Document:

ADVISORY SERVICES AGREEMENT

TerraNova Management Corp. ("TNMC") has agreed to provide certain advisory
services to ClearPoint Business Resources, Inc. (the "COMPANY"), as further
described in Section 1 below. This letter agreement (hereinafter this
"AGREEMENT") sets forth the terms and conditions as mutually agreed by the TNMC
and the Company, relating to the provision of services by TNMC to the Company.
This Agreement shall become effective upon the date ("Effective Date") of the
closing of the merger contemplated by that certain Agreement and Plan of Merger,
dated August 9, 2006, among Terra Nova Acquisition Corp., CPBR Acquisition Inc.,
the Company and the stockholders of the Company.

1.    ADVISORY SERVICES

The Company hereby retains TNMC, on a non-exclusive and on-going basis, to
provide advice and assistance to the Company in its analysis and consideration
of various transition, financial and strategic alternatives for the Company (the
"ADVISORY SERVICES"), provided that a request by the Company for such advice is
within the scope of TNMC's internal resources and expertise. Notwithstanding
anything else herein contained, the Advisory Services shall not include advising
with respect to investing in, or the buying or selling of securities or exchange
contracts.

2.    FEE FOR ADVISORY SERVICES

Subject to Section 6 hereof, TNMC shall be compensated by the Company during
each year of the term of this Agreement for the provision of the Advisory
Service in the amount of US$200,000 (the "ADVISORY SERVICE FEE") which amount
shall be paid in twelve equal monthly installments, in advance on the first day
of each month; provided that the Advisory Service Fee for the month in which the
Effective Date occurs shall be prorated for the period of such month beginning
on the Effective Date and paid together with the Advisory Services Fee for the
following month. Additionally, the Company shall reimburse to TNMC all
reasonable out-of-pocket travel, lodging and meal expenses and the like relating
to the provision of the Advisory Services.

3.    NON-DISCLOSURE OF ADVICE

Except as may be required pursuant to the securities laws of the United States
and as may otherwise be required by law or legal process or its regulatory
authorities, the Company agrees not to disclose to any third party the contents
of any advice or materials provided by TNMC the Company without the prior
written consent of TNMC, which consent shall not be unreasonably withheld.

4.    RELIANCE ON ADVICE

The Company acknowledges and agrees that any information or advice provided by
TNMC shall be for information and discussion purposes only and that it shall not
be entitled to rely upon such information or advice unless otherwise agreed to
in writing by TNMC. The Company agrees that it will not have any claim against
TNMC for any expenses, losses or damages insofar as such expenses, losses or
damages relate to, are caused by, result from or are based upon, directly or
indirectly, the advice, recommendation, discussion or any other communication by
TNMC except for fraud or material willful misconduct on the part of TNMC.

5.    CONFIDENTIALITY

TNMC will keep strictly confidential all information, whether written or oral,
acquired from the Company and its agents and advisors in connection with TNMC's
provision of services under this Agreement unless otherwise directed by the
Company, except information: (i) that was made available to the public prior to
the commencement of the provision by TNMC of services hereunder; (ii) that
thereafter becomes available to the public other than through a breach by TNMC
of its obligations hereunder; and (iii) except to the extent that TNMC is
required by law or in connection with legal process or legal or regulatory
proceedings to disclose such information. If TNMC is required by legal process
to disclose any such information, TNMC will provide the Company with prompt
notice of such requirement, so that such affected party may seek an appropriate
protective order or waive compliance with this requirement.

6.    ANNUAL REVIEW OF TERMS; EXPIRY

The terms of this Agreement shall be reviewable annually by the non-interested
members of the board of directors of the Company's parent. The term of this
Agreement shall begin on the Effective Date and shall continue until the day
preceding the first anniversary of the Effective Date and shall automatically be
renewed for successive one-year terms unless terminated by either party by
written notice given to the other party not less than thirty (30) days prior to
the expiration of the initial term or the expiration of any succeeding one-year
term.

7.    SURVIVAL OF TERMS

The terms and conditions contained in paragraphs 3, 4 and 5 of this Agreement
shall survive termination of this Agreement.

8.    GOVERNING LAW

This Agreement shall be construed in accordance with the laws of the State of
Delaware and the federal laws of the United States of America applicable
therein. Each Party accedes and submits to the jurisdiction of the courts of the
State of Delaware and all courts of appeal therefrom.

9.    COUNTERPARTS

This Agreement may be executed in several counterparts and evidenced by a
facsimile copy of an original execution page bearing the signature of each party
hereto, each of this when so executed shall be deemed to be an original, and
such counterparts or facsimile copies thereof together shall comprise one and
the same instrument and, notwithstanding their date of execution, shall be
deemed to bear the date as of the date above written.

10.   ASSIGNMENT

This Agreement may not be assigned by either party hereto unless to an affiliate
of such party provided that any such assignment shall be subject to the consent
of the other party, not to be unreasonably withheld.

11.   NOTICES

      (a)   Any notice or other communication required or permitted to be given
            under this Agreement shall be in writing and shall be sufficiently
            given or made by delivery or by telecopy or similar facsimile
            transmission (receipt confirmed) to the respective parties as
            follows:

            if to the Company, to:

            ClearPoint Business Resources, Inc.
            1600 Manor Drive, Suite 110
            Chalfont, PA 18914
            Attention: Michael Traina and Christopher Ferguson
            Fax:   (866) 997-7711
            Tel:   (215) 997-7710

            if to TNMC, to:

            TerraNova Management Corp.
            Suite 3400, 2 Bloor Street West
            Toronto, Ontario M4W 3E2
            Attention: Lee Chung & Jesse Gill
            Fax:   (416) 644-6001
            Tel:   (416) 644-6000

                                        2

      (b)   Any notice so given shall be deemed conclusively to have been given
            and received when so personally delivered or so telecopied or
            transmitted. Either party may change its address by notice to the
            other in the manner set out above.

Agreed to and accepted this ____ day of August, 2006:

TERRANOVA MANAGEMENT CORP.              CLEARPOINT BUSINESS RESOURCES, INC.

Per:   ____________________________     Per:   _________________________________

Name:  ____________________________     Name:  _________________________________

Title: ____________________________     Title: _________________________________

                                       3================================================================================

                      BANC OF AMERICA FUNDING CORPORATION,
                                  as Depositor,

                             WELLS FARGO BANK, N.A.,
                    as Servicer and Securities Administrator,

                                       and

                         U.S. BANK NATIONAL ASSOCIATION,
                                   as Trustee

                         POOLING AND SERVICING AGREEMENT

                               Dated July 31, 2006

                      -------------------------------------

                       Mortgage Pass-Through Certificates

                                  Series 2006-G

================================================================================

                                                 TABLE OF CONTENTS
                                                                                                               Page
                                                                                                               ----

ARTICLE I DEFINITIONS                                                                                            21
     Section 1.01     Defined Terms..............................................................................21
     Section 1.02     Interest Calculations......................................................................74

ARTICLE II CONVEYANCE OF MORTGAGE LOANS ORIGINAL ISSUANCE OF CERTIFICATES                                        74
     Section 2.01     Conveyance of Mortgage Loans...............................................................74
     Section 2.02     Acceptance by the Trustee or Custodian of the Mortgage Loans...............................78
     Section 2.03     Representations, Warranties and Covenants of the Servicer..................................82
     Section 2.04     Representations and Warranties of the Depositor as to the Mortgage Loans...................83
     Section 2.05     Designation of Interests in the REMICs.....................................................84
     Section 2.06     Designation of Start-up Day................................................................85
     Section 2.07     REMIC Certificate Maturity Date............................................................85
     Section 2.08     Execution and Delivery of Certificates.....................................................85
     Section 2.09     Establishment of the Trust.................................................................85
     Section 2.10     Purpose and Powers of the Trust............................................................85
     Section 2.11     Rights of the NIMS Insurer.................................................................86

ARTICLE III ADMINISTRATION AND SERVICING OF MORTGAGE LOANS                                                       86
     Section 3.01     Servicer to Service the Mortgage Loans.....................................................86
     Section 3.02     Subservicing; Enforcement of the Obligations of the Servicer...............................87
     Section 3.03     Fidelity Bond; Errors and Omissions Insurance..............................................89
     Section 3.04     Access to Certain Documentation............................................................89
     Section 3.05     Maintenance of Primary Mortgage Insurance Policy; Claims...................................90
     Section 3.06     Rights of the Depositor, the Securities Administrator and the Trustee in
                      Respect of the Servicer....................................................................91
     Section 3.07     Trustee to Act as Servicer.................................................................91
     Section 3.08     Collection of Taxes, Assessments and Similar Items; Escrow Accounts; Buy-Down Account......92
     Section 3.09     Collection of Mortgage Loan Payments; Servicer Custodial Account; Certificate Account......93
     Section 3.10     Access to Certain Documentation and Information Regarding the Mortgage Loans...............97
     Section 3.11     Permitted Withdrawals from the Certificate Account and the Servicer Custodial Account......97
     Section 3.12     Maintenance of Hazard Insurance and Other Insurance........................................99
     Section 3.13     Enforcement of Due-On-Sale Clauses; Assumption Agreements.................................100
     Section 3.14     Realization Upon Defaulted Mortgage Loans; REO Property...................................101
     Section 3.15     Trustee and Custodian to Cooperate; Release of Mortgage Files.............................103
     Section 3.16     Documents, Records and Funds in Possession of the Servicer to be Held for the Trustee.....104
     Section 3.17     Servicer Compensation.....................................................................105
     Section 3.18     Modifications, Waivers, Amendments and Consents...........................................105
     Section 3.19     Advances..................................................................................106

                                        i

     Section 3.20     Annual Statement of Compliance............................................................106
     Section 3.21     Assessments of Compliance and Attestation Reports.........................................107
     Section 3.22     Reports to the Commission.................................................................109

ARTICLE IV SERVICER'S CERTIFICATE                                                                               115
     Section 4.01     Servicer's Certificate....................................................................115

ARTICLE V PAYMENTS AND STATEMENTS TO CERTIFICATEHOLDERS; REMIC ADMINISTRATION                                   116
     Section 5.01     Distributions.............................................................................116
     Section 5.02     Priorities of Distributions on the Certificates...........................................116
     Section 5.03     Allocation of Losses......................................................................131
     Section 5.04     Statements to Certificateholders..........................................................132
     Section 5.05     Tax Returns and Reports to Certificateholders.............................................136
     Section 5.06     Tax Matters Person........................................................................137
     Section 5.07     Rights of the Tax Matters Person in Respect of the Securities Administrator...............137
     Section 5.08     REMIC Related Covenants...................................................................137
     Section 5.09     Determination of One-Month LIBOR and Certificate One-Year LIBOR...........................139
     Section 5.10     Servicer, Securities Administrator and Trustee Indemnification............................140
     Section 5.11     Supplemental Interest Trust...............................................................140
     Section 5.12     Tax Treatment of Swap Payments and Swap Termination Payments..............................142

ARTICLE VI THE CERTIFICATES                                                                                     143
     Section 6.01     The Certificates..........................................................................143
     Section 6.02     Registration of Transfer and Exchange of Certificates.....................................143
     Section 6.03     Mutilated, Destroyed, Lost or Stolen Certificates.........................................148
     Section 6.04     Persons Deemed Owners.....................................................................149

ARTICLE VII THE DEPOSITOR AND THE SERVICER                                                                      149
     Section 7.01     Respective Liabilities of the Depositor and the Servicer..................................149
     Section 7.02     Merger or Consolidation of the Depositor or the Servicer..................................149
     Section 7.03     Limitation on Liability of the Depositor, the Servicer and Others.........................150
     Section 7.04     Depositor and Servicer Not to Resign......................................................150

ARTICLE VIII DEFAULT                                                                                            151
     Section 8.01     Events of Default.........................................................................151
     Section 8.02     Remedies of Trustee.......................................................................153
     Section 8.03     Directions by Certificateholders and Duties of Trustee During Event of Default............153
     Section 8.04     Action upon Certain Failures of the Servicer and upon Event of Default....................153
     Section 8.05     Trustee to Act; Appointment of Successor..................................................154
     Section 8.06     Notification to Certificateholders........................................................155

ARTICLE IX THE TRUSTEE AND THE SECURITIES ADMINISTRATOR                                                         155
     Section 9.01     Duties of Trustee and Securities Administrator............................................155
     Section 9.02     Certain Matters Affecting the Trustee and the Securities Administrator....................158

                                       ii

     Section 9.03     Neither Trustee nor Securities Administrator Liable for Certificates or
                      Mortgage Loans............................................................................160
     Section 9.04     Trustee and Securities Administrator May Own Certificates.................................161
     Section 9.05     Eligibility Requirements for Trustee and Securities Administrator.........................161
     Section 9.06     Resignation and Removal of Trustee and Securities Administrator...........................162
     Section 9.07     Successor Trustee or Securities Administrator.............................................163
     Section 9.08     Merger or Consolidation of Trustee or Securities Administrator............................164
     Section 9.09     Appointment of Co-Trustee or Separate Trustee.............................................164
     Section 9.10     Authenticating Agents.....................................................................165
     Section 9.11     Securities Administrator's Fees and Expenses and Trustee's Fees and Expenses..............166
     Section 9.12     Appointment of Custodian..................................................................167
     Section 9.13     Paying Agents.............................................................................167
     Section 9.14     Limitation of Liability...................................................................168
     Section 9.15     Trustee or Securities Administrator May Enforce Claims Without Possession
                      of Certificates...........................................................................168
     Section 9.16     Suits for Enforcement.....................................................................169
     Section 9.17     Waiver of Bond Requirement................................................................169
     Section 9.18     Waiver of Inventory, Accounting and Appraisal Requirement.................................169

ARTICLE X TERMINATION                                                                                           169
     Section 10.01    Termination upon Purchase or Liquidation of All Mortgage Loans............................169
     Section 10.02    Additional Termination Requirements.......................................................171

ARTICLE XI MISCELLANEOUS PROVISIONS                                                                             172
     Section 11.01    Amendment.................................................................................172
     Section 11.02    Recordation of Agreement; Counterparts....................................................173
     Section 11.03    Limitation on Rights of Certificateholders................................................174
     Section 11.04    Governing Law.............................................................................174
     Section 11.05    Notices...................................................................................175
     Section 11.06    Severability of Provisions................................................................175
     Section 11.07    Certificates Nonassessable and Fully Paid.................................................176
     Section 11.08    Access to List of Certificateholders......................................................176
     Section 11.09    Recharacterization........................................................................176
     Section 11.10    Regulation AB Compliance; Intent of the Parties; Reasonableness...........................177
     Section 11.11    Third Party Beneficiary...................................................................177

                                       iii

                                    EXHIBITS

Exhibit 1-A-1       Form of Face of Class 1-A-1 Certificate
Exhibit 2-A-1       Form of Face of Class 2-A-1 Certificate
Exhibit 2-A-2       Form of Face of Class 2-A-2 Certificate
Exhibit 2-A-3       Form of Face of Class 2-A-3 Certificate
Exhibit 2-A-4       Form of Face of Class 2-A-4 Certificate
Exhibit 2-A-5       Form of Face of Class 2-A-5 Certificate
Exhibit 3-A-1       Form of Face of Class 3-A-1 Certificate
Exhibit 3-A-2       Form of Face of Class 3-A-2 Certificate
Exhibit 3-A-3       Form of Face of Class 3-A-3 Certificate
Exhibit B-M-1       Form of Face of Class M-1 Certificate
Exhibit B-M-2       Form of Face of Class M-2 Certificate
Exhibit B-M-3       Form of Face of Class M-3 Certificate
Exhibit B-M-4       Form of Face of Class M-4 Certificate
Exhibit B-M-5       Form of Face of Class M-5 Certificate
Exhibit B-M-6       Form of Face of Class M-6 Certificate
Exhibit B-M-7       Form of Face of Class M-7 Certificate
Exhibit B-CE        Form of Face of Class CE Certificate
Exhibit B-R         Form of Face of Class R Certificate
Exhibit C           Form of Reverse of all Certificates
Exhibit D-1         Loan Group 1 Mortgage Loan Schedule
Exhibit D-2         Loan Group 2 Mortgage Loan Schedule
Exhibit D-3         Loan Group 3 Mortgage Loan Schedule
Exhibit E           Request for Release of Documents
Exhibit F           Form of Certification of Establishment of Account
Exhibit G-1         Form of Transferor's Certificate
Exhibit G-2A        Form 1 of Transferee's Certificate
Exhibit G-2B        Form 2 of Transferee's Certificate
Exhibit H           Form of Transferee Representation Letter for ERISA-
                    Restricted Certificates
Exhibit I           Form of Affidavit Regarding Transfer of Residual Certificate
Exhibit J           List of Recordation States
Exhibit K           Form of Initial Certification
Exhibit L           Form of Final Certification
Exhibit M           Relevant Servicing Criteria
Exhibit N           Additional Form 10-D Disclosure
Exhibit O           Additional Form 10-K Disclosure
Exhibit P           Form 8-K Disclosure Information
Exhibit Q           Form of Sarbanes-Oxley Certification
Exhibit R           Form of Back-up Certification
Exhibit S           Form of Additional Disclosure Notification
Exhibit T           Data Elements for Servicer's Certificate
Exhibit U           Interest Rate Swap Agreement
Exhibit V           Interest Rate Cap Agreement A
Exhibit W           Interest Rate Cap Agreement B
Exhibit X           Interest Rate Floor Agreement

                                        iv

                         POOLING AND SERVICING AGREEMENT

      THIS POOLING AND SERVICING AGREEMENT, dated July 31, 2006, is hereby
executed by and among BANC OF AMERICA FUNDING CORPORATION, as depositor
(together with its permitted successors and assigns, the "Depositor"), WELLS
FARGO BANK, N.A., as servicer (together with its permitted successors and
assigns, in such capacity, the "Servicer") and as securities administrator
(together with its permitted successors and assigns, in such capacity, the
"Securities Administrator"), and U.S. BANK NATIONAL ASSOCIATION, as trustee
(together with its permitted successors and assigns, the "Trustee").

