsel to Party A reasonably acceptable to Party B.

	
Upon the execution and delivery of this Agreement

	
No

	
Party B

	
An opinion of counsel to Party B as to the enforceability of this Confirmation reasonably acceptable to Party A.

	
Upon the execution and delivery of this Agreement

	
No

Part 4.  Miscellaneous.

(a)   Address for Notices:  For the purposes of Section 12(a) of this Agreement:

Address for notices or communications to Party A:

Address:  The Bank of New York

Swaps and Derivative Products Group

Global Market Division

32 Old Slip 15th Floor

New York, NY 10286

Attention: Steve Lawler

Facsimile: 212-495-1016

Phone: 212-804-2137

with a copy to:

The Bank of New York

Swaps and Derivative Products Group

32 Old Slip 16th Floor

New York, New York 10286

Attention: Andrew Schwartz

Tele: 212-804-5103

Fax: 212-804-5818/5837

(For all purposes)

A copy of any notice or other communication with respect to Sections 5 or 6 should also be sent to the addresses set out below:

The Bank of New York

Legal Department

One Wall Street – 10th Floor

New York, New York 10286

Attention: General Counsel

Address for notices or communications to Party B:

Address:  Corporate Trust Office

Deutsche Bank National Trust Company

1761 East Saint Andrew Place

Santa Ana, CA 92705-4934

Attention: Trust Administration WA07H1

Facsimile: 714-656-2626

Phone: 714-247-6000

(b)   Process Agent.  For the purpose of Section 13(c):

Party A appoints as its Process Agent:  Not applicable.

Party B appoints as its Process Agent:  Not applicable.

(c)   Offices.  The provisions of Section 10(a) will apply to this Agreement.

(d)   Multibranch Party.  For the purpose of Section 10(c) of this Agreement:

Party A is not a Multibranch Party.

Party B is not a Multibranch Party.

(e)   Calculation Agent.  The Calculation Agent is Party A; provided, however, that if an Event of Default shall have occurred with respect to Party A, Party B shall have the right to
appoint as Calculation Agent a third party, reasonably acceptable to Party A, the cost for which shall be borne by Party A.

(f)  Credit Support Document.

Party A:   The
Credit Support Annex, and any guarantee in support of Party A’s obligations under this Agreement.

Party B:  The Credit Support Annex, solely in respect of Party B’s obligations under Paragraph 3(b) of the Credit Support Annex.

(g)   Credit Support Provider.

Party A: The guarantor under any guarantee in support of Party A’s obligations under this Agreement.

Party B:  None.

(h)   Governing Law.  The parties to this Agreement hereby agree that the law of the State of New York shall govern their rights and duties in whole, without regard to the conflict of
law provisions thereof other than New York General Obligations Law Sections 5-1401 and 5-1402.

(i)  Netting of Payments.  The parties agree that subparagraph (ii) of Section 2(c) will apply to each Transaction hereunder. 

(j)  Affiliate.  “Affiliate” shall have the meaning assigned thereto in Section 14; provided, however, that Party B shall be deemed to have no Affiliates for purposes
of this Agreement, including for purposes of Section 6(b)(ii).

 

Part 5.    Others Provisions.

(a)   Definitions.  Unless otherwise specified in a Confirmation, this Agreement and each Transaction under this Agreement are subject to the 2000 ISDA Definitions as published and
copyrighted in 2000 by the International Swaps and Derivatives Association, Inc. (the “Definitions”), and will be governed in all relevant respects by the provisions set forth in the Definitions, without regard to any amendment to the Definitions
subsequent to the date hereof.  The provisions of the Definitions are hereby incorporated by reference in and shall be deemed a part of this Agreement, except that (i) references in the Definitions to a “Swap Transaction” shall be deemed references
to a “Transaction” for purposes of this Agreement, and (ii) references to a “Transaction” in this Agreement shall be deemed references to a “Swap Transaction” for purposes of the Definitions. Each term capitalized but not defined
in this Agreement shall have the meaning assigned thereto in the Pooling and Servicing Agreement.

(b)   Amendments to ISDA Master Agreement.

(i)  Single Agreement.  Section 1(c) is hereby amended by the adding the words “including, for the avoidance of doubt, the Credit Support Annex” after the words
“Master Agreement”. 

(ii)   Conditions Precedent.  Section 2(a)(iii) is hereby amended by adding the following at the end
thereof:

Notwithstanding anything to the contrary in Section 2(a)(iii)(1), if an Event of Default with respect to Party B or Potential Event of Default with respect to Party B has occurred and been continuing for more
than 30 Local Business Days and no Early Termination Date in respect of the Affected Transactions has occurred or been effectively designated by Party A, the obligations of Party A under Section 2(a)(i) shall cease to be subject to the condition precedent set forth
in Section 2(a)(iii)(1) with respect to such specific occurrence of such Event of Default or such Potential Event of Default (the “Specific Event”); provided, however, for the avoidance of doubt, the obligations of Party A under Section 2(a)(i)
shall be subject to the condition precedent set forth in Section 2(a)(iii)(1) (subject to the foregoing) with respect to any subsequent occurrence of the same Event of Default with respect to Party B or Potential Event of Default with respect to Party B after the
Specific Event has ceased to be continuing and with respect to any occurrence of any other Event of Default with respect to Party B or Potential Event of Default with respect to Party B that occurs subsequent to the Specific Event. 

(iii)  Change of Account.  Section 2(b) is hereby amended by the addition of the following after the word “delivery” in the first line
thereof:

“to another account in the same legal and tax jurisdiction as the original account”.

(iv)  Representations.  Section 3 is hereby amended by adding at the end thereof the following subsection (g):

“(g) Relationship Between Parties.

(1)   Nonreliance.  (i) It is not relying on any statement or representation of the other party regarding the Transaction (whether written or oral), other than the representations expressly
made in this Agreement or the Confirmation in respect of that Transaction and (ii) it has consulted with its own legal, regulatory, tax, business, investment, financial and accounting advisors to the extent it has deemed necessary, and it has made its own investment,
hedging and trading decisions based upon its own judgment and upon any advice from such advisors as it has deemed necessary and not upon any view expressed by the other party.

(2)   Evaluation and Understanding.  (i) It has the capacity to evaluate (internally or through independent professional advice) the Transaction and has made its own decision to enter into the
Transaction and (ii) It understands the terms, conditions and risks of the Transaction and is willing and able to accept those terms and conditions and to assume those risks, financially and otherwise.

(3)   Purpose.  It is entering into the Transaction for the purposes of managing its borrowings or investments, hedging its underlying assets or liabilities or in connection with a line of
business.

(4)   Status of Parties.  The other party is not acting as an agent, fiduciary or advisor for it in respect of the Transaction. 

(5)   Eligible Contract Participant.  It is an “eligible swap participant” as such term is defined in, Section 35.1(b)(2) of the regulations (17 C.F.R. 35) promulgated under, and an
“eligible contract participant” as defined in Section 1(a)(12) of the Commodity Exchange Act, as amended.”

(v)   Transfer to Avoid Termination Event.  Section 6(b)(ii) is hereby amended by (i) deleting the words “or if a Tax Event Upon Merger occurs and the Burdened Party is the
Affected Party,” and (ii) by deleting the words “to transfer” and inserting the words “to effect a Permitted Transfer” in lieu thereof.

(vi)  Jurisdiction.  Section 13(b) is hereby amended by: (i) deleting in the second line of subparagraph (i) thereof the word "non-", (ii) deleting
“; and” from the end of subparagraph 1 and inserting “.” in lieu thereof, and (iii) deleting the final paragraph thereof.

(vii) Local Business Day.  The definition of Local Business Day in Section 14 is hereby amended by the addition of the words “or any Credit Support Document” after “Section
2(a)(i)” and the addition of the words “or Credit Support Document” after “Confirmation”. 

(c)   Additional Termination Events.  The following Additional Termination Events will apply:

(i)    First Rating Trigger
Collateral.  If (A) it is not the case that a Moody’s Second Trigger Ratings Event has occurred and been continuing for 30 or more Local Business Days and (B) Party A has failed to
comply with or perform any obligation to be complied with or performed by Party A in accordance with the Credit Support Annex, then an Additional Termination Event shall have occurred with respect to Party A and Party A shall be the sole Affected Party with respect
to such Additional Termination Event. 

(ii)    Second Rating Trigger
Replacement.  If (A) a Required Ratings Downgrade Event has occurred and been continuing for 30 or more Local Business Days and (B) (i) at least one Eligible Replacement has made a Firm Offer to be the transferee
of all of Party A’s rights and obligations under this Agreement (and such Firm Offer remains an offer that will become legally binding upon such Eligible Replacement upon acceptance by the offeree) and/or (ii) an Eligible Guarantor has made a Firm Offer to
provide an Eligible Guarantee (and such Firm Offer remains an offer that will become legally binding upon such Eligible Guarantor immediately upon acceptance by the offeree), then an Additional Termination Event shall have occurred with respect to Party A and Party A
shall be the sole Affected Party with respect to such Additional Termination Event. 

(iii)  Amendment of Pooling and Servicing Agreement.  If, without the prior written consent of Party A where such consent is required under the Pooling and Servicing Agreement (such consent
not to be unreasonably withheld), an amendment is made to the Pooling and Servicing Agreement which amendment could reasonably be expected to have a material adverse effect on the interests of Party A (excluding, for the avoidance of doubt, any amendment to the
Pooling and Servicing Agreement that is entered into solely for the purpose of appointing a successor servicer, master servicer, securities administrator, trustee or other service provider) under this Agreement, an Additional Termination Event shall have occurred
with respect to Party B and Party B shall be the sole Affected Party with respect to such Additional Termination Event. 

(iv)  Optional Termination of Securitization.  An Additional Termination Event shall occur upon the notice to Certificateholders of an Optional Termination becoming unrescindable in
accordance with Article IX of the Pooling and Servicing Agreement (such notice, the “Optional Termination Notice”).  With respect to such Additional Termination Event:  (A) Party B shall be the sole Affected Party; (B) notwithstanding
anything to the contrary in Section 6(b)(iv) or Section 6(c)(i), the final Distribution Date specified in the Optional Termination Notice is hereby designated as the Early Termination Date for this Additional Termination Event in respect of all Affected Transactions;
(C) Section 2(a)(iii)(2) shall not be applicable to any Affected Transaction in connection with the Early Termination Date resulting from this Additional Termination Event; notwithstanding anything to the contrary in Section 6(c)(ii), payments and deliveries under
Section 2(a)(i) or Section 2(e) in respect of the Terminated Transactions resulting from this Additional Termination Event will be required to be made through and including the Early Termination Date designated as a result of this Additional Termination Event;
provided, for the avoidance of doubt, that any such payments or deliveries that are made on or prior to such Early Termination Date will not be treated as Unpaid Amounts in determining the amount payable in respect of such Early Termination Date; (D) notwithstanding
anything to the contrary in Section 6(d)(i), (I) if, no later than 4:00 pm New York City time on the day that is four Business Days prior to the final Distribution Date specified in the Optional Termination Notice, the Trustee requests the amount of the Estimated
Swap Termination Payment, Party A shall provide to the Trustee in writing (which may be done in electronic format) the amount of the Estimated Swap Termination Payment no later than 2:00 pm New York City time on the following Business Day and (II) if the Trustee
provides written notice (which may be done in electronic format) to Party A no later than two Business Days prior to the final Distribution Date specified in the Optional Termination Notice that all requirements of the Optional Termination have been met, then Party A
shall, no later than one Business Day prior to the final Distribution Date specified in the Optional Termination Notice, make the calculations contemplated by Section 6(e) of the ISDA Master Agreement (as amended herein) and provide to the Trustee in writing (which
may be done in electronic format) the amount payable by either Party B or Party A in respect of the related Early Termination Date in connection with this Additional Termination Event; provided, however, that the amount payable by Party B, if any, in respect of the
related Early Termination Date shall be the lesser of (x) the amount calculated to be due from Party B pursuant to Section 6(e) and (y) the Estimated Swap Termination Payment; and (E) notwithstanding anything to the contrary in this Agreement, any amount due from
Party B to Party A in respect of this Additional Termination Event will be payable on the final Distribution Date specified  in the Optional Termination Notice and any amount due from Party A to Party B in respect of this Additional Termination Event will be
payable one Business Day prior to the final Distribution Date specified  in the Optional Termination Notice. 

The Trustee shall be an express third party beneficiary of this Agreement as if a party hereto to the extent of the Trustee’s rights specified herein. 

(v)   Provision of Information Required by Regulation AB.  An Additional Termination Event shall occur if Party A fails to satisfy its obligations under Section 2 of that certain
Indemnification and Disclosure Agreement dated as of January 16, 2007 (the “IDA”) between Party A and Washington Mutual Bank.  For all purposes of this Agreement, Party A shall be the sole Affected Party with respect to the occurrence of an
Additional Termination Event described in this Part 5(c)(v).

(d)   Required Ratings Downgrade Event.  In the event that no Relevant Entity has credit ratings at least equal to the Required Ratings Threshold (such event, a “Required
Ratings Downgrade Event”), then Party A shall, as soon as reasonably practicable and so long as a Required Ratings Downgrade Event is in effect, at its own expense, using commercially reasonable efforts, procure either (A) a Permitted Transfer or (B) an
Eligible Guarantee from an Eligible Guarantor. 

(e)   [Reserved]

(f)  Transfers.

(i)  Section 7 is hereby amended to read in its entirety as follows:

“Except with respect to any Permitted Transfer pursuant to Section 6(b)(ii), Part 5(d), the IDA, or the succeeding sentence, neither Party A nor Party B is permitted to
assign, novate or transfer (whether by way of security or otherwise) as a whole or in part any of its rights, obligations or interests under the Agreement or any Transaction unless (a) the prior written consent of the other party is obtained, and (b) the Rating
Agency Condition has been satisfied with respect to S&P and  Fitch.  At any time at which no Relevant Entity has credit ratings at least equal to the Approved Ratings Threshold, Party A may make a Permitted Transfer.”  

(ii)   If an Eligible Replacement has made a Firm Offer (which remains an offer that will become legally binding upon acceptance by Party B) to be the transferee
pursuant to a Permitted Transfer, Party B shall, at Party A’s written request and at Party A’s expense, execute such documentation provided to it as reasonably deemed necessary by Party A.

(g)   Non-Recourse.  Party A acknowledges and agree that, notwithstanding any provision in this Agreement to the contrary, the obligations of Party B hereunder
are limited recourse obligations of Party B, payable solely from the Supplemental Interest Trust and the proceeds thereof, in accordance with the priority of payments and other terms of the Pooling and Servicing Agreement and that Party A will not have any recourse
to any of the directors, officers, agents, employees, shareholders or affiliates of the Party B with respect to any claims, losses, damages, liabilities, indemnities or other obligations in connection with any transactions contemplated hereby. In the event that the
Supplemental Interest Trust and the proceeds thereof, should be insufficient to satisfy all claims outstanding and following the realization of the account held by the Supplemental Interest Trust and the proceeds thereof, any claims against or obligations of Party B
under the ISDA Master Agreement or any other confirmation thereunder still outstanding shall be extinguished and thereafter not revive.  The Supplemental Interest Trust Trustee shall not have liability for any failure or delay in making a payment hereunder to
Party A due to any failure or delay in receiving amounts in the account held by the Supplemental Interest Trust from the Trust created pursuant to the Pooling and Servicing Agreement.  This provision will survive the termination of this Agreement.

(h)   Timing of Payments by Party B upon Early Termination.  Notwithstanding anything to the contrary in Section 6(d)(ii), to the extent that all or a portion (in either case, the
“Unfunded Amount”) of any amount that is calculated as being due in respect of any Early Termination Date under Section 6(e) from Party B to Party A will be paid by Party B from amounts other than any upfront payment paid to Party B by an Eligible
Replacement that has entered a Replacement Transaction with Party B, then such Unfunded Amount shall be due on the next subsequent Distribution Date following the date on which the payment would have been payable as determined in accordance with Section 6(d)(ii), and
on any subsequent Distribution Dates until paid in full (or if such Early Termination Date is the final Distribution Date, on such final Distribution Date); provided, however, that if the date on which the payment would have been payable as determined in accordance
with Section 6(d)(ii) is a Distribution Date, such payment will be payable on such Distribution Date.

(i)  Rating Agency Notifications.  Notwithstanding any other provision of this Agreement, no Early Termination Date shall
be effectively designated hereunder by Party B and no transfer of any rights or obligations under this Agreement shall be made by either party unless each Swap Rating Agency has been given prior written notice of such designation or transfer.

(j)  No Set-off.  Except as expressly provided for in Section 2(c), Section 6 or Part 1(f)(i)(D) hereof, and notwithstanding any other provision of this Agreement or any other
existing or future agreement, each party irrevocably waives any and all rights it may have to set off, net, recoup or otherwise withhold or suspend or condition payment or performance of any obligation between it and the other party hereunder against any obligation
between it and the other party under any other agreements.  Section 6(e) shall be amended by deleting the following sentence: “The amount, if any, payable in respect of an Early Termination Date and determined pursuant to this Section will be subject to
any Set-off.”.

(k)    Amendment.  Notwithstanding any provision to the contrary in
this Agreement, no amendment of either this Agreement or any Transaction under this Agreement shall be permitted by either party unless each of the Swap Rating Agencies has been provided prior written notice of the same and such amendment satisfies the Rating Agency
Condition with respect to S&P and Fitch.

(l)  Notice of Certain Events or Circumstances.  Each Party agrees, upon learning of the occurrence or existence of any event or condition that
constitutes (or that with the giving of notice or passage of time or both would constitute) an Event of Default or Termination Event with respect to such party, promptly to give the other Party and to each Swap Rating Agency notice of such event or condition;
provided that failure to provide notice of such event or condition pursuant to this Part 5(l) shall not constitute an Event of Default or a Termination Event.

(m)  Proceedings.  No Relevant Entity shall institute against, or cause any other person to institute against, or join any other person in instituting against Party B, the Supplemental
Interest Trust, or the Trust formed pursuant to the Pooling and Servicing Agreement, in any bankruptcy, reorganization, arrangement, insolvency or liquidation proceedings or other proceedings under any federal or state bankruptcy or similar law for a period of one
year (or, if longer, the applicable preference period) and one day following payment in full of the Certificates and any Notes.  This provision will survive the termination of this Agreement.

(n)   Supplemental Interest Trust Trustee Liability Limitations.  It is expressly understood and agreed by the parties hereto that (a) this Agreement is
executed and delivered by Deutsche Bank National Trust Company, not individually or personally but solely as the Supplemental Interest Trust Trustee, in the exercise of the powers and authority conferred and vested in it under the Pooling and Servicing Agreement, (b)
the representations, warranties, covenants, undertakings and agreements herein made on the part of the Supplemental Interest Trust are made and intended not as personal representations, undertakings and agreements by Deutsche Bank National Trust Company but are made
and intended for the purpose of binding only the Supplemental Interest Trust, (c) nothing herein contained shall be construed as creating any liability on Deutsche Bank National Trust Company, individually or personally, to perform any covenant either expressed or
implied contained herein, all such liability, if any, being expressly waived by the parties who are signatories to this Agreement and by any person claiming by, through or under such parties and (d) under no circumstances shall Deutsche Bank National Trust Company be
personally liable for the payment of any indemnity, indebtedness, fees or expenses of the Supplemental Interest Trust or be liable for the breach or failure of any obligation, representation, warranty or covenant made or undertaken by the Supplemental Interest Trust
under this Agreement.

(o)   Severability.  If any term, provision, covenant, or condition of this Agreement, or the application thereof to any party or circumstance, shall be held to be invalid or
unenforceable (in whole or in part) in any respect, the remaining terms, provisions, covenants, and conditions hereof shall continue in full force and effect as if this Agreement had been executed with the invalid or unenforceable portion eliminated, so long as this
Agreement as so modified continues to express, without material change, the original intentions of the parties as to the subject matter of this Agreement and the deletion of such portion of this Agreement will not substantially impair the respective benefits or
expectations of the parties; provided, however, that this severability provision shall not be applicable if any provision of Section 2, 5, 6, or 13 (or any definition or provision in Section 14 to the extent it relates to, or is used in or in connection with any such
Section) shall be so held to be invalid or unenforceable.

The parties shall endeavor to engage in good faith negotiations to replace any invalid or unenforceable term, provision, covenant or condition with a valid or enforceable term, provision, covenant or
condition, the economic effect of which comes as close as possible to that of the invalid or unenforceable term, provision, covenant or condition.

(p)   Agent for Party B.  Party A acknowledges that Party B has appointed the Supplemental Interest Trust Trustee as its agent under the Pooling and
Servicing Agreement to carry out its obligations hereunder, and that Supplemental Interest Trust Trustee shall be entitled to give notices and to perform and satisfy the obligations of Party B hereunder on behalf of Party B.

(q)   Escrow Payments.  If (whether by reason of the time difference between the cities in which payments are to be made or otherwise) it is not possible for
simultaneous payments to be made on any date on which both parties are required to make payments hereunder, either Party may at its option and in its sole discretion notify the other Party that payments on that date are to be made in escrow.  In this case
deposit of the payment due earlier on that date shall be made by 2:00 pm (local time at the place for the earlier payment) on that date with an escrow agent selected by the notifying party, accompanied by irrevocable payment instructions (i) to release the deposited
payment to the intended recipient upon receipt by the escrow agent of the required deposit of any corresponding payment payable by the other party on the same date accompanied by irrevocable payment instructions to the same effect or (ii) if the required deposit of
the corresponding payment is not made on that same date, to return the payment deposited to the party that paid it into escrow.  The party that elects to have payments made in escrow shall pay all costs of the escrow arrangements.

 (r)   Consent to Recording.  Each party hereto consents to the monitoring or recording, at any time and from time to time, by the other party of any and all communications between
trading, marketing, and operations personnel of the parties and their Affiliates, waives any further notice of such monitoring or recording, and agrees to notify such personnel of such monitoring or recording.

(s)   Waiver of Jury Trial.  Each party waives any right it may have to a trial by jury in respect of any in respect of any suit, action or proceeding relating to this Agreement or any
Credit Support Document.

(t)  Form of ISDA Master Agreement.  Party A and Party B hereby agree that the text of the body of the ISDA Master
Agreement is intended to be the printed form of the ISDA Master Agreement (Multicurrency – Crossborder) as published and copyrighted in 1992 by the International Swaps and Derivatives Association, Inc.

(u)   Payment Instructions.  Party A hereby agrees that, unless notified in writing by Party B of other payment instructions, any
and all amounts payable by Party A to Party B under this Agreement shall be paid to the account specified in Item 4 of this Confirmation, below. 

(v)   Additional representations.

(i)  Representations of Party A.  Party A represents to Party B on the date on which Party A enters into each Transaction that:--

(1)   Party A is a bank subject to the requirements of 12 U.S.C. § 1823(e), this Agreement (including the Credit Support Annex and each Confirmation) will be
maintained as one of its official records continuously from the time of its execution (or in the case of any Confirmation, continuously until such time as the relevant Transaction matures and the obligations therefor are satisfied in full).