                          W I T N E S S E T H T H A T:
                          - - - - - - - - - - - - - -

      In consideration of the mutual agreements herein contained, the Depositor,
the Servicer, the Securities Administrator and the Trustee agree as follows:

                              PRELIMINARY STATEMENT

      The Depositor intends to sell pass-through certificates (collectively, the
"Certificates"), to be issued hereunder in multiple Classes, which in the
aggregate together with the uncertificated Class Swap-IO Interest issued by the
Upper-Tier REMIC, will evidence the entire beneficial ownership interest in the
Trust Estate created hereunder. The Certificates will consist of eighteen
Classes of Certificates, designated as (i) the Class 1-A-1, Class 2-A-1, Class
2-A-2, Class 2-A-3, Class 2-A-4, Class 2-A-5, Class 3-A-1, Class 3-A-2 and Class
3-A-3 Certificates, (ii) Class M-1, Class M-2, Class M-3, Class M-4, Class M-5,
Class M-6 and Class M-7 Certificates, (iii) the Class CE Certificates, and (iv)
the Class R Certificates. The descriptions of the Lower-Tier REMIC, the
Middle-Tier REMIC and the Upper-Tier REMIC that follow are part of the
Preliminary Statement. Any inconsistencies or ambiguities in this Agreement or
in the administration of this Agreement shall be resolved pursuant to the terms
of Section 11.01 hereof in a manner that preserves the validity of such REMIC
elections described below.

                                LOWER-TIER REMIC

      As provided herein, the Securities Administrator will make an election to
treat the segregated pool of assets consisting of the Mortgage Loans and certain
other related assets subject to this Agreement (but exclusive of the Rate Cap
Carryover Amounts, the Rate Cap Carryover Reserve Account, the Class IO
Distribution Amount, the Interest Rate Swap Agreement, Interest Rate Cap
Agreement A, Interest Rate Cap Agreement B, Interest Rate Floor Agreement, the
Swap Account and the Supplemental Interest Trust) as a real estate mortgage
investment conduit (a "REMIC") for federal income tax purposes, and such
segregated pool of assets will be designated as the "Lower-Tier REMIC." The
Class LR Interest will represent the sole class of "residual interests" in the
Lower-Tier REMIC for purposes of the REMIC Provisions. The following table
irrevocably sets forth the designation, the Uncertificated Lower-Tier REMIC
Pass-Through Rate, the initial Uncertificated Balance, and solely for purposes
of satisfying Treasury Regulations Section 1.860G-1(a)(4)(iii), the "latest
possible maturity date" for each of the Lower-Tier Interests. None of the
Lower-Tier Interests will be certificated.

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

   ILR-I                   $2.00                       Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-1-A              $8,023,038.81                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-1-B              $8,023,038.81                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-2-A              $7,714,350.05                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-2-B              $7,714,350.05                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-3-A              $7,417,535.59                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-3-B              $7,417,535.59                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-4-A              $7,132,078.83                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-4-B              $7,132,078.83                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-5-A              $6,857,665.45                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-5-B              $6,857,665.45                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-6-A              $6,593,790.82                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-6-B              $6,593,790.82                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-7-A              $6,340,062.90                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-7-B              $6,340,062.90                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-8-A              $6,096,118.15                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-8-B              $6,096,118.15                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-9-A              $5,861,529.09                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-9-B              $5,861,529.09                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-10-A             $5,635,979.25                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-10-B             $5,635,979.25                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-11-A             $5,419,120.98                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        2

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  ILR-11-B             $5,419,120.98                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-12-A             $5,210,636.99                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-12-B             $5,210,636.99                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-13-A             $5,010,141.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-13-B             $5,010,141.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-14-A             $4,817,348.04                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-14-B             $4,817,348.04                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-15-A             $4,631,981.31                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-15-B             $4,631,981.31                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-16-A             $4,453,761.41                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-16-B             $4,453,761.41                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-17-A             $4,282,615.07                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-17-B             $4,282,615.07                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-18-A             $4,117,796.00                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-18-B             $4,117,796.00                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-19-A             $3,959,342.28                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-19-B             $3,959,342.28                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-20-A             $3,806,998.34                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-20-B             $3,806,998.34                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-21-A             $3,660,571.12                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-21-B             $3,660,571.12                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-22-A             $3,519,679.70                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-22-B             $3,519,679.70                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-23-A             $3,384,226.48                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-23-B             $3,384,226.48                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-24-A             $3,254,052.25                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-24-B             $3,254,052.25                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-25-A             $3,128,853.46                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-25-B             $3,128,853.46                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-26-A             $3,008,433.41                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-26-B             $3,008,433.41                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-27-A             $2,892,809.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-27-B             $2,892,809.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-28-A             $2,781,460.69                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-28-B             $2,781,460.69                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-29-A             $2,674,637.78                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-29-B             $2,674,637.78                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        3

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE              MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  ILR-30-A             $2,571,672.45                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-30-B             $2,571,672.45                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-31-A             $2,472,665.40                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-31-B             $2,472,665.40                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-32-A             $2,377,503.99                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-32-B             $2,377,503.99                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-33-A             $2,285,976.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-33-B             $2,285,976.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-34-A             $2,197,974.17                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-34-B             $2,197,974.17                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-35-A             $2,113,363.53                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-35-B             $2,113,363.53                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-36-A             $2,032,173.83                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-36-B             $2,032,173.83                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-37-A             $1,953,960.54                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-37-B             $1,953,960.54                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-38-A             $1,878,734.57                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-38-B             $1,878,734.57                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-39-A             $1,806,401.76                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-39-B             $1,806,401.76                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-40-A             $1,737,233.17                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-40-B             $1,737,233.17                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-41-A             $1,670,344.47                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-41-B             $1,670,344.47                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-42-A             $1,606,024.53                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-42-B             $1,606,024.53                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-43-A             $1,544,204.45                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-43-B             $1,544,204.45                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-44-A             $1,484,741.79                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-44-B             $1,484,741.79                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-45-A             $1,427,566.13                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-45-B             $1,427,566.13                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-46-A             $1,372,596.51                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-46-B             $1,372,596.51                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-47-A             $1,322,148.81                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-47-B             $1,322,148.81                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-48-A             $1,271,131.10                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        4

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  ILR-48-B              $1,271,131.10                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-49-A              $1,222,118.57                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-49-B              $1,222,118.57                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-50-A              $1,174,977.78                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-50-B              $1,174,977.78                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-51-A              $1,129,661.32                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-51-B              $1,129,661.32                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-52-A              $1,086,137.40                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-52-B              $1,086,137.40                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-53-A              $1,051,138.68                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-53-B              $1,051,138.68                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-54-A              $1,010,315.91                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-54-B              $1,010,315.91                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-55-A               $971,127.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-55-B               $971,127.19                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-56-A               $933,448.46                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-56-B               $933,448.46                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-57-A               $898,185.32                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-57-B               $898,185.32                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-58-A               $864,776.65                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-58-B               $864,776.65                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-59-A               $831,167.03                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-59-B               $831,167.03                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-60-A               $798,842.46                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  ILR-60-B               $798,842.46                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IILR-I                   $2.00                      Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-1-A             $31,943,864.67                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-1-B             $31,943,864.67                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-2-A             $30,714,815.14                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-2-B             $30,714,815.14                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-3-A             $29,533,043.35                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-3-B             $29,533,043.35                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-4-A             $28,396,492.44                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-4-B             $28,396,492.44                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-5-A             $27,303,910.93                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-5-B             $27,303,910.93                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-6-A             $26,253,289.64                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        5

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  IILR-6-B             $26,253,289.64                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-7-A             $25,243,067.64                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-7-B             $25,243,067.64                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-8-A             $24,271,797.47                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-8-B             $24,271,797.47                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-9-A             $23,337,777.15                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-9-B             $23,337,777.15                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-10-A            $22,439,746.67                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-10-B            $22,439,746.67                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-11-A            $21,576,321.80                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-11-B            $21,576,321.80                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-12-A            $20,746,239.28                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-12-B            $20,746,239.28                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-13-A            $19,947,961.84                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-13-B            $19,947,961.84                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-14-A            $19,180,352.65                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-14-B            $19,180,352.65                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-15-A            $18,442,311.89                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-15-B            $18,442,311.89                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-16-A            $17,732,726.34                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-16-B            $17,732,726.34                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-17-A            $17,051,304.30                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-17-B            $17,051,304.30                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-18-A            $16,395,074.41                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-18-B            $16,395,074.41                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-19-A            $15,764,188.22                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-19-B            $15,764,188.22                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-20-A            $15,157,628.25                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-20-B            $15,157,628.25                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-21-A            $14,574,625.82                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-21-B            $14,574,625.82                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-22-A            $14,013,664.22                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-22-B            $14,013,664.22                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-23-A            $13,474,354.94                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-23-B            $13,474,354.94                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-24-A            $12,956,064.04                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-24-B            $12,956,064.04                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        6

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  IILR-25-A            $12,457,582.95                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-25-B            $12,457,582.95                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-26-A            $11,978,128.47                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-26-B            $11,978,128.47                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-27-A            $11,517,768.71                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-27-B            $11,517,768.71                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-28-A            $11,074,432.78                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-28-B            $11,074,432.78                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-29-A            $10,649,115.53                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-29-B            $10,649,115.53                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-30-A            $10,239,157.32                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-30-B            $10,239,157.32                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-31-A             $9,844,959.10                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-31-B             $9,844,959.10                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-32-A             $9,466,072.31                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-32-B             $9,466,072.31                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-33-A             $9,101,652.85                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-33-B             $9,101,652.85                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-34-A             $8,751,271.34                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-34-B             $8,751,271.34                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-35-A             $8,414,392.62                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-35-B             $8,414,392.62                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-36-A             $8,091,134.46                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-36-B             $8,091,134.46                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-37-A             $7,779,726.94                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-37-B             $7,779,726.94                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-38-A             $7,480,213.46                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-38-B             $7,480,213.46                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-39-A             $7,192,219.13                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-39-B             $7,192,219.13                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-40-A             $6,916,823.25                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-40-B             $6,916,823.25                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-41-A             $6,650,504.73                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-41-B             $6,650,504.73                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-42-A             $6,394,413.81                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-42-B             $6,394,413.81                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-43-A             $6,148,276.12                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        7

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  IILR-43-B             $6,148,276.12                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-44-A             $5,911,524.54                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-44-B             $5,911,524.54                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-45-A             $5,683,878.67                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-45-B             $5,683,878.67                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-46-A             $5,465,016.19                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-46-B             $5,465,016.19                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-47-A             $5,264,157.83                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-47-B             $5,264,157.83                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-48-A             $5,061,029.98                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-48-B             $5,061,029.98                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-49-A             $4,865,885.76                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-49-B             $4,865,885.76                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-50-A             $4,678,193.91                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-50-B             $4,678,193.91                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-51-A             $4,497,765.63                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-51-B             $4,497,765.63                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-52-A             $4,324,474.43                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-52-B             $4,324,474.43                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-53-A             $4,185,126.42                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-53-B             $4,185,126.42                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-54-A             $4,022,589.87                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-54-B             $4,022,589.87                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-55-A             $3,866,559.31                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-55-B             $3,866,559.31                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-56-A             $3,716,540.83                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-56-B             $3,716,540.83                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-57-A             $3,576,140.02                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-57-B             $3,576,140.02                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-58-A             $3,443,122.86                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-58-B             $3,443,122.86                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-59-A             $3,309,305.58                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-59-B             $3,309,305.58                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-60-A             $3,180,604.78                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IILR-60-B             $3,180,604.78                  Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-I                  $2.00                      Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-1-A              $402,375.06                   Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        8

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

-------------------------------------------------------------------------------------------------------
   IIILR-1-B            $402,375.06                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-2-A            $386,893.57                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-2-B            $386,893.57                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-3-A            $372,007.59                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-3-B            $372,007.59                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-4-A            $357,691.24                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-4-B            $357,691.24                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-5-A            $343,928.73                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-5-B            $343,928.73                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-6-A            $330,694.77                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-6-B            $330,694.77                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-7-A            $317,969.70                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-7-B            $317,969.70                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-8-A            $305,735.27                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-8-B            $305,735.27                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-9-A            $293,970.05                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
   IIILR-9-B            $293,970.05                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-10-A            $282,658.18                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-10-B            $282,658.18                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-11-A            $271,782.20                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-11-B            $271,782.20                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-12-A            $261,326.22                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-12-B            $261,326.22                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-13-A            $251,270.86                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-13-B            $251,270.86                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-14-A            $241,601.81                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-14-B            $241,601.81                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-15-A            $232,305.22                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-15-B            $232,305.22                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-16-A            $223,367.05                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-16-B            $223,367.05                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-17-A            $214,783.64                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-17-B            $214,783.64                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-18-A            $206,517.56                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-18-B            $206,517.56                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-19-A            $198,570.72                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-19-B            $198,570.72                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                        9

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  IIILR-20-A            $190,930.30                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-20-B            $190,930.30                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-21-A            $183,586.62                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-21-B            $183,586.62                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-22-A            $176,520.56                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-22-B            $176,520.56                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-23-A            $169,727.25                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-23-B            $169,727.25                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-24-A            $163,198.70                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-24-B            $163,198.70                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-25-A            $156,919.67                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-25-B            $156,919.67                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-26-A            $150,880.31                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-26-B            $150,880.31                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-27-A            $145,081.47                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-27-B            $145,081.47                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-28-A            $139,497.07                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-28-B            $139,497.07                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-29-A            $134,139.64                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-29-B            $134,139.64                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-30-A            $128,975.68                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-30-B            $128,975.68                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-31-A            $124,010.23                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-31-B            $124,010.23                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-32-A            $119,237.65                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-32-B            $119,237.65                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-33-A            $114,647.31                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-33-B            $114,647.31                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-34-A            $110,233.79                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-34-B            $110,233.79                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-35-A            $105,990.36                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-35-B            $105,990.36                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-36-A            $101,918.50                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-36-B            $101,918.50                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-37-A             $97,995.91                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-37-B             $97,995.91                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-38-A             $94,223.14                    Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                       10

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  IIILR-38-B            $94,223.14                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-39-A            $90,595.48                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-39-B            $90,595.48                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-40-A            $87,126.50                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-40-B            $87,126.50                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-41-A            $83,771.87                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-41-B            $83,771.87                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-42-A            $80,546.07                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-42-B            $80,546.07                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-43-A            $77,445.64                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-43-B            $77,445.64                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-44-A            $74,463.44                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-44-B            $74,463.44                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-45-A            $71,595.94                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-45-B            $71,595.94                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-46-A            $68,839.08                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-46-B            $68,839.08                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-47-A            $66,309.00                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-47-B            $66,309.00                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-48-A            $63,750.34                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-48-B            $63,750.34                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-49-A            $61,292.24                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-49-B            $61,292.24                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-50-A            $58,928.02                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-50-B            $58,928.02                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-51-A            $56,655.28                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-51-B            $56,655.28                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-52-A            $54,472.45                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-52-B            $54,472.45                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-53-A            $52,717.18                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-53-B            $52,717.18                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-54-A            $50,669.82                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-54-B            $50,669.82                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-55-A            $48,704.41                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-55-B            $48,704.41                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-56-A            $46,814.73                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-56-B            $46,814.73                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

                                       11

-------------------------------------------------------------------------------------------------------
                  INITIAL UNCERTIFICATED     UNCERTIFICATED LOWER-TIER REMIC       LATEST POSSIBLE
DESIGNATIONS              BALANCE                   PASS-THROUGH RATE             MATURITY DATE(1)
-------------------------------------------------------------------------------------------------------

  IIILR-57-A            $45,046.20                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-57-B            $45,046.20                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-58-A            $43,370.67                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-58-B            $43,370.67                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-59-A            $41,685.06                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-59-B            $41,685.06                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-60-A            $40,063.91                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------
  IIILR-60-B            $40,063.91                     Variable (2)                 July 20, 2036
-------------------------------------------------------------------------------------------------------

(1)   Solely for purposes of Section 1.860G-1(a)(4)(iii) of the Treasury
      regulations, the Distribution Date immediately following the maturity date
      for the Mortgage Loan with the latest maturity date has been designated as
      the "latest possible maturity date" for each Uncertificated Lower-Tier
      Interest.