(ii)   Capacity.  Party A represents to Party B on the date on which Party A enters into this Agreement that it is entering into this Agreement and the
Transaction as principal and not as agent of any person.  Party B represents to Party A on the date on which the Supplemental Interest Trust Trustee executes this Agreement on behalf of Party B, that it is executing this Agreement and the Transaction, not
individually, but solely its capacity as Supplemental Interest Trust Trustee on behalf of the Supplemental Interest Trust.

(w)  Acknowledgements.

(i)  Substantial financial transactions.  Each party hereto is hereby advised and acknowledges as of the date hereof that the other party has engaged
in (or refrained from engaging in) substantial financial transactions and has taken (or refrained from taking) other material actions in reliance upon the entry by the parties into the Transaction being entered into on the terms and conditions set forth herein and in
the Pooling and Servicing Agreement relating to such Transaction, as applicable. This paragraph shall be deemed repeated on the trade date of each Transaction.

(ii)   Bankruptcy Code.  Subject to Part 5(m), without limiting the applicability if any, of any other provision of the U.S. Bankruptcy Code as amended (the
“Bankruptcy Code”) (including without limitation Sections 362, 546, 556, and 560 thereof and the applicable definitions in Section 101 thereof), the parties acknowledge and agree that all Transactions entered into hereunder will constitute “forward
contracts” or “swap agreements” as defined in Section 101 of the Bankruptcy Code or “commodity contracts” as defined in Section 761 of the Bankruptcy Code, that the rights of the parties under Section 6 of this Agreement will constitute
contractual rights to liquidate Transactions, that any margin or collateral provided under any margin, collateral, security, pledge, or similar agreement related hereto will constitute a “margin payment” as defined in Section 101 of the Bankruptcy Code,
and that the parties are entities entitled to the rights under, and protections afforded by, Sections 362, 546, 556, and 560 of the Bankruptcy Code.

(iii)  Swap Agreement.  Party A acknowledges that each Transaction is a “swap agreement” as defined in 12 U.S.C. Section 1821(e)(8)(D)(vi) and a
“covered swap agreement” as defined in the Commodity Exchange Act (7 U.S.C. Section 27(d)(1)).

 (x)   Additional Definitions.

As used in this Agreement, the following terms shall have the meanings set forth below, unless the context clearly requires otherwise:

“Approved Ratings Threshold” means each of the S&P Approved Ratings Threshold, the
Moody’s First Trigger Ratings Threshold, and the Fitch Approved Ratings Threshold.

“Approved Replacement” means, with respect to a Market Quotation, an entity making such
Market Quotation, which entity would satisfy conditions (a), (b) and (c) of the definition of Permitted Transfer (as determined by Party B in its sole discretion, acting in a commercially reasonable manner) if such entity were a Transferee, as defined in the
definition of Permitted Transfer.

“Derivative Provider Trigger Event” means (i) an Event of Default with respect to which
Party A is a Defaulting Party, (ii) a Termination Event with respect to which Party A is the sole Affected Party or (iii) an Additional Termination Event with respect to which Party A is the sole Affected Party.

“Eligible Guarantee” means an unconditional and irrevocable guarantee of all present and
future obligations (for the avoidance of doubt, not limited to payment obligations) of Party A or an Eligible Replacement to Party B under this Agreement that is provided by an Eligible Guarantor as principal debtor rather than surety and that is directly enforceable
by Party B, the form and substance of which guarantee are subject to the Rating Agency Condition with respect to S&P and Fitch, and either (A) a law firm has given a legal opinion confirming that none of the guarantor’s payments to Party B under such
guarantee will be subject to Tax collected by withholding or (B) such guarantee provides that, in the event that any of such guarantor’s payments to Party B are subject to Tax collected by withholding, such guarantor is required to pay
such additional amount as is necessary to ensure that the net amount actually received by Party B (free and clear of any Tax collected by withholding) will equal the full amount Party B would have received had no such withholding been required.

“Eligible Guarantor” means an entity that (A) has credit ratings from S&P and Fitch at
least equal to the S&P/Fitch Approved Ratings Threshold and (B) has credit ratings from Moody’s at least equal to the Moody’s Second Trigger Ratings Threshold, provided, for the avoidance of doubt, that an Eligible Guarantee of an Eligible Guarantor
with credit ratings below the Moody’s Second Trigger Ratings Threshold will not cause a Collateral Event (as defined in the Credit Support Annex) not to occur or continue with respect to Moody’s. All credit ratings described in this definition of Eligible
Guarantor shall be provided to Party B in writing upon request of Party B.

“Eligible Replacement” means an entity (A) (i) (a) that has credit ratings from S&P
and Fitch at least equal to the S&P/Fitch Approved Ratings Threshold, and (b) has credit ratings from Moody’s at least equal to the Moody’s Second Trigger Ratings Threshold, provided, for the avoidance of doubt, that an Eligible Replacement with
credit ratings below the Moody’s Second Trigger Ratings Threshold will not cause a Collateral Event (as defined in the Credit Support Annex) not to occur or continue with respect to Moody’s, or (ii) the present and future obligations (for the avoidance of
doubt, not limited to payment obligations) of which entity to Party B under this Agreement are guaranteed pursuant to an Eligible Guarantee. All credit ratings described in this definition of Eligible Replacement shall be provided to Party B in writing upon request
of Party B.

“Estimated Swap Termination Payment”means, with respect to an Early Termination Date, an amount determined by Party A in good faith and
in a commercially reasonable manner as the maximum payment that could be owed by Party B to Party A in respect of such Early Termination Date pursuant to Section 6(e) of the ISDA Master Agreement, taking into account then current market conditions.

“Firm Offer”means (A) with respect to an Eligible Replacement, a quotation from such Eligible Replacement (i) in an amount equal to the
actual amount payable by or to Party B in consideration of an agreement between Party B and such Eligible Replacement to replace Party A as the counterparty to this Agreement by way of novation or, if such novation is not possible, an agreement between Party B and
such Eligible Replacement to enter into a Replacement Transaction (assuming that all Transactions hereunder become Terminated Transactions), and (ii) that constitutes an offer by such Eligible Replacement to replace Party A as the counterparty to this Agreement or
enter a Replacement Transaction that will become legally binding upon such Eligible Replacement upon acceptance by Party B, and (B) with respect to an Eligible Guarantor, an offer by such Eligible Guarantor to provide an Eligible Guarantee that will become legally
binding upon such Eligible Guarantor  upon acceptance by the offeree.

“Fitch” means Fitch Ratings Ltd., or any successor thereto.

“Fitch Approved Ratings Threshold” means, with respect to Party A, the guarantor under an
Eligible Guarantee or an Eligible Replacement, a long-term unsecured and unsubordinated debt rating from Fitch of “A” and a short-term unsecured and unsubordinated debt rating from Fitch of “F1”.

“Fitch Required Ratings Threshold” means, with respect to Party A, the guarantor under an
Eligible Guarantee or an Eligible Replacement, a long-term unsecured and unsubordinated debt rating from Fitch of “BBB-”.

“Moody’s” means Moody’s Investors Service, Inc., or any successor
thereto. 

“Moody’s First Trigger Ratings Threshold” means, with respect to Party A, the
guarantor under an Eligible Guarantee or an Eligible Replacement, (i) if such entity has a short-term unsecured and unsubordinated debt rating from Moody’s, a long-term unsecured and unsubordinated debt rating or counterparty rating from Moody’s of
“A2” and a short-term unsecured and unsubordinated debt rating from Moody’s of “Prime-1”, or (ii) if such entity does not have a short-term unsecured and unsubordinated debt rating or counterparty rating from Moody’s, a long-term
unsecured and unsubordinated debt rating or counterparty rating from Moody’s of “A1”.

“Moody’s Second Trigger Ratings Event” means that no Relevant Entity has credit
ratings from Moody’s at least equal to the Moody’s Second Trigger Ratings Threshold. 

“Moody’s Second Trigger Ratings Threshold” means, with respect to Party A, the
guarantor under an Eligible Guarantee or an Eligible Replacement, (i) if such entity has a short-term unsecured and unsubordinated debt rating from Moody’s, a long-term unsecured and unsubordinated debt rating or counterparty rating from Moody’s of
“A3” and a short-term unsecured and unsubordinated debt rating from Moody’s of “Prime-2”, or (ii) if such entity does not have a short-term unsecured and unsubordinated debt rating from Moody’s, a long-term unsecured and
unsubordinated debt rating or counterparty rating from Moody’s of “A3”.

“Permitted Transfer” means a transfer by novation by Party A pursuant to Section 6(b)(ii), Part 5(d), the
IDA, or the second sentence of Section 7 (as amended herein) to a transferee (the “Transferee”) of all, but not less than all, of Party A’s rights, liabilities, duties and obligations under this Agreement, with respect to
which transfer each of the following conditions is satisfied:  (a) the Transferee is an Eligible Replacement; (b) Party A and the Transferee are both “dealers in notional principal contracts” within the meaning of Treasury regulations section
1.1001-4; (c) as of the date of such transfer the Transferee would not be required to withhold or deduct on account of Tax from any payments under this Agreement or would be required to gross up for such Tax under Section 2(d)(i)(4); (d) an Event of Default or
Termination Event would not occur as a result of such transfer; (e) pursuant to a written instrument (the “Transfer Agreement”), the Transferee acquires and assumes all rights and obligations of Party A under the Agreement and the relevant
Transaction; (f) Party B shall have determined, in its sole discretion, acting in a commercially reasonable manner, that such Transfer Agreement is effective to transfer to the Transferee all, but not less than all, of Party A’s rights and obligations under the
Agreement and all relevant Transactions; (g) Party A will be responsible for any costs or expenses incurred in connection with such transfer (including any replacement cost of entering into a replacement transaction); (h) either (A) Moody’s has been given prior
written notice of such transfer and the Rating Agency Condition is satisfied with respect to S&P and Fitch or (B) each Swap Rating Agency has been given prior written notice of such transfer and such transfer is in connection with the assignment and assumption of
this Agreement without modification of its terms, other than party names, dates relevant to the effective date of such transfer, tax representations (provided that the representations in Part 2(a)(i) are not modified) and any other representations regarding the
status of the substitute counterparty of the type included in Part 5(b)(iv), Part 5(v)(i)(2) or Part 5(v)(ii), notice information and account details; and (i) such transfer otherwise complies with the terms of the Pooling and Servicing Agreement.

“Rating Agency Condition”means, with respect to any particular proposed act or omission to act hereunder and each Swap Rating Agency
specified in connection with such proposed act or omission, that the party acting or failing to act must consult with each of the specified Swap Rating Agencies and receive from each such Swap Rating Agency a prior written confirmation that the proposed action or
inaction would not cause a downgrade or withdrawal of the then-current rating of any Certificates or Notes.

“Relevant Entity” means Party A and, to the extent applicable, a guarantor under an
Eligible Guarantee.

“Replacement Transaction” means, with respect to any Terminated Transaction or group of
Terminated Transactions, a transaction or group of transactions that (i) would have the effect of preserving for Party B the economic equivalent of any payment or delivery (whether the underlying obligation was absolute or contingent and assuming the satisfaction of
each applicable condition precedent) by the parties under Section 2(a)(i) in respect of such Terminated Transaction or group of Terminated Transactions that would, but for the occurrence of the relevant Early Termination Date, have been required after that Date, and
(ii) has terms which are substantially the same as this Agreement, including, without limitation, rating triggers, Regulation AB compliance, and credit support documentation, save for the exclusion of provisions relating to Transactions that are not Terminated
Transaction, as determined by Party B in its sole discretion, acting in a commercially reasonable manner.

“Required Ratings Downgrade Event” shall have the meaning assigned thereto in Part
5(d).

“Required Ratings Threshold” means each of the S&P Required Ratings Threshold, the
Moody’s Second Trigger Ratings Threshold, [the Fitch Required Ratings Threshold and the DBRS Required Ratings Threshold].

“S&P” means Standard & Poor's Rating Services, a division of The McGraw-Hill
Companies, Inc., or any successor thereto.

“S&P Approved Ratings Threshold” means, with respect to Party A, the guarantor under
an Eligible Guarantee or an Eligible Replacement, a short-term unsecured and unsubordinated debt rating from S&P of “A-1”, or, if such entity does not have a short-term unsecured and unsubordinated debt rating from S&P, a long-term unsecured and
unsubordinated debt rating or counterparty rating from S&P of “A+”.

“S&P Required Ratings Threshold” means, with respect to Party A, the guarantor under
an Eligible Guarantee or an Eligible Replacement, a long-term unsecured and unsubordinated debt rating or counterparty rating from S&P of “BBB+”. 

“Swap Rating Agencies” means, with respect to any date of determination, each of S&P,
Moody’s, and Fitch, to the extent that each such rating agency is then providing a rating for any of the WaMu Asset-Backed Certificates WaMu Series 2007-HE1 Trust (the “Certificates”) or any notes backed by the Certificates (the
“Notes”).

[Remainder of this page intentionally left blank.]

4.   Account Details and Settlement Information:  

Payments to Party A:  The Bank of New York

Derivative Products Support Department

32 Old Slip, 16th Floor

New York, New York 10286

Attention: Renee Etheart

ABA #021000018

Account #890-0068-175

Reference: Interest Rate Cap

Payments to Party B:  Deutsche Bank Trust Company Americas

ABA No. 021 001 033

A/C No. 01419663

A/C Name: NYLTD Funds Control Stars West

Ref: WaMu Series 2007-HE1

This Agreement may be executed in several counterparts, each of which shall be deemed an original but all of which together shall constitute one and the same instrument.

We are very pleased to have executed this Transaction with you and we look forward to completing other transactions with you in the near future.

Very truly yours,

The Bank of New York

By:  _______________________________ 

  Name:  
 

  Title:  
 

Party B, acting through its duly authorized signatory, hereby agrees to, accepts and confirms the terms of the foregoing as of the date hereof.

 

The Supplemental Interest Trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust

By: Deutsche Bank National Trust Company, not individually, but solely as the Supplemental Interest Trust Trustee

By:  _______________________________

 
Name:  

  Title:

 

 

SCHEDULE I

 

	
Accrual Start Date

	
Accrual End Date

	
Notional Amount (in USD)

	
2/25/2007

	
3/25/2007

	
1,104,618,949

	
3/25/2007

	
4/25/2007

	
1,092,517,916

	
4/25/2007

	
5/25/2007

	
1,078,173,362

	
5/25/2007

	
6/25/2007

	
1,061,670,707

	
6/25/2007

	
7/25/2007

	
1,043,173,147

	
7/25/2007

	
8/25/2007

	
1,035,258,761

	
8/25/2007

	
9/25/2007

	
1,025,078,179

	
9/25/2007

	
10/25/2007

	
1,011,892,295

	
10/25/2007

	
11/25/2007

	
995,920,245

	
11/25/2007

	
12/25/2007

	
976,541,325

	
12/25/2007

	
1/25/2008

	
953,322,328

	
1/25/2008

	
2/25/2008

	
925,642,201

	
2/25/2008

	
3/25/2008

	
896,017,181

	
3/25/2008

	
4/25/2008

	
867,769,173

	
4/25/2008

	
5/25/2008

	
841,390,954

	
5/25/2008

	
6/25/2008

	
816,641,975

	
6/25/2008

	
7/25/2008

	
793,300,494

	
7/25/2008

	
8/25/2008

	
771,105,470

	
8/25/2008

	
9/25/2008

	
749,979,718

	
9/25/2008

	
10/25/2008

	
727,101,177

	
10/25/2008

	
11/25/2008

	
697,962,248

	
11/25/2008

	
12/25/2008

	
671,138,401

	
12/25/2008

	
1/25/2009

	
480,620,382

	
1/25/2009

	
2/25/2009

	
447,464,494

	
2/25/2009

	
3/25/2009

	
419,231,440

	
3/25/2009

	
4/25/2009

	
396,604,943

	
4/25/2009

	
5/25/2009

	
377,494,006

	
5/25/2009

	
6/25/2009

	
360,876,873

	
6/25/2009

	
7/25/2009

	
345,947,791

	
7/25/2009

	
8/25/2009

	
332,454,805

	
8/25/2009

	
9/25/2009

	
320,033,031

	
9/25/2009

	
10/25/2009

	
308,367,035

	
10/25/2009

	
11/25/2009

	
296,391,347

	
11/25/2009

	
12/25/2009

	
284,281,782

	
12/25/2009

	
1/25/2010

	
268,646,612

	
1/25/2010

	
2/25/2010

	
265,411,393

	
2/25/2010

	
3/25/2010

	
243,914,064

	
3/25/2010

	
4/25/2010

	
233,314,786

	
4/25/2010

	
5/25/2010

	
223,549,532

	
5/25/2010

	
6/25/2010

	
214,428,540

	
6/25/2010

	
7/25/2010

	
205,922,840

	
7/25/2010

	
8/25/2010

	
197,821,620

	
8/25/2010

	
9/25/2010

	
190,418,757

	
9/25/2010

	
10/25/2010

	
183,390,110

	
10/25/2010

	
11/25/2010

	
177,104,656

	
11/25/2010

	
12/25/2010

	
171,015,714

	
12/25/2010

	
1/25/2011

	
165,153,246

	
1/25/2011

	
2/25/2011

	
159,539,844

	
2/25/2011

	
3/25/2011

	
154,033,651

	
3/25/2011

	
4/25/2011

	
148,808,930

	
4/25/2011

	
5/25/2011

	
142,274,230

	
5/25/2011

	
6/25/2011

	
136,057,982

	
6/25/2011

	
7/25/2011

	
130,128,701

	
7/25/2011

	
8/25/2011

	
124,488,702

	
8/25/2011

	
9/25/2011

	
119,108,713

	
9/25/2011

	
10/25/2011

	
113,941,292

	
10/25/2011

	
11/25/2011

	
109,044,857

	
11/25/2011

	
12/25/2011

	
104,378,217

	
12/25/2011

	
1/25/2012

	
99,946,693

 

 

Annex A

 

Paragraph 13 of the Credit Support Annex

ANNEX A

 

ISDA®

CREDIT SUPPORT ANNEX

to the Schedule to the

ISDA Master Agreement

dated as of January 10, 2007 between

The Bank of New York

 (hereinafter referred to as “Party A” or “Pledgor”)

and

The Supplemental Interest Trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust, by Deutsche Bank National
Trust Company, not individually, but solely as the Supplemental Interest Trust Trustee (hereinafter referred to as “Party B” or “Secured Party”).

 

For the avoidance of doubt, and notwithstanding anything to the contrary that may be contained in the Agreement, this Credit Support Annex shall relate solely to the Transaction
documented in the Confirmation dated January 10, 2007, between Party A and Party B, Reference Number 38760.

 

Paragraph 13.  Elections and Variables.

(a)     Security Interest for
“Obligations”.  The term “Obligations” as used in this Annex includes the following additional obligations:

With respect to Party A: not applicable.

With respect to Party B: not applicable.

(b)     Credit Support Obligations.

(i)       Delivery Amount, Return Amount and Credit Support
Amount.

(A)   “Delivery Amount”has the
meaning specified in Paragraph 3(a) as amended (I) by deleting the words “upon a demand made by the Secured Party on or promptly following a Valuation Date” and inserting in lieu thereof the words “not later than the close of business on each
Valuation Date on which (A) a Moody’s First Trigger Event or Moody’s Second Trigger Event has occurred and has been continuing (x) for at least 30 Local Business Days or (y) since this Annex was executed, (B) an S&P/Fitch Rating Threshold Event has
occurred and been continuing for at least 30 days or (C) an S&P/Fitch Required Ratings Downgrade Event has occurred and is continuing” and (II) by deleting in its entirety the sentence beginning “Unless otherwise specified in Paragraph 13”
and ending “(ii) the Value as of that Valuation Date of all Posted Credit Support held by the Secured Party.” and inserting in lieu thereof the following:

The “Delivery Amount” applicable to the Pledgor for any Valuation Date will equal the greatest of

(1)   the amount by which (a) the S&P/Fitch Credit Support Amount for such Valuation Date exceeds (b) the S&P/Fitch Value as of such Valuation Date of all Posted
Credit Support held by the Secured Party,

(2)   the amount by which (a) the Moody’s First Trigger Credit Support Amount for such Valuation Date exceeds (b) the Moody’s First Trigger Value as of such
Valuation Date of all Posted Credit Support held by the Secured Party, and

(3)   the amount by which (a) the Moody’s Second Trigger Credit Support Amount for such Valuation Date exceeds (b) the Moody’s Second Trigger Value as of such
Valuation Date of all Posted Credit Support held by the Secured Party.

(B)    “Return Amount” has the meaning
specified in Paragraph 3(b) as amended by deleting in its entirety the sentence beginning “Unless otherwise specified in Paragraph 13” and ending “(ii) the Credit Support Amount.” and inserting in lieu thereof the following:

The “Return Amount” applicable to the Secured Party for any Valuation Date will equal the least of

(1)   the amount by which (a) the S&P/Fitch Value as of such Valuation Date of all Posted Credit Support held by the Secured Party exceeds (b) the S&P/Fitch Credit
Support Amount for such Valuation Date,

(2)   the amount by which (a) the Moody’s First Trigger Value as of such Valuation Date of all Posted Credit Support held by the Secured Party exceeds (b) the
Moody’s First Trigger Credit Support Amount for such Valuation Date, and

(3)   the amount by which (a) the Moody’s Second Trigger Value as of such Valuation Date of all Posted Credit Support held by the Secured Party exceeds (b) the
Moody’s Second Trigger Credit Support Amount for such Valuation Date.

(C)    “Credit Support Amount”shall not apply. 
For purposes of calculating any Delivery Amount or Return Amount for any Valuation Date, reference shall be made to the S&P/Fitch Credit Support Amount, the Moody’s First Trigger Credit Support Amount, or the Moody’s Second Trigger Credit Support
Amount, in each case  for such Valuation Date, as provided in Paragraphs 13(b)(i)(A) and 13(b)(i)(B), above.

(ii)     Eligible Collateral.

On any date, the items set forth in Schedule I will qualify as “Eligible Collateral” (for the avoidance of doubt, all Eligible Collateral to be denominated in
USD):

(iii)    Other Eligible Support.

The following items will qualify as “Other Eligible Support” for the party specified: 

Not applicable.

(iv)   Threshold.

(A)   “Independent Amount” means zero with respect to Party
A and Party B.

(B)    “Threshold” means, with respect to Party A and
any Valuation Date, zero if (A) a Moody’s First Trigger Event or Moody’s Second Trigger Event has occurred and has been continuing (x) for at least 30 Local Business Days or (y) since this Annex was executed, (B) an S&P Rating Threshold Event or Fitch
Rating Threshold Event has occurred and been continuing for at least 30 days or (C) an S&P/Fitch Required Ratings Downgrade Event has occurred and is continuing; otherwise, infinity.

    “Threshold” means, with respect to Party B and any Valuation Date, infinity.

(C)    “Minimum Transfer Amount” means USD 100,000 with
respect to Party A and Party B; provided, however, that if the aggregate Certificate Principal Balance of the Certificates and the aggregate principal balance of the Notes rated by S&P is at the time of any transfer less than USD 50,000,000, the
“Minimum Transfer Amount” shall be USD 50,000.

(D)    Rounding: The Delivery Amount will be rounded up to the nearest
integral multiple of USD 10,000. The Return Amount will be rounded down to the nearest integral multiple of USD 10,000.