(2)   Calculated in accordance with the definition of "Uncertificated Lower-Tier
      REMIC Pass-Through Rate" herein.

                                       12

                                MIDDLE-TIER REMIC

      As provided herein, the Securities Administrator will make an election to
treat the segregated pool of assets consisting of the Uncertificated Lower-Tier
Interests as a REMIC for federal income tax purposes, and such segregated pool
of assets will be designated as the "Middle-Tier REMIC." The Class MR Interest
will represent the sole class of "residual interests" in the Middle-Tier REMIC
for purposes of the REMIC Provisions. The following table irrevocably sets forth
the designation, the Uncertificated Middle-Tier REMIC Pass-Through Rate, the
initial Uncertificated Balance or Uncertificated Notional Amount, and solely for
purposes of satisfying Treasury Regulations Section 1.860G-1(a)(4)(iii), the
"latest possible maturity date" for each of the Middle-Tier Interests. None of
the Middle-Tier Interests will be certificated.

----------------------------------------------------------------------------------------------------------------
                            INITIAL UNCERTIFICATED
                          BALANCE OR UNCERTIFICATED      UNCERTIFICATED MIDDLE-TIER         LATEST POSSIBLE
     DESIGNATIONS              NOTIONAL AMOUNT             REMIC PASS-THROUGH RATE         MATURITY DATE(1)
----------------------------------------------------------------------------------------------------------------

         MRAA                 $1,239,309,828.68                 Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR1A1                  $1,981,530.00                   Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR2A1                  $3,000,000.00                   Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR2A2                  $2,021,475.00                   Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR2A3                  $1,154,995.00                   Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR2A4                   $924,070.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR2A5                   $788,950.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR3A1                  $1,371,825.00                   Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR3A2                   $441,445.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MR3A3                   $335,750.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRM1                    $164,400.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRM2                     $82,200.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRM3                     $63,230.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRM4                     $63,230.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRM5                     $82,200.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRM6                     $63,230.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRM7                     $63,230.00                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRZZ                   $12,690,277.32                  Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
        MR1SUB                    $2,063.84                     Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
        MR1GRP                    $41,694.44                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
        MR2SUB                    $8,217.33                     Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
        MR2GRP                   $166,007.13                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
        MR3SUB                    $2,238.40                     Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
        MR3GRP                    $45,218.80                    Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRXX                 $1,264,336,426.05                 Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------
         MRIO                        (3)                        Variable (2)                 July 20, 2036
----------------------------------------------------------------------------------------------------------------

(1)   Solely for purposes of Section 1.860G-1(a)(4)(iii) of the Treasury
      regulations, the Distribution Date immediately following the maturity date
      for the Mortgage Loan with the latest maturity date has been designated as
      the "latest possible maturity date" for each Uncertificated Middle-Tier
      Interest.

                                       13

(2)   Calculated in accordance with the definition of "Uncertificated
      Middle-Tier REMIC Pass-Through Rate" herein.

(3)   The Class MRIO Interest will not have a principal balance but will instead
      accrue interest on the basis of its Uncertificated Notional Amount.

      The foregoing Lower-Tier REMIC and Middle-Tier REMIC structure is intended
to cause all the cash from the Mortgage Loans to flow through the Upper-Tier
REMIC as cash flow on a Regular Certificate or the Class Swap-IO Interest,
without creating any shortfall, actual or potential (other than for losses), to
any Regular Certificate. To the extent that the structure is believed to diverge
from such intention, the party identifying such ambiguity or drafting error
shall notify the other parties hereto, and the parties hereto shall attempt to
resolve such ambiguity or drafting error in accordance with Section 11.01
hereto.

                                       14

                                UPPER-TIER REMIC

      As provided herein, the Securities Administrator will make an election to
treat the segregated pool of assets consisting of the Uncertificated Middle-Tier
Interests as a REMIC for federal income tax purposes, and such segregated pool
of assets will be designated as the "Upper-Tier REMIC." The Class UR Interest
will represent the sole class of "residual interests" in the Upper-Tier REMIC
for purposes of the REMIC Provisions. The following table irrevocably sets forth
(or describes) the Upper Tier Interest designation, the Interest Rate, and
Initial Balance for each Upper-Tier Interests comprising the "regular interests"
in the Upper-Tier REMIC for purposes of the REMIC Provisions and solely for
purposes of satisfying Treasury Regulations Section 1.860G-1(a)(4)(111), the
"latest possible maturity date" for each class.

--------------------------------------------------------------------------------
    INTEREST     INITIAL BALANCE       INTEREST RATE        MATURITY DATE(20)
--------------------------------------------------------------------------------
      1-A-1        $396,306,000             (1)               July 20, 2036
--------------------------------------------------------------------------------
      2-A-1        $600,000,000             (2)               July 20, 2036
--------------------------------------------------------------------------------
      2-A-2        $404,295,000             (3)               July 20, 2036
--------------------------------------------------------------------------------
      2-A-3        $230,999,000             (4)               July 20, 2036
--------------------------------------------------------------------------------
      2-A-4        $184,814,000             (5)               July 20, 2036
--------------------------------------------------------------------------------
      2-A-5        $157,790,000             (6)               July 20, 2036
--------------------------------------------------------------------------------
      3-A-1        $274,365,000             (7)               July 20, 2036
--------------------------------------------------------------------------------
      3-A-2        $ 88,289,000             (8)               July 20, 2036
--------------------------------------------------------------------------------
      3-A-3        $ 67,150,000             (9)               July 20, 2036
--------------------------------------------------------------------------------
       M-1         $ 32,880,000            (10)               July 20, 2036
--------------------------------------------------------------------------------
       M-2         $ 16,440,000            (11)               July 20, 2036
--------------------------------------------------------------------------------
       M-3         $ 12,646,000            (12)               July 20, 2036
--------------------------------------------------------------------------------
       M-4         $ 12,646,000            (13)               July 20, 2036
--------------------------------------------------------------------------------
       M-5         $ 16,440,000            (14)               July 20, 2036
--------------------------------------------------------------------------------
       M-6         $ 12,646,000            (15)               July 20, 2036
--------------------------------------------------------------------------------
       M-7         $ 12,646,000            (16)               July 20, 2036
--------------------------------------------------------------------------------
       CE              (17)                (17)               July 20, 2036
--------------------------------------------------------------------------------
     Swap-IO           (18)                (19)               July 20, 2036
--------------------------------------------------------------------------------

(1)   Interest will accrue on the Class 1-A-1 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Group 1 Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate

                                       15

      were substituted for the applicable Rate Cap shall be treated as having
      been paid by the related Class of Certificates to the Supplemental
      Interest Trust, all pursuant to and as further provided in Sections 5.11
      and 5.12 herein.

(2)   Interest will accrue on the Class 2-A-1 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Group 2 Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(3)   Interest will accrue on the Class 2-A-2 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Group 2 Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(4)   Interest will accrue on the Class 2-A-3 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Group 2 Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(5)   Interest will accrue on the Class 2-A-4 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Group 2 Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(6)   Interest will accrue on the Class 2-A-5 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Group 2 Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(7)   Interest will accrue on the Class 3-A-1 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to (x) prior to the Distribution
      Date in January 2016, the lesser of (i) 5.750% and the Group 3 Net WAC
      Rate, and (y) on and after the Distribution Date in January 2016, the
      lesser of (a) Certificate One-Year LIBOR plus the Certificate Margin of
      the corresponding Class of Certificates and (b) the Group 3 Net WAC Rate.
      For purposes of the REMIC Provisions, with respect to each Upper-Tier
      Regular Interest, each reference to a Rate Cap in the applicable
      Certificate Interest Rate shall be deemed to be a reference to the
      Upper-Tier REMIC Net WAC Rate; therefore, on any Distribution Date on
      which the Certificate Interest Rate for the Class of Certificates exceeds
      the Upper-Tier REMIC Net WAC Rate, interest accruals based on such excess
      shall be treated as having been paid from Rate Cap Carryover Reserve
      Account or the Supplemental Interest Trust, as applicable. On any
      Distribution Date on which the Certificate Interest Rate on a Class of
      Certificates is based on the applicable Rate Cap, the amount of interest
      that would have accrued on such Class of Certificates if the Upper-Tier
      REMIC Net WAC Rate were substituted for the applicable Rate Cap shall be
      treated as having been paid by the related Class of Certificates to the
      Supplemental Interest Trust, all pursuant to and as further provided in
      Sections 5.11 and 5.12 herein.

(8)   Interest will accrue on the Class 3-A-2 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to (x) prior to the Distribution
      Date in January 2016, the lesser of (i) 5.750% and the Group 3 Net WAC
      Rate, and (y) on and after the Distribution Date in January 2016,

                                       16

      the lesser of (a) Certificate One-Year LIBOR plus the Certificate Margin
      of the corresponding Class of Certificates and (b) the Group 3 Net WAC
      Rate. For purposes of the REMIC Provisions, with respect to each
      Upper-Tier Regular Interest, each reference to a Rate Cap in the
      applicable Certificate Interest Rate shall be deemed to be a reference to
      the Upper-Tier REMIC Net WAC Rate; therefore, on any Distribution Date on
      which the Certificate Interest Rate for the Class of Certificates exceeds
      the Upper-Tier REMIC Net WAC Rate, interest accruals based on such excess
      shall be treated as having been paid from Rate Cap Carryover Reserve
      Account or the Supplemental Interest Trust, as applicable. On any
      Distribution Date on which the Certificate Interest Rate on a Class of
      Certificates is based on the applicable Rate Cap, the amount of interest
      that would have accrued on such Class of Certificates if the Upper-Tier
      REMIC Net WAC Rate were substituted for the applicable Rate Cap shall be
      treated as having been paid by the related Class of Certificates to the
      Supplemental Interest Trust, all pursuant to and as further provided in
      Sections 5.11 and 5.12 herein.

(9)   Interest will accrue on the Class 3-A-3 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to (x) prior to the Distribution
      Date in January 2016, the lesser of (i) 5.750% and the Group 3 Net WAC
      Rate, and (y) on and after the Distribution Date in January 2016, the
      lesser of (a) Certificate One-Year LIBOR plus the Certificate Margin of
      the corresponding Class of Certificates and (b) the Group 3 Net WAC Rate.
      For purposes of the REMIC Provisions, with respect to each Upper-Tier
      Regular Interest, each reference to a Rate Cap in the applicable
      Certificate Interest Rate shall be deemed to be a reference to the
      Upper-Tier REMIC Net WAC Rate; therefore, on any Distribution Date on
      which the Certificate Interest Rate for the Class of Certificates exceeds
      the Upper-Tier REMIC Net WAC Rate, interest accruals based on such excess
      shall be treated as having been paid from Rate Cap Carryover Reserve
      Account or the Supplemental Interest Trust, as applicable. On any
      Distribution Date on which the Certificate Interest Rate on a Class of
      Certificates is based on the applicable Rate Cap, the amount of interest
      that would have accrued on such Class of Certificates if the Upper-Tier
      REMIC Net WAC Rate were substituted for the applicable Rate Cap shall be
      treated as having been paid by the related Class of Certificates to the
      Supplemental Interest Trust, all pursuant to and as further provided in
      Sections 5.11 and 5.12 herein.

(10)  Interest will accrue on the Class M-1 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Mezzanine Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(11)  Interest will accrue on the Class M-2 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Mezzanine Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(12)  Interest will accrue on the Class M-3 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Mezzanine Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(13)  Interest will accrue on the Class M-4 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Mezzanine Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(14)  Interest will accrue on the Class M-5 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Mezzanine Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental

                                       17

      Interest Trust, as applicable. On any Distribution Date on which the
      Certificate Interest Rate on a Class of Certificates is based on the
      applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(15)  Interest will accrue on the Class M-6 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Mezzanine Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(16)  Interest will accrue on the Class M-7 Upper-Tier Interest during each
      Interest Accrual Period at a rate equal to the lesser of (a) the lesser of
      (i) One-Month LIBOR plus the Certificate Margin of the corresponding Class
      of Certificates and (ii) 10.50% and (b) the Mezzanine Net WAC Rate. For
      purposes of the REMIC Provisions, with respect to each Upper-Tier Regular
      Interest, each reference to a Rate Cap in the applicable Certificate
      Interest Rate shall be deemed to be a reference to the Upper-Tier REMIC
      Net WAC Rate; therefore, on any Distribution Date on which the Certificate
      Interest Rate for the Class of Certificates exceeds the Upper-Tier REMIC
      Net WAC Rate, interest accruals based on such excess shall be treated as
      having been paid from Rate Cap Carryover Reserve Account or the
      Supplemental Interest Trust, as applicable. On any Distribution Date on
      which the Certificate Interest Rate on a Class of Certificates is based on
      the applicable Rate Cap, the amount of interest that would have accrued on
      such Class of Certificates if the Upper-Tier REMIC Net WAC Rate were
      substituted for the applicable Rate Cap shall be treated as having been
      paid by the related Class of Certificates to the Supplemental Interest
      Trust, all pursuant to and as further provided in Sections 5.11 and 5.12
      herein.

(17)  Solely for REMIC purposes, the Class CE Upper-Tier Interest will have an
      Initial Class Certificate Balance equal to the Initial
      Overcollateralization Amount and will bear interest at its Pass-Through
      Rate on the Notional Amount of the Class CE Certificates.

(18)  The Class Swap-IO Interest will not have a principal balance.

(19)  For federal income tax purposes, the Certificate Interest Rate for the
      Class SWAP-IO Interest shall be an amount equal to 100% of the amounts
      distributable to Middle-Tier REMIC Regular Interest MRIO for such
      Distribution Date.

(20)  Solely for purposes of Treasury Regulations Section 1.860G-1(a)(4)(iii),
      the Distribution Date in the month following the maturity date for the
      Mortgage Loan with the latest maturity date has been designated as the
      "latest possible maturity date" for each Class of Upper-Tier Interests.