(c)     Valuation and Timing.

(i)       “Valuation Agent” means Party A; provided, however, that if an Event of Default shall have occurred with respect to which Party A is the Defaulting Party, Party B shall have the right to designate as Valuation Agent an independent party, reasonably acceptable to Party A, the cost
for which shall be borne by Party A.  All calculations by the Valuation Agent must be made in accordance with standard market practice, including, in the event of a dispute as to the Value of any Eligible Credit Support or Posted Credit Support, by making
reference to quotations received by the Valuation Agent from one or more Pricing Sources.

(ii)     “Valuation Date” means each
Local Business Day for which the Threshold with respect to Party A equals zero.

(iii)    “Valuation Time” means the close
of business in the city of the Valuation Agent on the Local Business Day immediately preceding the Valuation Date or date of calculation, as applicable; provided that the calculations of Value and Exposure will be made as of approximately the same time on the
same date.  The Valuation Agent will notify each party (or the other party, if the Valuation Agent is a party) of its calculations not later than the Notification Time on the applicable Valuation Date (or in the case of Paragraph 6(d), the Local Business Day
following the day on which such relevant calculations are performed). 

(iv)   “Notification Time” means 11:00 a.m.,
New York time, on a Local Business Day. 

(v)     External Verification.  Notwithstanding
anything to the contrary in the definitions of Valuation Agent or Valuation Date, at any time at which Party A (or, to the extent applicable, its Credit Support Provider) does not have a long-term unsubordinated and unsecured debt rating of at least
“BBB+” from S&P, the Valuation Agent shall (A) calculate the Secured Party’s Exposure and the S&P Value of Posted Credit Suppport on each Valuation Date based on internal marks and (B) verify such calculations with external marks monthly by
obtaining on the last Local Business Day of each calendar month two external marks for each Transaction to which this Annex relates and for all Posted Credit Suport; such verification of the Secured Party’s Exposure shall be based on the higher of the two
external marks.  Each external mark in respect of a Transaction shall be obtained from an independent Reference Market-maker that would be eligible and willing to enter into such Transaction in the absence of the current derivative provider, provided that an
external mark may not be obtained from the same Reference Market-maker more than four times in any 12-month period.  The Valuation Agent shall obtain these external marks directly or through an independent third party, in either case at no cost to Party B. 
The Valuation Agent shall calculate on each Valuation Date (for purposes of this paragraph, the last Local Business Day in each calendar month referred to above shall be considered a Valuation Date) the Secured Party’s Exposure based on the greater of the
Valuation Agent’s internal marks and the external marks received.  If the S&P Value on any such Valuation Date of all Posted Credit Support then held by the Secured Party is less than the S&P Credit Support Amount on such Valuation Date (in each
case as determined pursuant to this paragraph), Party A shall, within three Local Business Days of such Valuation Date, Transfer to the Secured Party Eligible Credit Support having an S&P Value as of the date of Transfer at least equal to such
deficiency.

(vi)   Notice to S&P.  At any time at which Party A (or,
to the extent applicable, its Credit Support Provider) does not have a long-term unsubordinated and unsecured debt rating of at least “BBB+” from S&P, the Valuation Agent shall provide to S&P not later than the Notification Time on the Local
Business Day following each Valuation Date its calculations of the Secured Party’s Exposure and the S&P Value of any Eligible Credit Support or Posted Credit Support for that Valuation Date.  The Valuation Agent shall also provide to S&P any
external marks received pursuant to the preceding paragraph.

(d)     Conditions Precedent and Secured Party’s Rights and
Remedies.  The following Termination Events will be a “Specified Condition” for the party specified (that party being the Affected Party if the Termination Event occurs with respect to that party): 
With respect to Party A: any Additional Termination Event with respect to which Party A is the sole Affected Party.  With respect to Party B: None.

(e)     Substitution.

(i)       “Substitution Date” has the meaning
specified in Paragraph 4(d)(ii).

(ii)     Consent.  If specified here as
applicable, then the Pledgor must obtain the Secured Party’s consent for any substitution pursuant to Paragraph 4(d):  Inapplicable.

(f)      Dispute Resolution.

(i)       “Resolution Time” means 1:00 p.m. New
York time on the Local Business Day following the date on which the notice of the dispute is given under Paragraph 5.

(ii)     Value.  Notwithstanding anything
to the contrary in Paragraph 12, for the purpose of Paragraphs 5(i)(C) and 5(ii), the S&P/Fitch Value, Moody’s First Trigger Value, and Moody’s Second Trigger Value, on any date, of Eligible Collateral other than Cash will be calculated as
follows: 

For Eligible Collateral in the form of securities listed in Paragraph 13(b)(ii): the sum of (A) the product of (1)(x) the bid price at the Valuation Time for such securities on the
principal national securities exchange on which such securities are listed, or (y) if such securities are not listed on a national securities exchange, the bid price for such securities quoted at the Valuation Time by any principal market maker for such securities
selected by the Valuation Agent, or (z) if no such bid price is listed or quoted for such date, the bid price listed or quoted (as the case may be) at the Valuation Time for the day next preceding such date on which such prices were available and (2) the applicable
Valuation Percentage for such Eligible Collateral, and (B) the accrued interest on such securities (except to the extent Transferred to the Pledgor pursuant to Paragraph 6(d)(ii) or included in the applicable price referred to in the immediately preceding clause (A))
as of such date.

(iii)    Alternative.  The provisions of
Paragraph 5 will apply.

(g)     Holding and Using Posted Collateral.

(i)       Eligibility to Hold Posted Collateral;
Custodians.  Custodian on Party B’s behalf will be entitled to hold Posted Collateral pursuant to Paragraph 6(b).

Party B may appoint as Custodian (A) the entity then serving as Supplemental Interest Trust Trustee or (B) a commercial bank or trust company organized under the laws of the United
States or any state thereof, having assets of at least $10 Billion and a long term debt or a deposit rating of at least (i) Baa2 from Moody's and (ii) BBB from S&P and a short-term unsecured and unsubordinated debt rating from S&P of at least
“A-1.”

Initially, the Custodian for Party B is: Supplemental Interest Trust Trustee.

Posted Collateral may be held only in the following jurisdiction: United States.

(ii)     Use of Posted Collateral.  The
provisions of Paragraph 6(c)(i) will not apply to Party B, but the provisions of Paragraph 6(c)(ii) will apply to Party B.

(iii)   Notice.  If a party or its Custodian fails to meet the criteria for eligibility to hold (or, in the case of a party, to use) Posted
Collateral set forth in this Paragraph 13(g), such party shall promptly notify the other party of such ineligibility.

(h)     Distributions and Interest Amount.

(i)       Interest Rate.  The
“Interest Rate” will be the actual interest rate earned on Posted Collateral in the form of Cash that is held by Party B or its Custodian.  Posted Collateral in the form of Cash shall be invested in such overnight (or redeemable within
two Local Business Days of demand) Permitted Investments rated at least AAAm or AAAm-G by S&P and Prime-1 by Moody’s or Aaa by Moody’s as directed by Party A (unless (x) an Event of Default or an Additional Termination Event has occurred with respect
to which Party A is the defaulting or sole Affected Party or (y) an Early Termination Date has been designated, in which case such investment shall be held uninvested).  Gains and losses incurred in respect of any investment of Posted Collateral in the form of
Cash in Permitted Investments as directed by Party A shall be for the account of Party A.

(ii)     Transfer of Interest Amount. The
Transfer of the Interest Amount will be made on the second Local Business Day following the end of each calendar month and on any other Local Business Day on which Posted Collateral in the form of Cash is Transferred to the Pledgor pursuant to Paragraph 3(b);
provided, however, that the obligation of Party B to Transfer any Interest Amount to Party A shall be limited to the extent that Party B has earned and received such funds and such funds are available to Party B.

(iii)    Alternative to Interest Amount. The
provisions of Paragraph 6(d)(ii) will apply.

(i)       Additional Representation(s).  There are no additional representations by either party.

(j)       Other Eligible Support and Other Posted
Support.

(i)       “Value” with respect to Other Eligible
Support and Other Posted Support means: not applicable.

(ii)     “Transfer” with respect to Other Eligible Support
and Other Posted Support means: not applicable.

(k)     Demands and Notices.All demands,
specifications and notices under this Annex will be made pursuant to the Notices Section of this Agreement, except that any demand, specification or notice shall be given to or made at the following addresses, or at such other address as the relevant party may from
time to time designate by giving notice (in accordance with the terms of this paragraph) to the other party:

If to Party A:

The Bank of New York

Collateral Management

32 Old Slip, 16th Floor

New York, New York 10286

Phone:  (212) 804-5158

Fax:    (212) 804-5818

If to Party B, at the address specified pursuant to the Notices Section of this Agreement.

If to Party B’s Custodian: 

Address:  Corporate Trust Office

Deutsche Bank National Trust Company

1761 East Saint Andrew Place

Santa Ana, CA 92705-4934

Attention: Trust Administration WA07H1

Facsimile: 714-656-2626

Phone: 714-247-6000

 

(l)       Address for Transfers.  Each Transfer hereunder shall be made to the address specified below or to an address specified in writing from time to time by the party to which such Transfer will be made.

Party A account details:  To be notified to Party B to Party A at the time of the request for the transfer.

Party B’s Custodian account details:

 

Deutsche Bank Trust Company Americas

ABA 021-001-033

A/C # 01419663

A/C Name NYLTD Funds Control – Stars West

Ref: WaMu 2007-HE1

 

(m) 
Other Provisions.

(i)    Collateral Account.  Party B shall open
and maintain a segregated account, which shall be an Eligible Account, and hold, record and identify all Posted Collateral in such segregated account established persuant to the Pooling and Servicing Agreement.

(ii)  Agreement as to Single Secured Party and Single Pledgor.
Party A and Party B hereby agree that, notwithstanding anything to the contrary in this Annex, (a) the term “Secured Party” as used in this Annex means only Party B, (b) the term “Pledgor” as used in this Annex means only Party A, (c) only
Party A makes the pledge and grant in Paragraph 2, the acknowledgement in the final sentence of Paragraph 8(a) and the representations in Paragraph 9.

(iii) 
Calculation of Value.  Paragraph 4(c) is hereby amended
by deleting the word “Value” and inserting in lieu thereof “S&P/Fitch Value, Moody’s First Trigger Value, Moody’s Second Trigger Value”.  Paragraph 4(d)(ii) is hereby amended by (A) deleting the words “a Value”
and inserting in lieu thereof “an S&P/Fitch Value, Moody’s First Trigger Value, and Moody’s Second Trigger Value” and (B) deleting the words “the Value” and inserting in lieu thereof “S&P/Fitch Value, Moody’s
First Trigger Value, and Moody’s Second Trigger Value”.  Paragraph 5 (flush language) is hereby amended by deleting the word “Value” and inserting in lieu thereof “S&P/Fitch Value, Moody’s First Trigger Value, or
Moody’s Second Trigger Value”.  Paragraph 5(i) (flush language) is hereby amended by deleting the word “Value” and inserting in lieu thereof “S&P/Fitch Value, Moody’s First Trigger Value, and Moody’s Second Trigger
Value”.  Paragraph 5(i)(C) is hereby amended by deleting the word “the Value, if” and inserting in lieu thereof “any one or more of the S&P/Fitch Value, Moody’s First Trigger Value, or Moody’s Second Trigger Value, as may
be”.  Paragraph 5(ii) is hereby amended by (1) deleting the first instance of the words “the Value” and inserting in lieu thereof “any one or more of the S&P/Fitch Value, Moody’s First Trigger Value, or Moody’s Second
Trigger Value” and (2) deleting the second instance of the words “the Value” and inserting in lieu thereof “such disputed S&P/Fitch Value, Moody’s First Trigger Value, or Moody’s Second Trigger Value”.  Each of
Paragraph 8(b)(iv)(B) and Paragraph 11(a) is hereby amended by deleting the word “Value” and inserting in lieu thereof “least of the S&P/Fitch Value, Moody’s First Trigger Value, and Moody’s Second Trigger
Value”. 