                                       18

                             SUMMARY OF CERTIFICATES

      The following table sets forth characteristics of the Certificates,
together with the minimum denominations and integral multiples in excess thereof
in which the Classes of Certificates shall be issuable:

                                                                     INTEGRAL
                                     CERTIFICATE                   MULTIPLES IN
                  INITIAL CLASS       INTEREST        MINIMUM        EXCESS OF
CLASSES        CERTIFICATE BALANCE      RATE       DENOMINATION       MINIMUM
Class 1-A-1      $396,306,000            (1)          $1,000            $1
Class 2-A-1      $600,000,000            (1)          $1,000            $1
Class 2-A-2      $404,295,000            (1)          $1,000            $1
Class 2-A-3      $230,999,000            (1)          $1,000            $1
Class 2-A-4      $184,814,000            (1)          $1,000            $1
Class 2-A-5      $157,790,000            (1)          $1,000            $1
Class 3-A-1      $274,365,000            (2)          $1,000            $1
Class 3-A-2      $88,289,000             (2)          $1,000            $1
Class 3-A-3      $67,150,000             (2)          $1,000            $1
Class M-1        $32,880,000             (1)          $25,000           $1
Class M-2        $16,440,000             (1)          $25,000           $1
Class M-3        $12,646,000             (1)          $25,000           $1
Class M-4        $12,646,000             (1)          $25,000           $1
Class M-5        $16,440,000             (1)          $25,000           $1
Class M-6        $12,646,000             (1)          $25,000           $1
Class M-7        $12,646,000             (1)          $25,000           $1
Class CE               (3)               (3)            N/A             N/A
Class R                (4)               (4)            N/A             N/A

(1)   Interest will accrue on these Certificates at a per annum rate (the
      "Certificate Interest Rate") equal to the least of (i) the sum of
      One-Month LIBOR plus the margin set forth in the table below, (ii) the
      applicable Rate Cap (the lesser of (i) and (ii), the "Pass-Through Rate")
      and (iii) 10.500%. During each Interest Accrual Period relating to the
      Distribution Dates after the Optional Termination Date, the margins will
      increase to margins set forth in the table below if the optional
      termination right is not exercised.

                                               MARGIN AFTER THE OPTIONAL
         CLASS                  MARGIN             TERMINATION DATE
    -----------------   -------------------   ----------------------------
      Class 1-A-1               0.190%                  0.380%
      Class 2-A-1               0.220%                  0.440%
      Class 2-A-2               0.080%                  0.160%
      Class 2-A-3               0.170%                  0.340%
      Class 2-A-4               0.290%                  0.580%
      Class 2-A-5               0.280%                  0.560%
       Class M-1                0.300%                  0.450%
       Class M-2                0.320%                  0.480%
       Class M-3                0.340%                  0.510%
       Class M-4                0.400%                  0.600%
       Class M-5                0.480%                  0.720%
       Class M-6                1.100%                  1.650%
       Class M-7                1.250%                  1.875%

                                       19

(2)   Interest will accrue on these Certificates at a per annum rate (the
      "Certificate Interest Rate" or "Pass-Through Rate") equal to (i) until the
      Distribution Date in December 2015, the lesser of (a) 5.750% and (b) the
      Group 3 Net WAC Rate and (ii) on and after the Distribution Date in
      January 2016, the lesser of (i) the sum of Certificate One-Year LIBOR plus
      1.75% and (ii) the Group 3 Net WAC Rate.

(3)   Solely for REMIC purposes, the Class CE Certificates will (i) have an
      initial Class Certificate Balance equal to the Initial
      Overcollateralization Amount and (ii) will bear interest on their Notional
      Amount at their Pass-Through Rate.

(4)   These Certificates shall be entitled to certain distributions as set forth
      herein.

                                       20

                                    ARTICLE I

                                   DEFINITIONS

      Section 1.01  Defined Terms.

      Whenever used in this Agreement, the following words and phrases, unless
the context otherwise requires, shall have the meanings specified in this
Article:

      10-K Filing Deadline: As defined in Section 3.22(c).

      1933 Act: The Securities Act of 1933, as amended.

      60+ Day Delinquent Loan: For each Distribution Date, each Mortgage Loan
(including each Mortgage Loan in foreclosure and each Mortgage Loan for which
the Mortgagor has filed for bankruptcy after the Closing Date) with respect to
which any portion of a Monthly Payment is, as of the Due Date in the prior
calendar month, two months or more past due and each Mortgage Loan relating to
an REO Property.

      Accrued Certificate Interest: For any Distribution Date and each Class,
one month's interest accrued during the related Interest Accrual Period at the
applicable Certificate Interest Rate on the applicable Class Certificate Balance
minus each Class' Interest Percentage of Relief Act Reductions related to any
Mortgage Loan for such Distribution Date.

      Additional Disclosure Notification: The form of notification to be
included with any Additional Form 10-D Disclosure, Additional Form 10-K
Disclosure or Form 8-K Disclosure Information which is attached hereto as
Exhibit S.

      Additional Form 10-D Disclosure: As defined in Section 3.22(b).

      Additional Form 10-K Disclosure: As defined in Section 3.22(c).

      Additional Servicer: A Subcontractor engaged by the Servicer or the
Trustee that is a "servicer" within the meaning of Item 1101 of Regulation AB
and meets the criteria in Item 1108(a)(2)(i) through (iii) of Regulation AB.

      Advance: A Periodic Advance or a Servicing Advance.

      Agreement: This Pooling and Servicing Agreement together with all
amendments hereof and supplements hereto.

      Applied Realized Loss Amount: Any of a Class 2-A-5 Applied Realized Loss
Amount, a Class 3-A-3 Applied Realized Loss Amount or a Subordinated Applied
Realized Loss Amount.

      Appraised Value: With respect to any Mortgaged Property, either (i) the
lesser of (a) the appraised value determined in an appraisal obtained by the
originator generally no more than four months prior to origination (or, with
respect to newly constructed properties, no more than twelve months prior to
origination) and (b) the sales price for such property, except that, in the

                                       21

case of Mortgage Loans the proceeds of which were used to refinance an existing
mortgage loan, the Appraised Value of the related Mortgaged Property is the
appraised value thereof determined in an appraisal obtained at the time of
refinancing or (ii) the appraised value determined in an appraisal made at the
request of a Mortgagor subsequent to origination in order to eliminate the
Mortgagor's obligation to keep a Primary Mortgage Insurance Policy in force.

      Assessment of Compliance: As defined in Section 3.21(a).

      Assignment of Mortgage: An individual assignment of the Mortgage, notice
of transfer or equivalent instrument in recordable form, sufficient under the
laws of the jurisdiction wherein the related Mortgaged Property is located to
give record notice of the sale of the Mortgage.

      Attestation Report: As defined in Section 3.21(b).

      Authenticating Agents: As defined in Section 9.10.

      Back-up Certification: As defined in Section 3.22(f).

      BAFC: Banc of America Funding Corporation.

      BANA: Bank of America, National Association, a national banking
association, or its successor in interest.

      Book-Entry Certificate: All Classes of Certificates other than the
Physical Certificates.

      Business Day: Any day other than (i) a Saturday or a Sunday or (ii) a day
on which banking institutions in the State of North Carolina, the State of New
York, the State of Minnesota, the State of California, the State of Iowa, the
state in which the servicing offices of the Servicer are located or any state in
which a Corporate Trust Office is located are required or authorized by law or
executive order to be closed.

      Buy-Down Account: The separate Eligible Account or Accounts created and
maintained by the Servicer as set forth in Section 3.08(d).

      Buy-Down Agreement: An agreement governing the application of Buy-Down
Funds with respect to a Buy-Down Mortgage Loan.

      Buy-Down Funds: Money advanced by a builder, seller or other interested
party to reduce a Mortgagor's monthly payment during the initial years of a
Buy-Down Mortgage Loan.

      Buy-Down Mortgage Loan: Any Mortgage Loan in respect of which, pursuant to
a Buy-Down Agreement, the monthly interest payments made by the related
Mortgagor will be less than the scheduled monthly interest payments on such
Mortgage Loan, with the resulting difference in interest payments being provided
from related Buy-Down Funds.

      Cap Provider: Bank of America, National Association.

                                       22

      Certificate: Any of the Banc of America Funding Corporation Mortgage
Pass-Through Certificates, Series 2006-G that are issued pursuant to this
Agreement.

      Certificate Account: The Eligible Account created and maintained by the
Securities Administrator pursuant to Section 3.09(b) in the name of the
Securities Administrator, on behalf of the Trustee, for the benefit of the
Certificateholders and designated "Wells Fargo Bank, N.A., as Securities
Administrator for U.S. Bank National Association, as Trustee, in trust for
registered holders of Banc of America Funding Corporation Mortgage Pass-Through
Certificates, Series 2006-G." The Certificate Account shall be deemed to consist
of six sub-accounts; one for each of the Loan Groups (the "Loan Group 1
Sub-Account," "Loan Group 2 Sub-Account" and "Loan Group 3 Sub-Account"), and
one for each of the Lower-Tier Certificate Sub-Account, the Middle-Tier
Certificate Sub-Account, the Upper-Tier Certificate Sub-Account. Funds in the
Certificate Account shall be held in trust for the Holders of the Certificates
for the uses and purposes set forth in this Agreement.

      Certificate Balance: With respect to any Certificate at any date, the
maximum dollar amount of principal to which the Holder thereof is then entitled
hereunder, such amount being equal to the product of the Percentage Interest of
such Certificate and the Class Certificate Balance of the Class of Certificates
of which such Certificate is a part.

      Certificate Custodian: Initially, Wells Fargo Bank, N.A.; thereafter any
other Certificate Custodian acceptable to the Depository and selected by the
Securities Administrator.

      Certificate Interest Rate: As defined in the Preliminary Statement

      Certificate One-Year LIBOR: As to any Distribution Date, the arithmetic
mean of London Interbank offered rate quotations for one-year U.S. Dollar
deposits, as determined by the Securities Administrator in accordance with
Section 5.09.

      Certificate Owner: With respect to a Book-Entry Certificate, the Person
who is the beneficial owner of a Book-Entry Certificate. With respect to any
Definitive Certificate, the Certificateholder of such Certificate.

      Certificate Register: The register maintained pursuant to Section 6.02.

      Certificate Registrar: The registrar appointed pursuant to Section 6.02.

      Certificateholder: The Person in whose name a Certificate is registered in
the Certificate Register, except that, solely for the purpose of giving any
consent pursuant to this Agreement, any Certificate registered in the name of
the Depositor, the Servicer or any affiliate thereof shall be deemed not to be
outstanding and the Percentage Interest and Voting Rights evidenced thereby
shall not be taken into account in determining whether the requisite amount of
Percentage Interests or Voting Rights, as the case may be, necessary to effect
any such consent has been obtained, unless such entity is the registered owner
of the entire Class of Certificates, provided that neither the Securities
Administrator nor the Trustee shall be responsible for knowing that any
Certificate is registered in the name of an affiliate of the Depositor or the
Servicer unless one of its Responsible Officers has actual knowledge thereof.

                                       23

      Certification Parties: As defined in Section 3.22(e).

      Certifying Person: As defined in Section 3.22(e).

      Class: As to the Certificates, the Class 1-A-1, Class 2-A-1, Class 2-A-2,
Class 2-A-3, Class 2-A-4, Class 2-A-5, Class 3-A-1, Class 3-A-2, Class 3-A-3,
Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7,
Class CE and Class R Certificates, as the case may be. The Class Swap-IO
Interest shall also be considered a class of REMIC regular interests.

      Class 2-A-5 Applied Realized Loss Amount: With respect to each
Distribution Date on and after the Distribution Date on which the aggregate
Class Certificate Balance of the Subordinated Certificates is reduced to zero,
the excess, if any, of (a) the aggregate of the Class Certificate Balances of
the Group 2 Certificates (after taking into account the distribution of the
Principal Distribution Amount on such Distribution Date and any increase in the
Class Certificate Balance of a Class of Group 2 Certificates as a result of
Recoveries) over (b) the aggregate Stated Principal Balance of Loan Group 2 as
of the last day of the related Collection Period.

      Class 3-A-3 Applied Realized Loss Amount: With respect to each
Distribution Date on and after the Distribution Date on which the aggregate
Class Certificate Balance of the Subordinated Certificates is reduced to zero,
the excess, if any, of (a) the aggregate of the Class Certificate Balances of
the Group 3 Certificates (after taking into account the distribution of the
Principal Distribution Amount on such Distribution Date and any increase in the
Class Certificate Balance of a Class of Group 3 Certificates as a result of
Recoveries) over (b) the aggregate Stated Principal Balance of Loan Group 3 as
of the last day of the related Collection Period.

      Class CE Certificates: The Class CE Certificates, which represent (i) the
corresponding Upper-Tier Interest for purposes of the REMIC Provisions, (ii) the
obligation to pay Rate Cap Carryover Amounts and Swap Termination Payments and
(iii) the right to receive and the obligation to pay the Class IO Distribution
Amount.

      Class CE Distributable Amount: With respect to any Distribution Date, the
sum of (i) the interest accrued on the Class CE Certificates at their
Pass-Through Rate calculated on their Notional Amount less the amount (without
duplication) of Rate Cap Carryover Amounts paid pursuant to Section
5.02(c)(i)(U), (ii) up to any remaining Overcollateralization Release Amounts
and (iii) the amounts remaining in (A) the Rate Cap Carryover Reserve Account
after the distributions in Section 3.09(g) and (B) the Supplemental Interest
Trust in respect of the Swap Account after distributions in Section 5.02(g)(i)
through (viii).

      Class Certificate Balance: With respect to any Class of Certificates and
any date of determination, and subject to Section 5.02(f), the Initial Class
Certificate Balance of such Class (a) reduced by the sum of (i) all amounts
actually distributed in respect of principal of such Class on all prior
Distribution Dates and (ii) Applied Realized Loss Amounts allocated thereto for
previous Distribution Dates and (b) increased by any Subsequent Recoveries
allocated to such Class for previous Distribution Dates.

                                       24

      With respect to the Class CE Certificates and any date of determination,
and solely for federal income tax purposes, the excess, if any, of the then
aggregate Uncertificated Balances of the Middle-Tier Interests over the
aggregate Class Certificate Balances of the Certificates then outstanding.

      With respect to any Upper-Tier Interest (other than the Class Swap-IO
Interest) and any date of determination, the Class Certificate Balance of the
corresponding Class of Certificates.

      Class IO Distribution Amount: As defined in Section 5.12(c) hereof. For
the purposes of clarity, the Class IO Distribution Amount for any Distribution
Date shall equal the amount payable to the Supplemental Interest Trust on such
Distribution Date in excess of the amount payable on the Class Swap-IO Interest
on such Distribution Date, all as further provided in Section 5.12(c) hereof.

      Class M Certificates: The Class M-1, Class M-2, Class M-3, Class M-4,
Class M-5, Class M-6 and Class M-7 Certificates, each of which represents (i)
the corresponding Upper-Tier Interest for purposes of the REMIC Provisions, (ii)
the right to receive the related Rate Cap Carryover Amounts and (iii) the
obligation to pay the Class IO Distribution Amount.

      Class M-1 Principal Distribution Amount: As of any Distribution Date, the
excess of (x) the sum of (i) the aggregate Class Certificate Balance of the
Senior Certificates (after taking into account the payment of the Senior
Principal Distribution Amount on such Distribution Date) and (ii) the Class
Certificate Balance of the Class M-1 Certificates immediately prior to such
Distribution Date over (y) the lesser of (a) the product of (i) 92.70% and (ii)
the aggregate Stated Principal Balance of the Mortgage Loans as of the last day
of the related Collection Period and (b) the amount by which the aggregate
Stated Principal Balance of the Mortgage Loans as of the last day of the related
Collection Period exceeds the product of (i) 0.35% and (ii) the Cut-off Date
Pool Principal Balance.

      Class M-1 Realized Loss Amortization Amount: As to the Class M-1
Certificates and as of any Distribution Date, the lesser of (x) the Unpaid
Realized Loss Amount for the Class M-1 Certificates as of such Distribution Date
and (y) the excess of (i) the Monthly Excess Cashflow Amount over (ii) the sum
of the amounts described in Section 5.02(c)(i)(A) through (E) hereof, in each
case for such Distribution Date.

      Class M-2 Principal Distribution Amount: As of any Distribution Date, the
excess of (x) the sum of (i) the aggregate Class Certificate Balance of the
Senior Certificates (after taking into account the payment of the Senior
Principal Distribution Amount on such Distribution Date), (ii) the Class
Certificate Balance of the Class M-1 Certificates (after taking into account the
payment of the Class M-1 Principal Distribution Amount on such Distribution
Date) and (iii) the Class Certificate Balance of the Class M-2 Certificates
immediately prior to such Distribution Date over (y) the lesser of (a) the
product of (i) 94.00% and (ii) the aggregate Stated Principal Balance of the
Mortgage Loans as of the last day of the related Collection Period and (b) the
amount by which the aggregate Stated Principal Balance of the Mortgage Loans as
of the last day of the related Collection Period exceeds the product of (i)
0.35% and (ii) the Cut-off Date Pool Principal Balance.

                                       25

      Class M-2 Realized Loss Amortization Amount: As to the Class M-2
Certificates and as of any Distribution Date, the lesser of (x) the Unpaid
Realized Loss Amount for the Class M-2 Certificates as of such Distribution Date
and (y) the excess of (i) the Monthly Excess Cashflow Amount over (ii) the sum
of the amounts described in Section 5.02(c)(i)(A) through (H) hereof, in each
case for such Distribution Date.

      Class M-3 Principal Distribution Amount: As of any Distribution Date, the
excess of (x) the sum of (i) the aggregate Class Certificate Balance of the
Senior Certificates (after taking into account the payment of the Senior
Principal Distribution Amount on such Distribution Date), (ii) the Class
Certificate Balance of the Class M-1 Certificates (after taking into account the
payment of the Class M-1 Principal Distribution Amount on such Distribution
Date), (iii) the Class Certificate Balance of the Class M-2 Certificates (after
taking into account the payment of the Class M-2 Principal Distribution Amount
on such Distribution Date) and (iv) the Class Certificate Balance of the Class
M-3 Certificates immediately prior to such Distribution Date over (y) the lesser
of (a) the product of (i) 95.00% and (ii) the aggregate Stated Principal Balance
of the Mortgage Loans as of the last day of the related Collection Period and
(b) the amount by which the aggregate Stated Principal Balance of the Mortgage
Loans as of the last day of the related Collection Period exceeds the product of
(i) 0.35% and (ii) the Cut-off Date Pool Principal Balance.

      Class M-3 Realized Loss Amortization Amount: As to the Class M-3
Certificates and as of any Distribution Date, the lesser of (x) the Unpaid
Realized Loss Amount for the Class M-3 Certificates as of such Distribution Date
and (y) the excess of (i) the Monthly Excess Cashflow Amount over (ii) the sum
of the amounts described in Section 5.02(c)(i)(A) through (K) hereof, in each
case for such Distribution Date.

      Class M-4 Principal Distribution Amount: As of any Distribution Date, the
excess of (x) the sum of (i) the aggregate Class Certificate Balance of the
Senior Certificates (after taking into account the payment of the Senior
Principal Distribution Amount on such Distribution Date), (ii) the Class
Certificate Balance of the Class M-1 Certificates (after taking into account the
payment of the Class M-1 Principal Distribution Amount on such Distribution
Date), (iii) the Class Certificate Balance of the Class M-2 Certificates (after
taking into account the payment of the Class M-2 Principal Distribution Amount
on such Distribution Date), (iv) the Class Certificate Balance of the Class M-3
Certificates (after taking into account the payment of the Class M-3 Principal
Distribution Amount on such Distribution Date) and (v) the Class Certificate
Balance of the Class M-4 Certificates immediately prior to such Distribution
Date over (y) the lesser of (a) the product of (i) 96.00% and (ii) the aggregate
Stated Principal Balance of the Mortgage Loans as of the last day of the related
Collection Period and (b) the amount by which the aggregate Stated Principal
Balance of the Mortgage Loans as of the last day of the related Collection
Period exceeds the product of (i) 0.35% and (ii) the Cut-off Date Pool Principal
Balance.

      Class M-4 Realized Loss Amortization Amount: As to the Class M-4
Certificates and as of any Distribution Date, the lesser of (x) the Unpaid
Realized Loss Amount for the Class M-4 Certificates as of such Distribution Date
and (y) the excess of (i) the Monthly Excess Cashflow Amount over (ii) the sum
of the amounts described in Section 5.02(c)(i)(A) through (N) hereof, in each
case for such Distribution Date.

                                       26

      Class M-5 Principal Distribution Amount: As of any Distribution Date, the
excess of (x) the sum of (i) the aggregate Class Certificate Balance of the
Senior Certificates (after taking into account the payment of the Senior
Principal Distribution Amount on such Distribution Date), (ii) the Class
Certificate Balance of the Class M-1 Certificates (after taking into account the
payment of the Class M-1 Principal Distribution Amount on such Distribution
Date), (iii) the Class Certificate Balance of the Class M-2 Certificates (after
taking into account the payment of the Class M-2 Principal Distribution Amount
on such Distribution Date), (iv) the Class Certificate Balance of the Class M-3
Certificates (after taking into account the payment of the Class M-3 Principal
Distribution Amount on such Distribution Date), (v) the Class Certificate
Balance of the Class M-4 Certificates immediately prior to such Distribution
Date (after taking into account the payment of the Class M-4 Principal
Distribution Amount on such Distribution Date) and (vi) the Class Certificate
Balance of the Class M-5 Certificates immediately prior to such Distribution
Date over (y) the lesser of (a) the product of (i) 97.30% and (ii) the aggregate
Stated Principal Balance of the Mortgage Loans as of the last day of the related
Collection Period and (b) the amount by which the aggregate Stated Principal
Balance of the Mortgage Loans as of the last day of the related Collection
Period exceeds the product of (i) 0.35% and (ii) the Cut-off Date Pool Principal
Balance.

      Class M-5 Realized Loss Amortization Amount: As to the Class M-5
Certificates and as of any Distribution Date, the lesser of (x) the Unpaid
Realized Loss Amount for the Class M-5 Certificates as of such Distribution Date
and (y) the excess of (i) the Monthly Excess Cashflow Amount over (ii) the sum
of the amounts described in Section 5.02(c)(i)(A) through (Q) hereof, in each
case for such Distribution Date.

      Class M-6 Principal Distribution Amount: As of any Distribution Date, the
excess of (x) the sum of (i) the aggregate Class Certificate Balance of the
Senior Certificates (after taking into account the payment of the Senior
Principal Distribution Amount on such Distribution Date), (ii) the Class
Certificate Balance of the Class M-1 Certificates (after taking into account the
payment of the Class M-1 Principal Distribution Amount on such Distribution
Date), (iii) the Class Certificate Balance of the Class M-2 Certificates (after
taking into account the payment of the Class M-2 Principal Distribution Amount
on such Distribution Date), (iv) the Class Certificate Balance of the Class M-3
Certificates (after taking into account the payment of the Class M-3 Principal
Distribution Amount on such Distribution Date), (v) the Class Certificate
Balance of the Class M-4 Certificates (after taking into account the payment of
the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the
Class Certificate Balance of the Class M-5 Certificates (after taking into
account the payment of the Class M-5 Principal Distribution Amount on such
Distribution Date) and (vii) the Class Certificate Balance of the Class M-6
Certificates immediately prior to such Distribution Date over (y) the lesser of
(a) the product of (i) 98.30% and (ii) the aggregate Stated Principal Balance of
the Mortgage Loans as of the last day of the related Collection Period and (b)
the amount by which the aggregate Stated Principal Balance of the Mortgage Loans
as of the last day of the related Collection Period exceeds the product of (i)
0.35% and (ii) the Cut-off Date Pool Principal Balance.

      Class M-6 Realized Loss Amortization Amount: As to the Class M-6
Certificates and as of any Distribution Date, the lesser of (x) the Unpaid
Realized Loss Amount for the Class M-6 Certificates as of such Distribution Date
and (y) the excess of (i) the Monthly Excess Cashflow

                                       27

Amount over (ii) the sum of the amounts described in 5.02(c)(i)(A) through (T)
hereof, in each case for such Distribution Date.

      Class M-7 Principal Distribution Amount: As of any Distribution Date, the
excess of (x) the sum of (i) the aggregate Class Certificate Balance of the
Senior Certificates (after taking into account the payment of the Senior
Principal Distribution Amount on such Distribution Date), (ii) the Class
Certificate Balance of the Class M-1 Certificates (after taking into account the
payment of the Class M-1 Principal Distribution Amount on such Distribution
Date), (iii) the Class Certificate Balance of the Class M-2 Certificates (after
taking into account the payment of the Class M-2 Principal Distribution Amount
on such Distribution Date), (iv) the Class Certificate Balance of the Class M-3
Certificates (after taking into account the payment of the Class M-3 Principal
Distribution Amount on such Distribution Date), (v) the Class Certificate
Balance of the Class M-4 Certificates (after taking into account the payment of
the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the
Class Certificate Balance of the Class M-5 Certificates (after taking into
account the payment of the Class M-5 Principal Distribution Amount on such
Distribution Date), (vii) the Class Certificate Balance of the Class M-6
Certificates (after taking into account the payment of the Class M-6 Principal
Distribution Amount) and (viii) the Class Certificate Balance of the Class M-7
Certificates immediately prior to such Distribution Date over (y) the lesser of
(a) the product of (i) 99.30% and (ii) the aggregate Stated Principal Balance of
the Mortgage Loans as of the last day of the related Collection Period and (b)
the amount by which the aggregate Stated Principal Balance of the Mortgage Loans
as of the last day of the related Collection Period exceeds the product of (i)
0.35% and (ii) the Cut-off Date Pool Principal Balance.

      Class M-7 Realized Loss Amortization Amount: As to the Class M-7
Certificates and as of any Distribution Date, the lesser of (x) the Unpaid
Realized Loss Amount for the Class M-7 Certificates as of such Distribution Date
and (y) the excess of (i) the Monthly Excess Cashflow Amount over (ii) the sum
of the amounts described in 5.02(c)(i)(A) through (W) hereof, in each case for
such Distribution Date.

      Class R Certificates: The Class R Certificates, which represent the
ownership of the Class UR Interest, the Class MR Interest and the Class LR
Interest.

      Class Swap-IO Interest: An uncertificated interest in the Trust Estate
evidencing an Upper-Tier Interest for purposes of the REMIC Provisions.

      Closing Date: July 31, 2006.

      Code: The Internal Revenue Code of 1986, as amended.

      Collection Period: With respect to any Distribution Date, the period from
the second day of the calendar month preceding the month in which such
Distribution Date occurs through the first day of the month in which such
Distribution Date occurs.

      Commission: The U.S. Securities and Exchange Commission.

                                       28

      Compensating Interest: With respect to any Distribution Date, an amount
equal to the lesser of (a) the aggregate of the Prepayment Interest Shortfalls
for such Distribution Date and (b) the aggregate Servicing Fee received by the
Servicer during the related Collection Period.

      Compliance Statement: As defined in Section 3.20.

      Cooperative: A private, cooperative housing corporation which owns or
leases land and all or part of a building or buildings, including apartments,
spaces used for commercial purposes and common areas therein and whose board of
directors authorizes, among other things, the sale of Cooperative Stock.

      Cooperative Apartment: A dwelling unit in a multi-dwelling building owned
or leased by a Cooperative, which unit the Mortgagor has an exclusive right to
occupy pursuant to the terms of a proprietary lease or occupancy agreement.

      Cooperative Lease: With respect to a Cooperative Loan, the proprietary
lease or occupancy agreement with respect to the Cooperative Apartment occupied
by the Mortgagor and relating to the related Cooperative Stock, which lease or
agreement confers an exclusive right to the holder of such Cooperative Stock to
occupy such apartment.

      Cooperative Loans: Any of the Mortgage Loans made in respect of a
Cooperative Apartment, evidenced by a Mortgage Note and secured by (i) a
Security Agreement, (ii) the related Cooperative Stock Certificate, (iii) an
assignment or mortgage of the Cooperative Lease, (iv) financing statements and
(v) a stock power (or other similar instrument), and ancillary thereto, a
Recognition Agreement, each of which was transferred and assigned to the Trust
pursuant to Section 2.01.

      Cooperative Stock: With respect to a Cooperative Loan, the single
outstanding class of stock, partnership interest or other ownership instrument
in the related Cooperative.

      Cooperative Stock Certificate: With respect to a Cooperative Loan, the
stock certificate or other instrument evidencing the related Cooperative Stock.

      Corporate Trust Office: With respect to the Trustee, the office of the
Trustee, which office at the date of the execution of this instrument is located
at 209 South LaSalle Street, Suite 300, Chicago, Illinois 60604, Attention:
Corporate Trust Services, BAFC, Series 2006-G, or at such other address as the
Trustee may designate from time to time by notice to the Certificateholders, the
Depositor, the Securities Administrator and the Servicer. With respect to the
Securities Administrator, the principal corporate trust office of the Securities
Administrator at which at any particular time its corporate trust business with
respect to this Agreement is conducted, which office at the date of the
execution of this instrument is located at 9062 Old Annapolis Road, Columbia,
Maryland 21045-1951, Attention: Corporate Trust Services - BAFC 2006-G, and for
certificate transfer purposes is located at Sixth Street and Marquette Avenue,
Minneapolis, Minnesota 55479, Attention: Corporate Trust Services - BAFC 2006-G,
or at such other address as the Securities Administrator may designate from time
to time by notice to the Certificateholders, the Depositor, the Trustee and the
Servicer.

                                       29

      Corresponding Classes: With respect to the Middle Tier REMIC and the Upper
Tier REMIC, the following classes shall be Corresponding Classes:

--------------------------------------------------------------------------------
CORRESPONDING MIDDLE-TIER REMIC CLASSES   CORRESPONDING UPPER-TIER REMIC CLASSES
--------------------------------------------------------------------------------
MR1A1                                     Class 1-A-1
--------------------------------------------------------------------------------
MR2A1                                     Class 2-A-1
--------------------------------------------------------------------------------
MR2A2                                     Class 2-A-2
--------------------------------------------------------------------------------
MR2A3                                     Class 2-A-3
--------------------------------------------------------------------------------
MR2A4                                     Class 2-A-4
--------------------------------------------------------------------------------
MR2A5                                     Class 2-A-5
--------------------------------------------------------------------------------
MR3A1                                     Class 3-A-1
--------------------------------------------------------------------------------
MR3A2                                     Class 3-A-2
--------------------------------------------------------------------------------
MR3A3                                     Class 3-A-3
--------------------------------------------------------------------------------
MRM1                                      Class M-1
--------------------------------------------------------------------------------
MRM2                                      Class M-2
--------------------------------------------------------------------------------
MRM3                                      Class M-3
--------------------------------------------------------------------------------
MRM4                                      Class M-4
--------------------------------------------------------------------------------
MRM5                                      Class M-5
--------------------------------------------------------------------------------
MRM6                                      Class M-6
--------------------------------------------------------------------------------
MRM7                                      Class M-7
--------------------------------------------------------------------------------
MRCE                                      Class CE
--------------------------------------------------------------------------------

      Custodian: Initially, the Trustee, and thereafter any custodian appointed
by the Trustee pursuant to Section 9.12. The Custodian may (but need not) be the
Trustee or any Person directly or indirectly controlling or controlled by or
under common control of either of them. Neither the Servicer nor the Depositor,
nor any Person directly or indirectly controlling or controlled by or under
common control with any such Person, may be appointed Custodian.

      Customary Servicing Procedures: With respect to the Servicer, procedures
(including collection procedures) that the Servicer customarily employs and
exercises in servicing and administering mortgage loans for its own account and
which are in accordance with accepted mortgage servicing practices of prudent
lending institutions servicing mortgage loans of the same

                                       30

type as the Mortgage Loans in the jurisdictions in which the related Mortgaged
Properties are located.

      Cut-off Date: July 1, 2006.

      Cut-off Date Pool Principal Balance: The aggregate of the Stated Principal
Balances of the Mortgage Loans as of the Cut-off Date.

      Debt Service Reduction: As to any Mortgage Loan and any Determination
Date, the excess of (i) the Monthly Payment due on the related Due Date under
the terms of such Mortgage Loan over (ii) the amount of the monthly payment of
principal and/or interest required to be paid with respect to such Due Date by
the Mortgagor as established by a court of competent jurisdiction (pursuant to
an order which has become final and nonappealable) as a result of a proceeding
initiated by or against the related Mortgagor under the Bankruptcy Code, as
amended from time to time (11 U.S.C.); provided that no such excess shall be
considered a Debt Service Reduction so long as (a) the Servicer is pursuing an
appeal of the court order giving rise to any such modification and (b)(1) such
Mortgage Loan is not in default with respect to payment due thereunder in
accordance with the terms of such Mortgage Loan as in effect on the Cut-off Date
or (2) Monthly Payments are being advanced by the Servicer or the Trustee, as
applicable, in accordance with the terms of such Mortgage Loan as in effect on
the Cut-off Date.