(iv)Form of Annex.  Party A and Party B
hereby agree that the text of Paragraphs 1 through 12, inclusive, of this Annex is intended to be the printed form of ISDA Credit Support Annex (Bilateral Form - ISDA Agreements Subject to New York Law Only version) as published and copyrighted in 1994 by the
International Swaps and Derivatives Association, Inc.

(v)  Events of Default.  Paragraph 7 will not apply to
cause any Event of Default to exist with respect to Party B except that Paragraph 7(i) will apply to Party B solely in respect of Party B’s obligations under Paragraph 3(b) of the Credit Support Annex.  Notwithstanding anything to the contrary in Paragraph
7, any failure by Party A to comply with or perform any obligation to be complied with or performed by Party A under the Credit Support Annex shall only be an Event of Default if (A) a Required Ratings Downgrade Event has occurred and been continuing for 30 or more
Local Business Days and (B) such failure is not remedied on or before the third Local Business Day after notice of such failure is given to Party A.

(vi)Expenses.  Notwithstanding
anything to the contrary in Paragraph 10, the Pledgor will be responsible for, and will reimburse the Secured Party for, all transfer and other taxes and other costs involved in any Transfer of Eligible Collateral.

(vii)              Withholding.  Paragraph 6(d)(ii) is hereby amended by inserting immediately after “the Interest Amount” in the fourth line thereof  the words “less any applicable withholding
taxes.”

(viii)  Additional Definitions.  As used in this Annex:

“Collateral Event” means that no Relevant Entity has credit ratings at least equal to the
Approved Ratings Threshold.

“Exposure” has the meaning specified in Paragraph 12, except that after the word
“Agreement” the words “(assuming, for this purpose only, that Part 1(f) of the Schedule is deleted)” shall be inserted.

“Fitch Rating Threshold Event” means, on any date, no Relevant Entity has credit ratings from Fitch which equal
or exceed the Fitch Approved Ratings Threshold.

“Local Business Day” means, for purposes of this Annex: any day on which (A) commercial banks are open for business (including
dealings in foreign exchange and foreign currency deposits) in New York and the location of Party A, Party B and any Custodian, and (B) in relation to a Transfer of Eligible Collateral, any day on which the clearance system agreed between the parties for the delivery
of Eligible Collateral is open for acceptance and execution of settlement instructions (or in the case of a Transfer of Cash or other Eligible Collateral for which delivery is contemplated by other means a day on which commercial banks are open for business
(including dealings in foreign exchange and foreign deposits) in New York and the location of Party A, Party B and any Custodian.

“Moody’s First Trigger Event” means that no Relevant Entity has credit ratings from Moody’s at least
equal to the Moody’s First Trigger Ratings Threshold.

“Moody’s First Trigger Credit Support Amount” means, for any Valuation Date, the excess, if any, of

(I)  (A)  for any Valuation Date on which (I) a Moody’s First Trigger Event has occurred and has been continuing (x) for at least 30
Local Business Days or (y) since this Annex was executed and (II) it is not the case that a Moody’s Second Trigger Event has occurred and been continuing for at least 30 Local Business Days, an amount equal to the greater of (a) zero and (b) the sum of (i) the
Secured Party’s Exposure for such Valuation Date and (ii) the sum, for each Transaction to which this Annex relates, of the product of the applicable Moody’s First Trigger Factor set forth in Table 1 and the Notional Amount for such Transaction for the
Calculation Period which includes such Valuation Date; or

(B)  for any other Valuation Date, zero, over

(II)  the Threshold for Party A such Valuation Date.

“Moody’s First Trigger Value” means, on any date and with respect to any Eligible Collateral other than Cash, the
bid price obtained by the Valuation Agent multiplied by the Moody’s First Trigger Valuation Percentage for such Eligible Collateral set forth in Paragraph 13(b)(ii).

 “Moody’s Second Trigger Credit Support Amount” means, for any Valuation Date, the excess, if any, of

(I)  (A)  for any Valuation Date on which it is the case that a Moody’s Second Trigger Ratings Event has occurred and been continuing
for at least 30 Local Business Days, an amount equal to the greatest of (a) zero, (b) the aggregate  amount of the next payment due to be paid by Party A under each Transaction to which this Annex relates, and (c) the sum of (x) the Secured Party’s
Exposure for such Valuation Date and (y) the sum, for each Transaction to which this Annex relates, of

(1)  if such Transaction is not a Transaction-Specific Hedge, the product of the applicable Moody’s Second Trigger Factor set forth in Table 2 and the Notional
Amount for such Transaction for the Calculation Period which includes such Valuation Date;or

(2)  if such Transaction is a Transaction-Specific Hedge, the product of the applicable Moody’s Second Trigger Factor set forth in Table 3 and
the Notional Amount for such Transaction for the Calculation Period which includes such Valuation Date; or

(B)  for any other Valuation Date, zero, over

(II)  the Threshold for Party A for such Valuation Date.

“Moody’s Second Trigger Value” means, on any date and with respect to any Eligible Collateral other than Cash,
the bid price obtained by the Valuation Agent multiplied by the Moody’s Second Trigger Valuation Percentage for such Eligible Collateral set forth in Paragraph 13(b)(ii).

“Pricing Sources” means the sources of financial information commonly known as Bloomberg, Bridge Information Services,
Data Resources Inc., Interactive Data Services, International Securities Market Association, Merrill Lynch Securities Pricing Service, Muller Data Corporation, Reuters, Wood Gundy, Trepp Pricing, JJ Kenny, S&P and Telerate.

“Remaining Weighted Average Maturity” means, with respect to a Transaction, the expected weighted average
maturity for such Transaction as determined by the Valuation Agent.

“S&P/Fitch Credit Support Amount” means, for any Valuation Date, the excess, if any, of

(I)  (A)   for any Valuation Date on which an S&P Rating Threshold Event or Fitch Rating Threshold Event has occurred and been
continuing for at least 30 days, an amount equal to the sum of (1) 100.0% of the Secured Party’s Exposure for such Valuation Date and (2) the sum, for each Transaction to which this Annex relates, of the product of the Volatility Buffer for such Transaction and
the Notional Amount of such Transaction for the Calculation Period of such Transaction which includes such Valuation Date, or

(B)  for any other Valuation Date, zero, over

(II)  the Threshold for Party A for such Valuation Date.

“S&P Rating Threshold Event” means, on any date, no Relevant Entity has credit ratings from S&P which equal or
exceed the S&P Approved Ratings Threshold.

“S&P/FitchValue” means, on any date and with respect to any Eligible Collateral other than Cash, the product of (A) the bid price
obtained by the Valuation Agent for such Eligible Collateral and (B) the S&P/Fitch Valuation Percentage for such Eligible Collateral set forth in paragraph 13(b)(ii).

“Transaction Exposure” means, for any Transaction, Exposure determined as if such Transaction were the only Transaction
between the Secured Party and the Pledgor.

“Transaction-Specific Hedge” means any Transaction that is (i) an interest rate swap in respect of
which (x) the notional amount of the interest rate swap is “balance guaranteed” or (y) the notional amount of the interest rate swap for any Calculation Period (as defined in the related Confirmation) otherwise is not a specific dollar amount that is
fixed at the inception of the Transaction, (ii) an interest rate cap, (iii) an interest rate floor or (iv) an interest rate swaption.

“Valuation Percentage” shall mean, for purposes of determining the S&P/Fitch Value, Moody’s First Trigger
Value, or Moody’s Second Trigger Value with respect to any Eligible Collateral or Posted Collateral, the applicable S&P/Fitch Valuation Percentage, Moody’s First Trigger Valuation Percentage, or Moody’s Second Trigger Valuation Percentage for
such Eligible Collateral or Posted Collateral, respectively, in each case as set forth in Paragraph 13(b)(ii).

“Value”
shall mean, in respect of any date, the related S&P/Fitch Value, the related Moody’s First Trigger Value, and the related Moody’s Second Trigger Value.

“Volatility Buffer” means, for any Transaction, the related percentage set forth in the following table. 

	
The higher of  the S&P  credit rating of
(i) Party A and (ii) the Credit Support Provider of Party A, if applicable

	
Remaining Weighted Average Maturity of such
Transaction

up to 3 years

	
Remaining Weighted Average Maturity of such
Transaction

up to 5 years

	
Remaining Weighted Average Maturity of such
Transaction

up to 10 years

	
Remaining Weighted Average Maturity of such
Transaction

up to 30 years

	
“A-2” or higher

	
2.75%

	
3.25%

	
4.00%

	
4.75%

	
“A-3”

	
3.25%

	
4.00%

	
5.00%

	
6.25%

	
“BB+”
or lower

	
3.50%

	
4.50%

	
6.75%

	
7.50%

 

 

[Remainder of this page intentionally left blank]

Table 1

Moody’s First Trigger Factor

  

	
Remaining

 Weighted Average Life

 of Hedge in Years

	
Collateral

 Posting

	
1 or less

	
0.15%

	
More than 1 but not more than 2

	
0.30%

	
More than 2 but not more than 3

	
0.40%

	
More than 3 but not more than 4

	
0.60%

	
More than 4 but not more than 5

	
0.70%

	
More than 5 but not more than 6

	
0.80%

	
More than 6 but not more than 7

	
1.00%

	
More than 7 but not more than 8

	
1.10%

	
More than 8 but not more than 9

	
1.20%

	
More than 9 but not more than 10

	
1.30%

	
More than 10 but not more than 11

	
1.40%

	
More than 11 but not more than 12

	
1.50%

	
More than 12 but not more than 13

	
1.60%

	
More than 13 but not more than 14

	
1.70%

	
More than 14 but not more than 15

	
1.80%

	
More than 15 but not more than 16

	
1.90%

	
More than 16 but not more than 17

	
2.00%

	
More than 17 but not more than 18

	
2.00%

	
More than 18 but not more than 19

	
2.00%

	
More than 19 but not more than 20

	
2.00%

	
More than 20 but not more than 21

	
2.00%

	
More than 21 but not more than 22

	
2.00%

	
More than 22 but not more than 23

	
2.00%

	
More than 23 but not more than 24

	
2.00%

	
More than 24 but not more than 25

	
2.00%

	
More than 25 but not more than 26

	
2.00%

	
More than 26 but not more than 27

	
2.00%

	
More than 27 but not more than 28

	
2.00%

	
More than 28 but not more than 29

	
2.00%

	
More than 29

	
2.00%

			

  

 

Table 2

Moody’s Second Trigger Factor for Interest Rate Swaps with Fixed Notional Amounts

  

	
Remaining

 Weighted Average Life

 of Hedge in Years

	
Collateral

 Posting Requirement

	
1 or less

	
0.50%

	
More than 1 but not more than 2

	
1.00%

	
More than 2 but not more than 3

	
1.50%

	
More than 3 but not more than 4

	
1.90%

	
More than 4 but not more than 5

	
2.40%

	
More than 5 but not more than 6

	
2.80%

	
More than 6 but not more than 7

	
3.20%

	
More than 7 but not more than 8

	
3.60%

	
More than 8 but not more than 9

	
4.00%

	
More than 9 but not more than 10

	
4.40%

	
More than 10 but not more than 11

	
4.70%

	
More than 11 but not more than 12

	
5.00%

	
More than 12 but not more than 13

	
5.40%

	
More than 13 but not more than 14

	
5.70%

	
More than 14 but not more than 15

	
6.00%

	
More than 15 but not more than 16

	
6.30%

	
More than 16 but not more than 17

	
6.60%

	
More than 17 but not more than 18

	
6.90%

	
More than 18 but not more than 19

	
7.20%

	
More than 19 but not more than 20

	
7.50%

	
More than 20 but not more than 21

	
7.80%

	
More than 21 but not more than 22

	
8.00%

	
More than 22 but not more than 23

	
8.00%

	
More than 23 but not more than 24

	
8.00%

	
More than 24 but not more than 25

	
8.00%

	
More than 25 but not more than 26

	
8.00%

	
More than 26 but not more than 27

	
8.00%

	
More than 27 but not more than 28

	
8.00%

	
More than 28 but not more than 29

	
8.00%

	
More than 29

	
8.00%

  