      Debt Service Reduction Mortgage Loan: Any Mortgage Loan that became the
subject of a Debt Service Reduction.

      Defaulted Swap Termination Payment: Any Swap Termination Payment required
to be paid by the Supplemental Interest Trust to the Swap Provider pursuant to
the Interest Rate Swap Agreement as a result of an Event of Default (as defined
in the Interest Rate Swap Agreement) with respect to which the Swap Provider is
the defaulting party or a Termination Event (including a Downgrade Termination
Event) under the Interest Rate Swap Agreement (other than Illegality or a Tax
Event that is not a Tax Event Upon Merger (each as defined in the Interest Rate
Swap Agreement)) with respect to which the Swap Provider is the sole Affected
Party (as defined in the Interest Rate Swap Agreement).

      Defective Mortgage Loan: Any Mortgage Loan which is required to be cured,
repurchased or substituted for pursuant to Sections 2.02 or 2.04.

      Deficient Valuation: As to any Mortgage Loan and any Determination Date,
the excess of (i) the then outstanding indebtedness under such Mortgage Loan
over (ii) the secured valuation thereof established by a court of competent
jurisdiction (pursuant to an order which has become final and nonappealable) as
a result of a proceeding initiated by or against the related Mortgagor under the
Bankruptcy Code, as amended from time to time (11 U.S.C.), pursuant to which
such Mortgagor retained such Mortgaged Property; provided that no such excess
shall be considered a Deficient Valuation so long as (a) the Servicer is
pursuing an appeal of the court order giving rise to any such modification and
(b)(1) such Mortgage Loan is not in default with respect to payments due
thereunder in accordance with the terms of such Mortgage Loan as in effect on
the Cut-off Date or (2) Monthly Payments are being advanced by the Servicer or
the

                                       31

Trustee, as applicable, in accordance with the terms of such Mortgage Loan as in
effect on the Cut-off Date.

      Definitive Certificates: As defined in Section 6.02(c)(iii).

      Delinquent: Any Mortgage Loan with respect to which the Monthly Payment
due on a Due Date is not made by the close of business on the next scheduled Due
Date for such Mortgage Loan.

      Depositor: Banc of America Funding Corporation, a Delaware corporation, or
its successor in interest, as depositor of the Trust Estate.

      Depository: The Depository Trust Company, the nominee of which is Cede &
Co., as the registered Holder of the Book-Entry Certificates or any successor
thereto appointed in accordance with this Agreement. The Depository shall at all
times be a "clearing corporation" as defined in Section 8-102(3) of the Uniform
Commercial Code of the State of New York.

      Depository Participant: A broker, dealer, bank or other financial
institution or other Person for whom from time to time a Depository effects
book-entry transfers and pledges of securities deposited with the Depository.

      Determination Date: With respect to any Distribution Date, the 16th day of
the month of the related Distribution Date or, if such 16th day is not a
Business Day, the Business Day immediately preceding such 16th day.

      Distribution Date: The 20th day of each month beginning in August 2006
(or, if such day is not a Business Day, the next Business Day).

      Document Transfer Event: The 60th day following the day on which either
(i) Wells Fargo Bank, N.A. is no longer the Servicer of any of the Mortgage
Loans purchased by the Sponsor from Wells Fargo Bank, N.A. or (ii) the senior,
unsecured long-term debt rating of Wells Fargo & Company is less than "BBB-" by
Fitch Ratings.

      Downgrade Termination Event: An event whereby (x) the Swap Provider (or
its guarantor) ceases to have short term unsecured and/or long term debt ratings
at least equal to the levels specified in the Interest Rate Swap Agreement, and
(y) at least one of the following events has not occurred (except to the extent
otherwise approved by the Rating Agencies): (i) within the time period specified
in the Interest Rate Swap Agreement with respect to such downgrade, the Swap
Provider shall transfer the Interest Rate Swap Agreement, in whole, but not in
part, to a substitute swap provider that satisfied the requirements set forth in
the Interest Rate Swap Agreement, subject to the satisfaction of the rating
agency condition or (ii) within the time period specified in the Interest Rate
Swap Agreement with respect to such downgrade, the Swap Provider shall
collateralize its exposure to the Issuing Entity pursuant to an ISDA Credit
Support Annex, subject to the satisfaction of the rating agency condition;
provided that such ISDA Credit Support Annex shall be made a credit support
document for the Swap Provider pursuant to an amendment to the Interest Rate
Swap Agreement.

                                       32

      Due Date: As to any Distribution Date and each Mortgage Loan, the first
day in the calendar month of such Distribution Date.

      EDGAR: The Commission's Electronic Data Gathering and Retrieval System.

      Eligible Account: Any of (i) an account or accounts maintained with a
federal or state chartered depository institution or trust company the
short-term unsecured debt obligations of which (or, in the case of a depository
institution or trust company that is the principal subsidiary of a holding
company, the debt obligations of such holding company) have the highest
short-term ratings of each Rating Agency at the time any amounts are held on
deposit therein, or (ii) an account or accounts in a depository institution or
trust company in which such accounts are insured by the FDIC (to the limits
established by the FDIC) and the uninsured deposits in which accounts are
otherwise secured such that, as evidenced by an Opinion of Counsel delivered to
the Trustee, the Securities Administrator and to each Rating Agency, the
Certificateholders have a claim with respect to the funds in such account or a
perfected first priority security interest against any collateral (which shall
be limited to Permitted Investments) securing such funds that is superior to
claims of any other depositors or creditors of the depository institution or
trust company in which such account is maintained, or (iii) a trust account or
accounts maintained with the trust department of a federal or state chartered
depository institution or trust company (including the Trustee and the
Securities Administrator), acting in its fiduciary capacity or (iv) any other
account acceptable to each Rating Agency. Eligible Accounts may bear interest
and may include, if otherwise qualified under this definition, accounts
maintained with the Trustee, the Securities Administrator or BANA.

      ERISA: The Employee Retirement Income Security Act of 1974, as amended.

      ERISA Restricted Certificates: Any of the Class M-7, Class CE and Class R
Certificates and any Certificate that no longer meets the applicable rating
requirements of an Underwriter's Exemption.

      Escrow Account: As defined in Section 3.08(a).

      Escrow Payments: The amounts constituting taxes, assessments, Primary
Mortgage Insurance Policy premiums, fire and hazard insurance premiums and other
payments as may be required to be escrowed by the Mortgagor with the mortgagee
pursuant to the terms of any Mortgage Note or Mortgage.

      Events of Default: As defined in Section 8.01.

      Excess Proceeds: With respect to any Liquidated Mortgage Loan, the amount,
if any, by which the sum of any Liquidation Proceeds of such Mortgage Loan
received in the calendar month in which such Mortgage Loan became a Liquidated
Mortgage Loan, net of any amounts previously reimbursed to the Servicer as
Nonrecoverable Advance(s) with respect to such Mortgage Loan pursuant to Section
3.11(a)(iv), exceeds (i) the unpaid principal balance of such Liquidated
Mortgage Loan as of the Due Date in the month in which such Mortgage Loan became
a Liquidated Mortgage Loan plus (ii) accrued interest at the Mortgage Interest
Rate from the Due Date as to which interest was last paid or for which a
Periodic Advance was made (and

                                       33

not reimbursed) up to the Due Date applicable to the Distribution Date
immediately following the calendar month during which such liquidation occurred.

      Exchange Act: The Securities Exchange Act of 1934, as amended.

      Extra Principal Distribution Amount: As of any Distribution Date, the
lesser of (x) the Monthly Excess Interest Amount for such Distribution Date and
(y) the Overcollateralization Deficiency for such Distribution Date.

      FDIC: The Federal Deposit Insurance Corporation, or any successor thereto.

      FHLMC: The Federal Home Loan Mortgage Corporation, or any successor
thereto.

      Final Distribution Date: The Distribution Date on which the final
distribution in respect of some or all of the Certificates will be made pursuant
to Section 10.01.

      Financial Market Service: Bloomberg LP, Intex Solutions, Inc and any other
financial information provider designated by the Depositor by written notice to
the Securities Administrator.

      FIRREA: The Financial Institutions Reform, Recovery and Enforcement Act of
1989, as amended.

      Fixed Payer Rate: The fixed rate payable for each Distribution Date up to
and including the Distribution Date in August 2011, which is 5.50%.

      Floor Provider: Bank of America, National Association.

      FNMA: Fannie Mae, or any successor thereto.

      Form 8-K Disclosure Information: As defined in Section 3.22(e).

      Gross Margin: As to each Mortgage Loan, the fixed percentage set forth in
the related Mortgage Note and indicated in the Mortgage Loan Schedule as the
"Gross Margin," which percentage is added to the Index on each Rate Adjustment
Date to determine (subject to rounding, the Periodic Cap and the Rate Ceiling)
the Mortgage Interest Rate on such Mortgage Loan until the next Rate Adjustment
Date.

      Group: Any of Group 1, Group 2 or Group 3.

      Group 1: The Group 1 Certificates.

      Group 1 Certificates: The Class 1-A-1 Certificates.

      Group 1 Mortgage Loan: Each Mortgage Loan listed on Exhibit D-1 hereto.

      Group 1 Net WAC Rate: As of any Distribution Date, a per annum rate
(expressed on the basis of an assumed 360-day year and the actual number of days
elapsed during the related Interest Accrual Period) equal to (i) the average of
the Net Mortgage Interest Rates for the Group

                                       34

1 Mortgage Loans, weighted on the basis of the Stated Principal Balances of such
Mortgage Loans as of the first day of the related Collection Period less (ii) 12
times the quotient of (a) the Net Swap Payment or Swap Termination Payment, if
any, made to the Swap Provider (only if such Swap Termination Payment is not due
to a Swap Provider Trigger Event (as defined in the Interest Rate Swap
Agreement)) and (b) the sum of the aggregate Stated Principal Balance of the
Group 1 Mortgage Loans and the Group 2 Mortgage Loans as of the first day of the
related Collection Period.

      Group 1 Senior Principal Allocation Percentage: As of any Distribution
Date, the percentage equivalent of a fraction, the numerator of which is (x) the
Principal Remittance Amount allocable to the Group 1 Mortgage Loans for such
Distribution Date, and the denominator of which is (y) the Principal Remittance
Amount for such Distribution Date.

      Group 1 Senior Principal Distribution Amount: As of any Distribution Date,
the product of (x) the Group 1 Senior Principal Allocation Percentage and (y)
the Senior Principal Distribution Amount.

      Group 2: The Group 2 Certificates.

      Group 2 Certificates: The Class 2-A-1, Class 2-A-2, Class 2-A-3, Class
2-A-4 and Class 2-A-5 Certificates.

      Group 2 Mortgage Loan: Each Mortgage Loan listed on Exhibit D-2 hereto.

      Group 2 Net WAC Rate: As of any Distribution Date, a per annum rate
(expressed on the basis of an assumed 360-day year and the actual number of days
elapsed during the related Interest Accrual Period) equal to (i) the average of
the Net Mortgage Interest Rates for the Group 2 Mortgage Loans, weighted on the
basis of the Stated Principal Balances of such Mortgage Loans as of the first
day of the related Collection Period less (ii) 12 times the quotient of (a) the
Net Swap Payment or Swap Termination Payment, if any, made to the Swap Provider
(only if such Swap Termination Payment is not due to a Swap Provider Trigger
Event (as defined in the Interest Rate Swap Agreement)) and (b) the sum of the
aggregate Stated Principal Balance of the Group 1 Mortgage Loans and the Group 2
Mortgage Loans as of the first day of the related Collection Period.

      Group 2 Senior Principal Allocation Percentage: As of any Distribution
Date, the percentage equivalent of a fraction, the numerator of which is (x) the
Principal Remittance Amount allocable to the Group 2 Mortgage Loans for such
Distribution Date, and the denominator of which is (y) the Principal Remittance
Amount for such Distribution Date.

      Group 2 Senior Principal Distribution Amount: As of any Distribution Date,
the product of (x) the Group 2 Senior Principal Allocation Percentage and (y)
the Senior Principal Distribution Amount.

      Group 3: The Group 3 Certificates.

      Group 3 Certificates: The Class 3-A-1, Class 3-A-2 and Class 3-A-3
Certificates.

                                       35

      Group 3 Mortgage Loan: Each Mortgage Loan listed on Exhibit D-3 hereto.

      Group 3 Net WAC Rate: As of any Distribution Date, a per annum rate equal
to the average of the Net Mortgage Interest Rates for the Group 3 Mortgage
Loans, weighted on the basis of the Stated Principal Balances of such Mortgage
Loans as of the first day of the related Collection Period.

      Group 3 Senior Principal Allocation Percentage: As of any Distribution
Date, the percentage equivalent of a fraction, the numerator of which is (x) the
Principal Remittance Amount allocable to the Group 3 Mortgage Loans for such
Distribution Date, and the denominator of which is (y) the Principal Remittance
Amount for such Distribution Date.

      Group 3 Senior Principal Distribution Amount: As of any Distribution Date,
the product of (x) the Group 3 Senior Principal Allocation Percentage and (y)
the Senior Principal Distribution Amount.

     Group Subordinate Amount: With respect to any Loan Group and any
Distribution Date, the excess of (a) the aggregate Stated Principal Balance of
the Mortgage Loans in such Loan Group as of the last day of the related
Collection Period over (b) the aggregate Class Certificate Balance of the Senior
Certificates related to such Loan Group immediately prior to such Distribution
Date.

      Holder: A Certificateholder.

      Incremental Interest: As to any Mortgage Loan, the amount of interest
accrued on such Mortgage Loan attributable to the Incremental Rate, if any;
provided, however, that with respect to any payment of interest received in
respect of a Mortgage Loan (whether paid by the Mortgagor or received as
Liquidation Proceeds or otherwise) which is less than the full amount of
interest then due with respect to such Mortgage Loan, only that portion of such
payment of interest that bears the same relationship to the total amount of such
payment of interest as the Incremental Rate, if any, in respect of such Mortgage
Loan bears to the Mortgage Interest Rate shall be allocated to the Incremental
Interest with respect thereto.

      Incremental Rate: Prior to the first Rate Adjustment Date for a Mortgage
Loan, the per annum increase to the initial Mortgage Interest Rate set forth in
an addendum to the related Mortgage Note, if any, which increase takes effect
upon the happening of certain specified conditions and remains in effect until
the first Rate Adjustment Date.

      Indenture: An indenture relating to the issuance of net interest margin
notes secured entirely or in part by all or a portion of the Class CE
Certificates, which may or may not be guaranteed by the NIMS Insurer.

      Independent: When used with respect to any specified Person means such a
Person who (i) is in fact independent of the Depositor, the Trustee, the
Securities Administrator and the Servicer, (ii) does not have any direct
financial interest or any material indirect financial interest in the Depositor,
the Trustee, the Securities Administrator or the Servicer or is an affiliate of
any of them, and (iii) is not connected with the Depositor, the Trustee, the
Securities Administrator or the Servicer as an officer, employee, promoter,
underwriter, trustee, partner, director or person

                                       36

performing similar functions. When used with respect to any accountants, a
Person who is "independent" within the meaning of Rule 2-01(B) of the
Commission's Regulation S-X.

      Index: As to any Mortgage Loan and Rate Adjustment Date, either the
One-Year CMT Index or the One-Year LIBOR Index. The Index applicable to each
Mortgage Loan will be indicated on the Mortgage Loan Schedule. In the event that
any such Index is no longer available, the Servicer will select a substitute
index in accordance with the terms of the related Mortgage Note and in
compliance with federal and state law.

      Initial Overcollateralization Amount: $8,851,732.57.

      Insurance Policy: With respect to any Mortgage Loan included in the Trust
Estate, any related insurance policy, including all riders and endorsements
thereto in effect, including any replacement policy or policies for any
Insurance Policies.

      Insurance Proceeds: Proceeds paid by an insurer pursuant to any Insurance
Policy, in each case other than any amount included in such Insurance Proceeds
in respect of Insured Expenses.

      Insured Expenses: Expenses covered by an Insurance Policy or any other
insurance policy with respect to the Mortgage Loans.

      Interest Accrual Period: As to any Distribution Date and each Class of
Certificates (other than the Group 3 Certificates, the Class CE Certificates and
the Class R Certificates), the period from and including the Distribution Date
in the prior month (or the Closing Date, in the case of the first period) to but
not including the then current Distribution Date. As to any Distribution Date
and each Class of Group 3 Certificates, the period from and including the first
day of the calendar month preceding the calendar month of such Distribution Date
to but not including the first day of the calendar month of such Distribution
Date. The Class CE Certificates and the Class R Certificates have no Interest
Accrual Period.

      Interest Carry Forward Amount: For any Class of Certificates (other than
the Class CE Certificates and the Class R Certificates) and any Distribution
Date, the sum of (a) the excess, if any, of the Accrued Certificate Interest and
any Interest Carry Forward Amount for the prior Distribution Date, over the
amount in respect of interest actually distributed on such Class on such prior
Distribution Date and (b) interest on such excess at the applicable Certificate
Interest Rate for the related Interest Accrual Period.

      Interest Percentage: With respect to any Class of Certificates and any
Distribution Date, the ratio (expressed as a decimal carried to six places) of
the Accrued Certificate Interest for such Class to the sum of the Accrued
Certificate Interest for all Classes of Certificates, in each case with respect
to such Distribution Date, without regard to Relief Act Reductions.

      Interest Rate Agreement: Each of the Interest Rate Cap Agreement A, the
Interest Rate Cap Agreement B, the Interest Rate Floor Agreement and the
Interest Rate Swap Agreement.

      Interest Rate Cap Agreement: Each of the Interest Rate Cap Agreement A and
the Interest Rate Cap Agreement B.

                                       37

      Interest Rate Cap Agreement A: The interest rate cap agreement, dated July
27, 2006, between the Cap Provider and the Supplemental Interest Trust Trustee,
a copy of which is attached hereto as Exhibit V.

      Interest Rate Cap Agreement B: The interest rate cap agreement, dated July
27, 2006, between the Cap Provider and the Supplemental Interest Trust Trustee,
a copy of which is attached hereto as Exhibit W.

      Interest Rate Floor Agreement: The interest rate floor agreement, dated
July 27, 2006, between the Floor Provider and the Supplemental Interest Trust
Trustee, a copy of which is attached hereto as Exhibit X.

      Interest Rate Swap Agreement: The 2002 ISDA Master Agreement, dated as of
July 27, 2006 (together with the schedule thereto, the "Master Agreement"),
between the Swap Provider and the Supplemental Interest Trust Trustee, and a
confirmation of the same date, which supplements and forms part of the Master
Agreement, the form of which has been attached hereto as Exhibit U.

      Interest Remittance Amount: As of any Distribution Date and Loan Group,
(a) the sum (net of related Servicing Fees and Incremental Interest and less
amounts available for reimbursement to the Servicer of Advances and expenses
pursuant to this Agreement and amounts reimbursable or payable to the Securities
Administrator and Trustee pursuant to this Agreement), without duplication, of
(i) all interest collected or advanced with respect to the related Collection
Period on the Mortgage Loans in such Loan Group received by the Servicer on or
prior to the Determination Date for such Distribution Date, (ii) all
Compensating Interest paid by the Servicer for such Distribution Date with
respect to such Mortgage Loans, (iii) the portion of any payment in connection
with any Principal Prepayment, Substitution Adjustment Amount, Repurchase Price,
Insurance Proceeds or net Liquidation Proceeds relating to interest with respect
to such Mortgage Loans received during the related Prepayment Period, (iv) any
Reimbursement Amounts received with respect to such Mortgage Loans during the
related Prepayment Period, and (v) on the Distribution Date on which the
Mortgage Loans and related REO Property are purchased in accordance with Section
10.01 hereof, that portion of the purchase price therefor in respect of interest
less (b) (i) for Loan Group 1, the product of (A) any amounts payable to Swap
Provider (including any Net Swap Payment and any Swap Termination Payment owed
to the Swap Provider, other than a Defaulted Swap Termination Payment) and (B) a
fraction, the numerator of which is the aggregate Stated Principal Balance of
the Group 1 Mortgage Loans as of the first day of the related Collection Period,
and the denominator of which is the aggregate of the Stated Principal Balances
of the Group 1 and Group 2 Mortgage Loans as of the first day of the related
Collection Period; and (2) for Loan Group 2, the product of (A) any amounts
payable to the Swap Provider (including any Net Swap Payment and any Swap
Termination Payment owed to the Swap Provider, other than a Defaulted Swap
Termination Payment) and (B) a fraction, the numerator of which is the aggregate
Stated Principal Balance of the Group 2 Mortgage Loans as of the first day of
the related Collection Period, and the denominator of which is the aggregate of
the Stated Principal Balances of the Group 1 and Group 2 Mortgage Loans as of
the first day of the related Collection Period.

                                       38

      LIBOR Business Day: Any day on which banks in London, England and New York
City are open and conducting transactions in foreign currency and exchange.

      LIBOR Determination Date: With respect to each Class of Certificates whose
Certificate Interest Rate is based on One-Month LIBOR or Certificate One-Year
LIBOR, (i) for the first Distribution Date, the second LIBOR Business Day
preceding the Closing Date and (ii) for each subsequent Distribution Date, the
second LIBOR Business Day prior to the immediately preceding Distribution Date.

      Liquidated Mortgage Loan: With respect to any Distribution Date, a
defaulted Mortgage Loan (including any REO Property) that was liquidated in the
related Prepayment Period and as to which the Servicer has certified (in
accordance with this Agreement) that it has received all proceeds it expects to
receive in connection with the liquidation of such Mortgage Loan including the
final disposition of an REO Property.

      Liquidation Proceeds: Amounts, including Insurance Proceeds, received in
connection with the partial or complete liquidation of defaulted Mortgage Loans,
whether through trustee's sale, foreclosure sale or otherwise or amounts
received in connection with any condemnation or partial release of a Mortgaged
Property and any other proceeds received in connection with an REO Property,
less the sum of related unreimbursed Servicing Fees and Advances.

      Loan Group: Any of Loan Group 1, Loan Group 2 or Loan Group 3.

      Loan Group 1: The Group 1 Mortgage Loans.

      Loan Group 2: The Group 2 Mortgage Loans.

      Loan Group 3: The Group 3 Mortgage Loans.

      Loan-to-Value Ratio: With respect to any Mortgage Loan and any date of
determination, the fraction, expressed as a percentage, the numerator of which
is the outstanding principal balance of the related Mortgage Loan at origination
and the denominator of which is the Appraised Value of the related Mortgaged
Property.

      Losses: As defined in Section 5.10.

      Lower-Tier Certificate Sub-Account: The sub-account of the Certificate
Account designated by the Securities Administrator pursuant to Section 3.09(f).

      Lower-Tier Group 1 Regular Interests: Lower-Tier Regular Interest ILR-I,
Lower-Tier Regular Interest ILR-1-A through Lower-Tier Regular Interest ILR-60-B
as designated in the Preliminary Statement hereto.

      Lower-Tier Group 2 Regular Interests: Lower-Tier Regular Interest IILR-I,
Lower-Tier Regular Interest IILR-1-A through Lower-Tier Regular Interest
IILR-60-B as designated in the Preliminary Statement hereto.

                                       39

      Lower-Tier Group 3 Regular Interests: Lower-Tier Regular Interest IIILR-I,
Lower-Tier Regular Interest IIILR-1-A through Lower-Tier Regular Interest
IIILR-60-B as designated in the Preliminary Statement hereto.

      LR Interest: Any of the Lower-Tier Group 1 Regular Interests, the
Lower-Tier Group 2 Regular Interests or the Lower-Tier Group 3 Regular
Interests.

      Lower-Tier REMIC: As defined in the Preliminary Statement, the assets of
which consist of the Mortgage Loans, such amounts as shall be held in the
Lower-Tier Certificate Sub-Account, the insurance policies, if any, relating to
a Mortgage Loan and property which secured a Mortgage Loan and which has been
acquired by foreclosure or deed in lieu of foreclosure. The Lower-Tier REMIC
will not include the Rate Cap Carryover Amounts, the Class IO Distribution
Amount, the Rate Cap Carryover Reserve Account, the Interest Rate Swap
Agreement, Interest Rate Cap Agreement A, Interest Rate Cap Agreement B, the
Interest Rate Floor Agreement, the Swap Account or the Supplemental Interest
Trust.

      Marker Rate: With respect to the Class CE Upper-Tier Interest and the
Class CE Certificates and any Distribution Date, a per annum rate equal to two
(2) times the weighted average of the Uncertificated Middle-Tier REMIC
Pass-Through Rates for the Class MR1A1 Interest, the Class MR2A1 Interest, the
Class MR2A2 Interest, the Class MR2A3 Interest, the Class MR2A4 Interest, the
Class MR2A5 Interest, the Class MR3A1 Interest, the Class MR3A2 Interest, the
Class MR3A3 Interest, the Class MRM1 Interest, the Class MRM2 Interest, the
Class MRM3 Interest, the Class MRM4 Interest, the Class MRM5 Interest, the Class
MRM6 Interest, the Class MRM7 Interest and the Class MRZZ Interest, (i) with the
rate on each such Uncertificated Middle-Tier Interest (other than the Class MRZZ
Interest) subject to a cap equal to the Certificate Interest Rate of its
Corresponding Class (determined by substituting the Upper-Tier REMIC Rate for
the applicable Rate Cap) for the purposes of this calculation and (ii) with the
rate on the Class MRZZ Interest subject to a cap of zero for the purpose of this
calculation; provided, however, that for this purpose, calculations of the
Uncertificated Middle-Tier REMIC Pass-Through Rate and the related caps with
respect to each such Uncertificated Middle-Tier Interest (other than the Class
MRZZ Interest) shall be multiplied by a fraction, the numerator of which is the
actual number of days in the Interest Accrual Period and the denominator of
which is 30.

      Maximum MRZZ Uncertificated Accrued Interest Deferral Amount: With respect
to any Distribution Date, the excess of (a) accrued interest at the
Uncertificated Middle-Tier REMIC Pass-Through Rate applicable to the Class MRZZ
Interest for such Distribution Date on a balance equal to the Uncertificated
Balance of the Class MRZZ Interest minus the Middle-Tier REMIC
Overcollateralized Amount, in each case for such Distribution Date, over (b)
Uncertificated Accrued Interest on the Class MR1A1 Interest, the Class MR2A1
Interest, the Class MR2A2 Interest, the Class MR2A3 Interest, the Class MR2A4
Interest, the Class MR2A5 Interest, the Class MR3A1 Interest, the Class MR3A2
Interest, the Class MR3A3 Interest, the Class MRM1 Interest, the Class MRM2
Interest, the Class MRM3 Interest, the Class MRM4 Interest, the Class MRM5
Interest, the Class MRM6 Interest and the Class MRM7 Interest, each subject to a
cap equal to the Certificate Interest Rate of the related Corresponding Class
(determined by substituting the Upper-Tier REMIC Rate for the applicable Rate
Cap) for the purpose of this calculation; provided, however, that for this
purpose, calculations of the

                                       40

Uncertificated Middle-Tier REMIC Pass-Through Rate and the related caps with
respect to Uncertificated Accrued Interest on each Uncertificated Middle-Tier
Interest, shall be multiplied by a fraction, the numerator of which is the
actual number of days in the Interest Accrual Period and the denominator of
which is 30.

      MERS: As defined in Section 2.01(b)(ii).

      Mezzanine Net WAC Rate: For any Distribution Date, a per annum rate
(expressed on the basis of an assumed 360-day year and the actual number of days
elapsed during the related Interest Accrual Period) equal to (i) the average of
the Net Mortgage Interest Rates for the Mortgage Loans, weighted on the basis of
the Stated Principal Balances of the Mortgage Loans as of the first day of the
related Collection Period less (ii) 12 times the quotient of (a) the Net Swap
Payment or Swap Termination Payment, if any, made to the Swap Provider (only if
such Swap Termination Payment is not due to a Swap Provider Trigger Event (as
defined in the Interest Rate Swap Agreement)) and (b) the aggregate Stated
Principal Balance of the Mortgage Loans as of the first day of the related
Collection Period. Solely for federal income tax purposes, the Mezzanine Net WAC
Rate shall be calculated by weighting the Stated Principal Balances of the
Mortgage Loans on the basis of their related Group Subordinate Amount and any
amounts not paid in respect of the Mezzanine Net WAC Rate on the related
Upper-Tier REMIC Regular Interest shall be carried forward and applied to the
aggregate amount of the related Rate Cap Carryover Amount.

      Middle-Tier Certificate Sub-Account: The sub-account of the Certificate
Account designated by the Securities Administrator pursuant to Section 3.09(f).

      Middle-Tier REMIC: As defined in the Preliminary Statement, the assets of
which consist of the Uncertificated Lower-Tier Interests and such amounts as
shall be deemed held in the Middle-Tier Certificate Sub-Account.

      Middle-Tier REMIC Interest Loss Allocation Amount: With respect to any
Distribution Date, an amount equal to (a) the product of (i) 50% of the
aggregate Stated Principal Balance of the Mortgage Loans and related REO
Properties then outstanding and (ii) the Uncertificated Middle-Tier REMIC
Pass-Through Rate for the Class MRAA Interest minus the Marker Rate, divided by
(b) 12.

      Middle-Tier REMIC Marker Allocation Percentage: 50% of any amount payable
or loss attributable from the Mortgage Loans, which shall be allocated to the
Class MRAA Interest, the Class MR1A1 Interest, the Class MR2A1 Interest, the
Class MR2A2 Interest, the Class MR2A3 Interest, the Class MR2A4 Interest, the
Class MR2A5 Interest, the Class MR3A1 Interest, the Class MR3A2 Interest, the
Class MR3A3 Interest, the Class MRM1 Interest, the Class MRM2 Interest, the
Class MRM3 Interest, the Class MRM4 Interest, the Class MRM5 Interest, the Class
MRM6 Interest, the Class MRM7 Interest and the Class MRZZ Interest.

      Middle-Tier REMIC Overcollateralization Target Amount: .50% of the
Targeted Overcollateralization Amount.

      Middle-Tier REMIC Overcollateralized Amount: With respect to any date of
determination, (i) .50% of the aggregate Uncertificated Balances of the
Uncertificated Middle-

                                       41

Tier Interests minus (ii) the aggregate of the Uncertificated Balances of the
Class MR1A1 Interest, the Class MR2A1 Interest, the Class MR2A2 Interest, the
Class MR2A3 Interest, The Class MR2A4 Interest, the Class MR2A5 Interest, the
Class MR3A1 Interest, the Class MR3A2 Interest, the Class MR3A3 Interest, the
Class MRM1 Interest, the Class MRM2 Interest, the Class MRM3 Interest, the Class
MRM4 Interest, the Class MRM5 Interest, the Class MRM6 Interest and the Class
MRM7 Interest , in each case as of such date of determination.

      Middle-Tier REMIC Principal Loss Allocation Amount: With respect to any
Distribution Date, an amount equal to (a) the product of (i) 50% of the
aggregate Stated Principal Balance of the Mortgage Loans and related REO
Properties then outstanding and (ii) 1 minus a fraction, the numerator of which
is two times the aggregate of the Uncertificated Balances of the Class MR1A1
Interest, the Class MR2A1 Interest, the Class MR2A2 Interest, the Class MR2A3
Interest, the Class MR2A4 Interest, the Class MR2A5 Interest, the Class MR3A1
Interest, the Class MR3A2 Interest, the Class MR3A3 Interest, the Class MRM1
Interest, the Class MRM2 Interest, the Class MRM3 Interest, the Class MRM4
Interest, the Class MRM5 Interest, the Class MRM6 Interest and the Class MRM7
Interest and the denominator of which is the aggregate of the Uncertificated
Balances of the Class MR1A1 Interest, the Class MR2A1 Interest, the Class MR2A2
Interest, the Class MR2A3 Interest, the Class MR2A4 Interest, the Class MR2A5
Interest, the Class MR3A1 Interest, the Class MR3A2 Interest, the Class MR3A3
Interest, the Class MRM1 Interest, the Class MRM2 Interest, the Class MRM3
Interest, the Class MRM4 Interest, the Class MRM5 Interest, the Class MRM6
Interest, the Class MRM7 Interest and the Class MRZZ Interest.