 

 

Table 3

Moody’s Second Trigger Factor for Transaction-Specific Hedges

 

  

	
Remaining

 Weighted Average Life

 of Hedge in Years

	
Collateral

 Posting Requirement

	
1 or less

	
0.65%

	
More than 1 but not more than 2

	
1.30%

	
More than 2 but not more than 3

	
1.90%

	
More than 3 but not more than 4

	
2.50%

	
More than 4 but not more than 5

	
3.10%

	
More than 5 but not more than 6

	
3.60%

	
More than 6 but not more than 7

	
4.20%

	
More than 7 but not more than 8

	
4.70%

	
More than 8 but not more than 9

	
5.20%

	
More than 9 but not more than 10

	
5.70%

	
More than 10 but not more than 11

	
6.10%

	
More than 11 but not more than 12

	
6.50%

	
More than 12 but not more than 13

	
7.00%

	
More than 13 but not more than 14

	
7.40%

	
More than 14 but not more than 15

	
7.80%

	
More than 15 but not more than 16

	
8.20%

	
More than 16 but not more than 17

	
8.60%

	
More than 17 but not more than 18

	
9.00%

	
More than 18 but not more than 19

	
9.40%

	
More than 19 but not more than 20

	
9.70%

	
More than 20 but not more than 21

	
10.00%

	
More than 21 but not more than 22

	
10.00%

	
More than 22 but not more than 23

	
10.00%

	
More than 23 but not more than 24

	
10.00%

	
More than 24 but not more than 25

	
10.00%

	
More than 25 but not more than 26

	
10.00%

	
More than 26 but not more than 27

	
10.00%

	
More than 27 but not more than 28

	
10.00%

	
More than 28 but not more than 29

	
10.00%

	
More than 29

	
10.00%

  

 

Schedule 1

Eligible Collateral

  

	
Eligible Collateral & Valuation Percentages

 Moody’s and S&P

	
 

	
 

	
Valuation Percentage*

	
Valuation Percentage*

	
 

	
 

	
Moody’s

	
S&P

	
 

	
First Trigger

	
Second Trigger

	
Daily

	
Weekly

	
(A)

	
Cash:  U.S. Dollars in depositary account form

	
100

	
100

	
 

	
100

	
(B)

	
U.S. Treasury Securities:  negotiable debt obligations issued by the U.S. Treasury
Department after July 18, 1984 (“Treasuries”) having a remaining maturity of up to and not more than 1 year.

	
100

	
100

	
98.9

	
98.6

	
(C)

	
Treasuries having a remaining maturity of greater than 1 year but not more than 2 years.

	
100

	
99

	
98

	
97.3

	
(D)

	
Treasuries having a remaining maturity of greater than 2 years but not more than 3 years.

	
100

	
98

	
97.4

	
95.8

	
(E)

	
Treasuries having a remaining maturity of greater than 3 years but not more than 5 years.

	
100

	
97

	
95.5

	
93.8

	
(F)

	
Treasuries having a remaining maturity of greater than 5 years but not more than 7 years.

	
100

	
95

	
93.7

	
91.4

	
(G)

	
Treasuries having a remaining maturity of greater than 7 years but not more than 10 years.

	
100

	
94

	
92.5

	
90.3

	
(H)

	
Treasuries having a remaining maturity of greater than 10 years but not more than 20 years.

	
100

	
89

	
91.1

	
87.9

	
(I)

	
Treasuries having a remaining maturity of greater than 20 years but not more than 30 years.

	
100

	
87

	
88.6

	
84.6

	
(J)

	
Agency Securities: negotiable debt obligations of the Federal National Mortgage Association
(FNMA), Federal Home Loan Mortgage Corporation (FHLMC), Federal Home Loan Banks (FHLB), Federal Farm Credit Banks (FFCB), Tennessee Valley Authority (TVA) (collectively, “Agency Securities”) issued after July 18, 1984 and having a remaining
maturity of not more than 1 year.

	
100

	
99

	
98.5

	
98

	
(K)

	
Agency Securities having a remaining maturity of greater than 1 year but not more than 2 years.

	
100

	
98

	
97.7

	
96.8

	
(L)

	
Agency Securities having a remaining maturity of greater than 2 years but not more than 3 years.

	
100

	
97

	
97.3

	
96.3

	
(M)

	
Agency Securities having a remaining maturity of greater than 3 years but not more than 5 years.

	
100

	
96

	
94.5

	
94.5

	
(N)

	
Agency Securities having a remaining maturity of greater than 5 years but not more than 7 years.

	
100

	
94

	
93.1

	
90.3

	
(O)

	
Agency Securities having a remaining maturity of greater than 7 years but not more than 10 years.

	
100

	
93

	
90.7

	
86.9

	
(P)

	
Agency Securities having a remaining maturity of greater than 10 years but not more than 20 years.

	
100

	
88

	
87.7

	
82.6

	
(Q)

	
Agency Securities having a remaining maturity of greater than 20 years but not more than 30 years.

	
100

	
86

	
84.4

	
77.9

	
(R)

	
FHLMC Certificates. Mortgage participation certificates issued by FHLMC evidencing undivided
interests or participations in pools of first lien conventional or FHA/VA residential mortgages or deeds of trust, guaranteed by FHLMC, issued after July 18, 1984 and having a remaining maturity of not more than 30 years.

	
100

	
*

 (daily evaluation)

86

 (weekly valuation)

	
*

	
86.40

	
(S)

	
FNMA Certificates. Mortgage-backed pass-through certificates issued by FNMA evidencing undivided
interests in pools of first lien mortgages or deeds of trust on residential properties, guaranteed by FNMA, issued after July 18, 1984 and having a remaining maturity of not more than 30 years.

	
100

	
*

 (daily evaluation)

86

 (weekly valuation)

	
*

	
86.40

	
(T)

	
GNMA Certificates. Mortgage-backed pass-through certificates issued by private entities,
evidencing undivided interests in pools of first lien mortgages or deeds of trust on single family residences, guaranteed by the Government National Mortgage Association (GNMA) with the full faith and credit of the United States, issued after July 18, 1984 and having
a remaining maturity of not more than 30 years.

	
100

	
*

 (daily evaluation)

86

 (weekly valuation)

	
*

	
86.40

  

* percentage to be determined when such other Item of Credit Support (including, without limitation, Agency
Securities, FHLMC Certificates , FNMA Certificates , GNMA Certificates , Commercial Mortgage-Backed Securities and Commercial Paper) has been approved by Moody’s or S&P.

 

  
	

Eligible Collateral & Valuation Percentages

 Fitch

	
 

	
 

	
Valuation Percentage

 (Rating of Certificates)

	
 

	
 

	
AAA

	
AA

	
A

	
BBB

	
(A)

	
Cash:  U.S. Dollars in depositary account form

	
100%

	
100%

	
100%

	
100%

	
(B)

	
U.S. Treasury Securities:  negotiable debt obligations issued by the U.S. Treasury
Department after July 18, 1984 (“Treasuries”) having a remaining maturity of up to and not more than 1 year.

	
97.5%

	
97.8%

	
98.4%

	
98.9%

	
(C)

	
Treasuries having a remaining maturity of greater than 1 year but not more than 2 years.

	
94.7%

	
95.3%

	
95.9%

	
96.5%

	
(D)

	
Treasuries having a remaining maturity of greater than 2 years but not more than 3 years.

	
94.7%

	
95.3%

	
95.9%

	
96.5%

	
(E)

	
Treasuries having a remaining maturity of greater than 3 years but not more than 5 years.

	
91.5%

	
92.5%

	
93.5%

	
94.5%

	
(F)

	
Treasuries having a remaining maturity of greater than 5 years but not more than 7 years.

	
89.0%

	
90.1%

	
91.2%

	
92.3%

	
(G)

	
Treasuries having a remaining maturity of greater than 7 years but not more than 10 years.

	
86.3%

	
87.5%

	
88.8%

	
90.0%

	
(H)

	
Treasuries having a remaining maturity of greater than 10 years but not more than 20 years.

	
83.0%

	
84.5%

	
86.0%

	
87.5%

	
(I)

	
Treasuries having a remaining maturity of greater than 20 years but not more than 30 years.

	
79.0%

	
80.7%

	
82.3%

	
84.0%

	
(J)

	
Agency Securities: negotiable debt obligations of the Federal National Mortgage Association
(FNMA), Federal Home Loan Mortgage Corporation (FHLMC), Federal Home Loan Banks (FHLB), Federal Farm Credit Banks (FFCB), Tennessee Valley Authority (TVA) (collectively, “Agency Securities”) issued after July 18, 1984 and having a remaining
maturity of not more than 1 year.

	
*

	
*

	
*

	
*

	
(K)

	
Agency Securities having a remaining maturity of greater than 1 year but not more than 2 years.

	
*

	
*

	
*

	
*

	
(L)

	
Agency Securities having a remaining maturity of greater than 2 years but not more than 3 years.

	
*

	
*

	
*

	
*

	
(M)

	
Agency Securities having a remaining maturity of greater than 3 years but not more than 5 years.

	
*

	
*

	
*

	
*

	
(N)

	
Agency Securities having a remaining maturity of greater than 5 years but not more than 7 years.

	
*

	
*

	
*

	
*

	
(O)

	
Agency Securities having a remaining maturity of greater than 7 years but not more than 10 years.

	
*

	
*

	
*

	
*

	
(P)

	
Agency Securities having a remaining maturity of greater than 10 years but not more than 20 years.

	
*

	
*

	
*

	
*

	
(Q)

	
Agency Securities having a remaining maturity of greater than 20 years but not more than 30 years.

	
*

	
*

	
*

	
*

  

* percentage to be determined when such other Item of Credit Support (including, without limitation, Agency
Securities, FHLMC Certificates , FNMA Certificates , GNMA Certificates , Commercial Mortgage-Backed Securities and Commercial Paper) has been approved by Fitch.

 

                IN WITNESS WHEREOF, the parties have executed this Annex by their duly authorized representatives as of the date of
the Agreement.

	
The Bank of New York

	
The Supplemental Interest Trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust

By: Deutsche Bank National Trust Company, not individually, but solely as the Supplemental Interest Trust Trustee

	
By:   _____________________________

 Name

        
Title: 

        
Date: 

	
By:  
                                                                           

 Name:

 Title:

 Date:

 

 

Novation Confirmation

Date:    January 16, 2007

To:    Washington Mutual Bank

To:  The Supplemental Interest Trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust, by Deutsche Bank National Trust Company, not individually, but
solely as the Supplemental Interest Trust Trustee

From:    The Bank of New York

Re:    Novation Transaction

External ID:  38760

________________________________________________________________________

Dear Sir/Madam:

The purpose of this letter is to confirm the terms and conditions of the Novation Transaction entered into between the parties and effective from the Novation Date specified
below.  This Novation Confirmation constitutes a “Confirmation” as referred to in the New Agreement specified below.

1.  The definitions and provisions contained in the 2004 ISDA Novation Definitions (the “Definitions”) and the terms and provisions of the 2000 ISDA definitions (the
“Product Definitions”), each as published by the International Swaps and Derivatives Association, Inc.  and amended from time to time, are incorporated in this Novation Confirmation.  In the event of any inconsistency between (i) the
Definitions, (ii) the Product Definitions and/or (iii) the Novation Agreement and this Novation Confirmation, this Novation Confirmation will govern.  In the event of any inconsistency between the Novation Confirmation and the New Confirmation, the New
Confirmation will govern for the purpose of the New Transaction.

2.  The terms of the Novation Transaction to which this Novation Confirmation relates are as follows:

Novation Date:        January 16, 2007

Novated Amount:  USD 1,104,618,949.00 subject to adjustment in accordance with the Notional Amount Schedule as set out in the New Confirmation attached hereto as Exhibit
A.

Transferor:          Washington Mutual Bank

Transferee:  The Supplemental Interest Trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust, by Deutsche Bank National Trust Company, not individually,
but solely as the Supplemental Interest Trust Trustee

Remaining Party:        The Bank of New York

New Agreement:  The “Agreement” as defined in the New Confirmation.

3.  The terms of the Old Transaction to which this Novation Confirmation relates, for identification purposes, are as follows:

Trade Date of Old Transaction:    January 10, 2007

Effective Date of Old Transaction:    February 25, 2007

Termination Date of Old Transaction:  January 25, 2012

4.  The terms of the New Transaction to which this Novation Confirmation relates shall be as specified in the New Confirmation attached hereto as
Exhibit A.

Full First Calculation Period:      Applicable

5.  Miscellaneous Provisions:

Non-Reliance:          Applicable

6.  Trustee Capacity: 

It is expressly understood and agreed by the parties hereto that (i) this Novation Confirmation is executed and delivered by Deutsche Bank National Trust Company (“DB”)
not individually or personally but solely as supplemental interest trust trustee, in the exercise of the powers and authority conferred and vested in it under that certain Pooling and Servicing Agreement dated as of January 1, 2007, among WaMu Asset Acceptance Corp.
as Depositor, Washington Mutual Bank as Seller and Servicer, Deutsche Bank National Trust Company as Trustee (the “PSA”), and Deutsche Bank Trust Company Delaware as Delaware Trustee (ii) each of the representations, warranties, covenants, undertakings
and agreements herein made on the part of the Supplemental Interest Trust are made and intended not as personal representations, undertakings and agreements by DB but are made and intended for the purpose of binding only the Supplemental Interest Trust, (iii) nothing
herein contained shall be construed as creating any liability on DB, individually or personally, to perform any covenant either expressed or implied contained herein, all such liability, if any, being expressly waived by the parties hereto and by any Person claiming
by, through or under the parties hereto and (iv) under no circumstances shall DB be personally liable for the payment of any indemnity, indebtedness, fees or expenses of the Supplemental Interest Trust or be liable for the breach or failure of any obligation,
representation, warranty or covenant made or undertaken by the Supplemental Interest Trust under this Novation Confirmation or any other related documents as to all of which recourse shall be had solely to the assets of the Supplemental Interest Trust in accordance
with the terms of the PSA.

The time at which the above transaction was executed will be notified to the parties on request.

The parties confirm their acceptance to be bound by this Novation Confirmation as of the Novation Date by executing a copy of this Novation Confirmation and returning it to us. 
The Transferor, by its execution of a copy of this Novation Confirmation, agrees to the terms of the Novation Confirmation as it relates to the Old Transaction.  The Transferee, by its execution of a copy of this Novation Confirmation, agrees to the terms of the
Novation Confirmation as it relates to the New Transaction.

The Bank of New York

 

By:  __________________________

Name:

Title:

 

 

Washington Mutual Bank

 

By:  __________________________

Name:

Title:

 

 

The Supplemental Interest Trust with respect to the WaMu Asset-Backed Certificates Series 2007-HE1 Trust

 

By: Deutsche Bank National Trust Company, not individually, but solely as the Supplemental Interest Trust Trustee

By:  ___________________________

Name:

Title:

 

By:  ___________________________

Name:

Title:

 

 

Dated: January 10, 2007

 

Rate Swap Transaction

Re: BNY Reference No. 38760

 

Ladies and Gentlemen:

 

The purpose of this letter agreement (this “Confirmation”) is to confirm the terms and conditions of the Swap Transaction entered into between us on the Trade Date
specified below.

 

The definitions and provisions contained in the 2000 ISDA Definitions (as published by the International Swaps and Derivatives Association, Inc.) are incorporated into this
Confirmation.  In the event of any inconsistency between those definitions and provisions and this Confirmation, this Confirmation will govern.  In case you are located in a state of the European Union other than the United Kingdom, The Bank of New York
Europe Ltd., and indirect subsidiary of BNY, has acted as arranger for this Transaction.

 

1.         This Confirmation supplements, forms part of, and is subject to, the 1992 ISDA
Master Agreement dated as of February 23, 1998, as amended and supplemented from time to time (the “Agreement”), between The Bank of New York (“BNY”) and Washington Mutual Bank (the “Counterparty”).  All provisions contained
in the Agreement govern this Confirmation except as expressly modified below.

 

2.         The terms of the particular Transaction to which this Confirmation relates
are as follows:

 

	

Type of Transaction:

	

Rate Swap

	

Notional Amount:

	

The amount set forth on the Schedule I attached hereto for such Calculation Periods

	

Trade Date:

	

January 10, 2007

	

Effective Date:

	

February 25, 2007

	

Termination Date:

	

January 25, 2012

	

 

Fixed Amounts:

	

 

	

Fixed Rate Payer:

	

Counterparty

	

Fixed Rate Payer Payment Dates:

	

The 25th day of each month commencing on March 25, 2007, and ending on the Termination Date,
inclusive, subject to adjustment in accordance with the Following Business Day Convention, using No Adjustment for Period End Dates.

	

Fixed Rate:

	

4.999%

	

Fixed Rate Day Count Fraction:

	

30/360

	

Floating Amounts:

	

 

	

Floating Rate Payer:

	

BNY

	

Floating Rate Payer

 Payment Dates:

	

The 25th day of each month commencing on March 25, 2007, and ending on the Termination
Date, inclusive, subject to adjustment in accordance with the Following Business Day Convention, using No Adjustment for Period End Dates.

	

Floating Rate Option:

	

USD-LIBOR-BBA

	

Designated Maturity:

	

1 month

	

Spread:

	

None

	

Floating Rate

 Day Count Fraction:

	

30/360

	

Reset Dates:

	

The first day of each Calculation Period

	

Compounding:

	

Inapplicable

	

Additional Terms:

	

 

	

Business Day:

	

New York

	

Calculation Agent:

	

BNY

 

	

Account Details and Settlement Instructions:

	

Payments to BNY:

The Bank of New York

Derivative Products Support Department

32 Old Slip, 16th Floor

New York, New York 10286

Attention: Renee Etheart

ABA #021000018

Account #890-0068-175

Reference: Interest Rate Swap

 

Payments to Counterparty:

Washington Mutual Bank

ABA #321180748

Account #295930009778

 

 

 

Please confirm that the foregoing correctly sets forth the terms of our agreement by executing this agreement and returning it via facsimile to Derivative Support Department, Attn: Eugene Chun/Kenny
Au-Yeung at 212-804-5818/5837.

 

 

We are very pleased to have executed this Transaction with you and we look forward to completing other transactions with you in the near future.

 

Very truly yours,

 

THE BANK OF NEW YORK

 

By:_____________________________

      Name:

      Title:

Counterparty, acting through its duly authorized signatory, hereby agrees to, accepts and confirms the terms of the foregoing as of the Trade Date.

 

WASHINGTON MUTUAL BANK

 

By:_____________________________

      Name:

      Title:

 

SCHEDULE I

 

	

From and including

	

To but excluding

	

Notional Amount (in USD)

	

2/25/2007

	

3/25/2007

	

1,104,618,949

	

3/25/2007

	

4/25/2007

	

1,092,517,916

	

4/25/2007

	

5/25/2007

	

1,078,173,362

	

5/25/2007

	

6/25/2007

	

1,061,670,707

	

6/25/2007

	

7/25/2007

	

1,043,173,147

	

7/25/2007

	

8/25/2007

	

1,035,258,761

	

8/25/2007

	

9/25/2007

	

1,025,078,179

	

9/25/2007

	

10/25/2007

	

1,011,892,295

	

10/25/2007

	

11/25/2007

	

995,920,245

	

11/25/2007

	

12/25/2007

	

976,541,325

	

12/25/2007

	

1/25/2008

	

953,322,328

	

1/25/2008

	

2/25/2008

	

925,642,201

	

2/25/2008

	

3/25/2008

	

896,017,181

	

3/25/2008

	

4/25/2008

	

867,769,173

	

4/25/2008

	

5/25/2008

	

841,390,954

	

5/25/2008

	

6/25/2008

	

816,641,975

	

6/25/2008

	

7/25/2008

	

793,300,494

	

7/25/2008

	

8/25/2008

	

771,105,470

	

8/25/2008

	

9/25/2008

	

749,979,718

	

9/25/2008

	

10/25/2008

	

727,101,177

	

10/25/2008

	

11/25/2008

	

697,962,248

	

11/25/2008

	

12/25/2008

	

671,138,401

	

12/25/2008

	

1/25/2009

	

480,620,382

	

1/25/2009

	

2/25/2009

	

447,464,494

	

2/25/2009

	

3/25/2009

	

419,231,440

	

3/25/2009

	

4/25/2009

	

396,604,943

	

4/25/2009

	

5/25/2009

	

377,494,006

	

5/25/2009

	

6/25/2009

	

360,876,873

	

6/25/2009

	

7/25/2009

	

345,947,791

	

7/25/2009

	

8/25/2009

	

332,454,805

	

8/25/2009

	

9/25/2009

	

320,033,031

	

9/25/2009

	

10/25/2009

	

308,367,035

	

10/25/2009

	

11/25/2009

	

296,391,347

	

11/25/2009

	

12/25/2009

	

284,281,782

	

12/25/2009

	

1/25/2010

	

268,646,612

	

1/25/2010

	

2/25/2010

	

265,411,393

	

2/25/2010

	

3/25/2010

	

243,914,064

	

3/25/2010

	

4/25/2010

	

233,314,786

	

4/25/2010

	

5/25/2010

	

223,549,532

	

5/25/2010

	

6/25/2010

	

214,428,540

	

6/25/2010

	

7/25/2010

	

205,922,840

	

7/25/2010

	

8/25/2010

	

197,821,620

	

8/25/2010

	

9/25/2010

	

190,418,757

	

9/25/2010

	

10/25/2010

	

183,390,110

	

10/25/2010

	

11/25/2010

	

177,104,656

	

11/25/2010

	

12/25/2010

	

171,015,714

	

12/25/2010

	

1/25/2011

	

165,153,246

	

1/25/2011

	

2/25/2011

	

159,539,844

	

2/25/2011

	

3/25/2011

	

154,033,651

	

3/25/2011

	

4/25/2011

	

148,808,930

	

4/25/2011

	

5/25/2011

	

142,274,230

	

5/25/2011

	

6/25/2011

	

136,057,982

	

6/25/2011

	

7/25/2011

	

130,128,701

	

7/25/2011

	

8/25/2011

	

124,488,702

	

8/25/2011

	

9/25/2011

	

119,108,713

	

9/25/2011

	

10/25/2011

	

113,941,292

	

10/25/2011

	

11/25/2011

	

109,044,857

	

11/25/2011

	

12/25/2011

	

104,378,217

	

12/25/2011

	

1/25/2012

	

99,946,693<PDF>
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