      Middle-Tier REMIC Sub WAC Allocation Percentage: 50% of any amount payable
from or loss attributable to the Mortgage Loans, which shall be allocated to the
MR1SUB Interest, the MR1GRP Interest, MR2SUB Interest, the MR2GRP Interest,
MR3SUB Interest, the MR3GRP Interest and the MRXX Interest.

      Middle-Tier REMIC Subordinated Balance Ratio: The ratio among the
Uncertificated Balances of each Middle-Tier REMIC Regular Interest ending with
the designation "SUB," equal to the ratio between, with respect to each such
Middle-Tier REMIC Regular Interest, the excess of (x) the aggregate Stated
Principal Balance of the Mortgage Loans in the related Loan Group over (y) the
current Class Certificate Balance of the Senior Certificates in the related Loan
Group.

      Monthly Excess Cashflow Amount: For any Distribution Date, the sum of the
Monthly Excess Interest Amount for such Distribution Date, the
Overcollateralization Release Amount for such Distribution Date and (without
duplication) any portion of the Principal Distribution Amount remaining after
principal distributions pursuant to Section 5.02(b).

      Monthly Excess Interest Amount: With respect to each Distribution Date,
the amount, if any, by which the Interest Remittance Amount for such
Distribution Date exceeds the aggregate amount distributed on such Distribution
Date to the Certificates pursuant to Section 5.02(a) priorities first through
twelfth.

      Monthly Payment: The scheduled monthly payment on a Mortgage Loan due on
any Due Date allocable to principal and/or interest on such Mortgage Loan which,
unless otherwise

                                       42

specified herein, shall give effect to any related Debt Service Reduction and
any Deficient Valuation that affects the amount of the monthly payment due on
such Mortgage Loan.

      Monthly Statement: As defined in Section 5.04(b).

      Moody's: Moody's Investors Service, Inc. or any successor thereto.

      Mortgage: The mortgage, deed of trust or other instrument creating a first
lien on a Mortgaged Property securing a Mortgage Note or creating a first lien
on a leasehold interest.

      Mortgage File: The mortgage documents listed in Section 2.01 pertaining to
a particular Mortgage Loan and any additional documents required to be added to
the Mortgage File pursuant to this Agreement.

      Mortgage Interest Rate: As to any Mortgage Loan, the per annum rate of
interest at which interest accrues on the principal balance of such Mortgage
Loan, as adjusted from time to time in accordance with the provisions of the
related Mortgage Note, which rate is (a) prior to the first Rate Adjustment Date
for each such Mortgage Loan, the initial Mortgage Interest Rate for such
Mortgage Loan indicated on the related Mortgage Loan Schedule plus any
Incremental Rate and (b) from and after such Rate Adjustment Date, the sum of
the applicable Index, as of the Rate Adjustment Date applicable to such Due
Date, and the Gross Margin, rounded as set forth in such Mortgage Note, subject
to the Periodic Cap and the Rate Ceiling applicable to such Mortgage Loan at any
time during the life of such Mortgage Loan.

      Mortgage Loan Purchase Agreement: The Mortgage Loan Purchase Agreement,
dated July 31, 2006, between BANA, as seller, and the Depositor, as purchaser.

      Mortgage Loan Schedule: The list of Mortgage Loans (as from time to time
amended by the Servicer to reflect the addition of Substitute Mortgage Loans and
the deletion of Defective Mortgage Loans pursuant to the provisions of this
Agreement) transferred to the Trustee as part of the Trust Estate and from time
to time subject to this Agreement, attached hereto as Exhibit D-1, Exhibit D-2
and Exhibit D-3 setting forth the following information with respect to each
Mortgage Loan: (i) the Mortgage Loan identifying number; (ii) a code indicating
whether the Mortgaged Property is owner-occupied; (iii) the property type for
each Mortgaged Property; (iv) the original months to maturity or the remaining
months to maturity from the Cut-off Date; (v) the Loan-to-Value Ratio at
origination; (vi) the Mortgage Interest Rate as of the Cut-off Date; (vii) the
date on which the first Monthly Payment was due on the Mortgage Loan, and, if
such date is not the Due Date currently in effect, such Due Date; (viii) the
stated maturity date; (ix) the amount of the Monthly Payment as of the Cut-off
Date; (x) the paid-through date; (xi) the original principal amount of the
Mortgage Loan; (xii) the principal balance of the Mortgage Loan as of the close
of business on the Cut-off Date, after application of payments of principal due
on or before the Cut-off Date, whether or not collected, and after deduction of
any payments collected of scheduled principal due after the Cut-off Date; (xiii)
a code indicating the purpose of the Mortgage Loan; (xiv) a code indicating the
documentation style; (xv) the Appraised Value; (xvi) the first Rate Adjustment
Date; (xvii) the Rate Ceiling; (xviii) the Rate Floor; (xix) the Periodic Cap;
(xx) the Gross Margin; (xxi) the Index; and (xxii) the closing date of the
Mortgage Loan. With respect to the Mortgage Loans in the aggregate, the Mortgage
Loan Schedule shall

                                       43

set forth the following information, as of the Cut-off Date: (i) the number of
Mortgage Loans; (ii) the current aggregate outstanding principal balance of the
Mortgage Loans; (iii) the weighted average Mortgage Interest Rate of the
Mortgage Loans; and (iv) the weighted average months to maturity of the Mortgage
Loans.

      Mortgage Loans: Such of the mortgage loans transferred and assigned to the
Trustee pursuant to Section 2.01 as from time to time are held as a part of the
Trust Estate (including any Substitute Mortgage Loans and REO Property), the
Mortgage Loans originally so held being identified in the Mortgage Loan
Schedule.

      Mortgage Note: The originally executed note or other evidence of
indebtedness evidencing the indebtedness of a Mortgagor under a Mortgage Loan,
together with all riders thereto and amendments thereof.

      Mortgaged Property: The underlying property securing a Mortgage Loan,
which may include Cooperative Stock or residential long-term leases.

      Mortgagor: The obligor on a Mortgage Note.

      Net Mortgage Interest Rate: As to any Mortgage Loan and Distribution Date,
such Mortgage Loan's Mortgage Interest Rate thereon (without giving effect to
any Incremental Rate) on the first day of the calendar month preceding the month
of such Distribution Date reduced by the Servicing Fee Rate for such Mortgage
Loan.

      Net Swap Payment: With respect to any Distribution Date, any net payment
(other than a Swap Termination Payment) payable by the Supplemental Interest
Trust to the Swap Provider on the related Fixed Rate Payer Payment Date (as
defined in the Interest Rate Swap Agreement).

      Net Swap Receipt: With respect to any Distribution Date, any net payment
(other than a Swap Termination Payment) made by the Swap Provider to the
Supplemental Interest Trust on the related Floating Rate Payer Payment Date (as
defined in the Interest Rate Swap Agreement), or any amount withdrawn from the
Swap Account that is required under that paragraph to be treated as a Net Swap
Receipt for purposes of determining the distributions from the Supplemental
Interest Trust.

      NIMS Insurer: Any insurer that is guaranteeing certain payments under
notes secured by collateral which includes all or a portion of the Class CE
Certificates.

      Non-U.S. Person: A Person other than a U.S. Person.

      Nonrecoverable Advance: Any portion of an Advance previously made or
proposed to be made in respect of a Mortgage Loan which has not been previously
reimbursed and which, in the good faith judgment of the Servicer will not or, in
the case of a proposed Advance, would not be ultimately recoverable from the
related Mortgagor, related Liquidation Proceeds, Insurance Proceeds or other
recoveries in respect of the related Mortgage Loan.

      NYCEMA: A New York Consolidation, Extension and Modification Agreement.

                                       44

      Offered Certificates: The Senior and the Class M Certificates.

      Officer's Certificate: A certificate signed by the Chairman of the Board,
Vice Chairman of the Board, President or a Vice President and by the Treasurer,
the Secretary or one of the Assistant Treasurers or Assistant Secretaries, or
any other duly authorized officer of the Depositor or the Servicer, as the case
may be, and delivered to the Trustee or the Securities Administrator, as
required in this Agreement.

      One-Month LIBOR: As to any Distribution Date, the arithmetic mean of
London Interbank offered rate quotations for one-month U.S. Dollar deposits, as
determined by the Securities Administrator in accordance with Section 5.09.

      One-Year CMT Index: A rate per annum that is defined to be the weekly
average yield on United States Treasury Securities adjusted to a constant
maturity of one year, as made available by the Federal Reserve Board, published
in Federal Reserve Statistical Release H.15 (519) and most recently available up
to the date 45 days before the applicable Rate Adjustment Date.

      One-Year LIBOR Index: A rate per annum that is defined to be the average
of interbank offered rates for one-year U.S. dollar-denominated deposits in the
London market, as published in The Wall Street Journal and most recently
available either (i) as of the first Business Day in the month preceding the
month of the applicable Rate Adjustment Date or (ii) up to the date 45 days
before the applicable Rate Adjustment Date.

      Opinion of Counsel: A written opinion of counsel acceptable to the Trustee
if such opinion is delivered to the Trustee, or acceptable to the Securities
Administrator if such opinion is delivered to the Securities Administrator, who
may be counsel for the Depositor or the Servicer, except that any opinion of
counsel relating to the qualification of the Trust Estate as three separate
REMICs or compliance with the REMIC Provisions must be an opinion of Independent
counsel.

      Optional Termination Date: The first Distribution Date on which the
Servicer may opt to purchase all of the Mortgage Loans and all REO Property
remaining in the Trust Estate pursuant to Section 10.01.

      Originator: Wells Fargo Bank, N.A.

      OTS: The Office of Thrift Supervision.

      Outstanding Mortgage Loan: As to any Due Date, a Mortgage Loan which was
not the subject of a Principal Prepayment in Full prior to such Due Date, which
did not become a Liquidated Mortgage Loan prior to such Due Date and which was
not purchased from the Trust prior to such Due Date pursuant to Sections 2.02 or
2.04.

      Overcollateralization Amount: As of any Distribution Date, the excess, if
any, of (x) the aggregate Stated Principal Balance of the Mortgage Loans as of
the last day of the related Collection Period over (y) the aggregate Class
Certificate Balance of all Classes of Certificates

                                       45

(after taking into account all distributions of principal on such Distribution
Date and the increase of any Class Certificate Balance of a Class of
Certificates as a result of Recoveries).

      Overcollateralization Deficiency: As of any Distribution Date, the excess,
if any, of (x) the Targeted Overcollateralization Amount for such Distribution
Date over (y) the Overcollateralization Amount for such Distribution Date,
calculated for this purpose after taking into account the reduction on such
Distribution Date of the Class Certificate Balances of all Classes of
Certificates resulting from the distribution of the Principal Distribution
Amount (but not the Extra Principal Distribution Amount) on such Distribution
Date, but prior to taking into account any Applied Realized Loss Amounts on such
Distribution Date.

      Overcollateralization Release Amount: With respect to any Distribution
Date on or after the Stepdown Date on which a Trigger Event is not in effect,
the lesser of (x) the Principal Remittance Amount for such Distribution Date and
(y) the excess, if any, of (i) the Overcollateralization Amount for such
Distribution Date, assuming that 100% of the Principal Remittance Amount is
applied as a principal payment on the Certificates on such Distribution Date
over (ii) the Targeted Overcollateralization Amount for such Distribution Date.
With respect to any Distribution Date on which a Trigger Event is in effect, the
Overcollateralization Release Amount will be zero.

      Ownership Interest: As to any Certificate, any ownership or security
interest in such Certificate, including any interest in such Certificate as the
Holder thereof and any other interest therein, whether direct or indirect, legal
or beneficial, as owner or as pledgee.

      Pass-Through Rate: With respect to each Distribution Date and each Class
of Certificate (other than the Class CE and Class R Certificates), the per annum
rate set forth or described in the Preliminary Statement.

      With respect to the Class CE Upper Tier-Interest and the Class CE
Certificates and any Distribution Date, a per annum rate equal to the percentage
equivalent of a fraction, the numerator of which is the sum of the amounts
calculated pursuant to clauses (A) through (R) below, and the denominator of
which is the aggregate of the Uncertificated Balances of the Class MRAA
Interest, the Class MR1A1 Interest, the Class MR2A1 Interest, the Class MR2A2
Interest, the Class MR2A3 Interest, the Class MR2A4 Interest, the Class MR2A5
Interest, the Class MR3A1 Interest, the Class MR3A2 Interest, the Class MR3A3
Interest, the Class MRM1 Interest, the Class MRM2 Interest, the Class MRM3
Interest, the Class MRM4 Interest, the Class MRM5 Interest, the Class MRM6
Interest, the Class MRM7 Interest and the Class MRZZ Interest. For purposes of
calculating the Pass-Through Rate for the Class CE Certificates, the numerator
is equal to the sum of the following components:

                  (A)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRAA Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRAA Interest;

                  (B)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR1A1 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR1A1 Interest;

                                       46

                  (C)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR2A1 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR2A1 Interest;

                  (D)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR2A2 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR2A2 Interest;

                  (E)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR2A3 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR2A3 Interest;

                  (F)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR2A4 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR2A4 Interest;

                  (G)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR2A5 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR2A5 Interest;

                  (H)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR3A1 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR3A1 Interest;

                  (I)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR3A2 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR3A2 Interest;

                  (J)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MR3A3 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MR3A3 Interest;

                  (K)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRM1 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRM1 Interest;

                  (L)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRM2 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRM2 Interest;

                  (M)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRM3 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRM3 Interest;

                  (N)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRM4 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRM4 Interest;

                                       47

                  (O)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRM5 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRM5 Interest;

                  (P)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRM6 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRM6 Interest;

                  (Q)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRM7 Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRM7 Interest; and

                  (R)   the Middle-Tier REMIC Pass-Through Rate for the Class
            MRZZ Interest minus the Marker Rate, applied to an amount equal to
            the Uncertificated Balance of the Class MRZZ Interest.

      The Class Swap-IO Interest shall not have a Pass-Through Rate, but
interest for such regular interest and each Distribution Date shall be an amount
equal to 100% of the amounts distributable to the Class MRIO Interest for such
Distribution Date.

      Paying Agent: As defined in Section 9.13.

      Percentage Interest: As to any Certificate (other than a Class CE or Class
R Certificate), the percentage obtained by dividing the initial Certificate
Balance of such Certificate by the Initial Class Certificate Balance of the
Class of which such Certificate is a part. With respect to a Class CE or a Class
R Certificate, the portion of the Class evidenced thereby, expressed as a
percentage, as stated on the face of such Certificate; provided, however, that
the sum of all such percentages for each such Certificate totals 100%.

      Periodic Advance: The payment required to be made by the Servicer with
respect to any Distribution Date pursuant to Section 3.19, the amount of any
such payment being equal to the aggregate of Monthly Payments (net of the
Servicing Fee and any Incremental Interest) on the Mortgage Loans (including any
REO Property) serviced by the Servicer that were due on the related Due Date and
not received as of the close of business on the related Determination Date, less
the aggregate amount of any such delinquent payments that the Servicer has
determined would constitute a Nonrecoverable Advance if advanced.

      Periodic Cap: For each Mortgage Loan, the applicable limit on adjustment
of the Mortgage Interest Rate for each Rate Adjustment Date specified in the
applicable Mortgage Note and designated as such in the applicable Mortgage Loan
Schedule.

      Permitted Investments: One or more of the following:

            (i)   obligations of or guaranteed as to principal and interest by
      the United States, Freddie Mac, Fannie Mae or any agency or
      instrumentality of the United States when such obligations are backed by
      the full faith and credit of the United States; provided that such
      obligations of Freddie Mac or Fannie Mae shall be limited to senior debt
      obligations and mortgage participation certificates other than investments
      in

                                       48

      mortgage-backed or mortgage participation securities with yields
      evidencing extreme sensitivity to the rate of principal payments on the
      underlying mortgages, which shall not constitute Permitted Investments
      hereunder;

            (ii)    repurchase agreements on obligations specified in clause (i)
      maturing not more than one month from the date of acquisition thereof with
      a corporation incorporated under the laws of the United States or any
      state thereof rated not lower than "P-1" by Moody's and "A-1+" by S&P;

            (iii)   federal funds, certificates of deposit, demand deposits,
      time deposits and bankers' acceptances (which shall each have an original
      maturity of not more than 90 days and, in the case of bankers'
      acceptances, shall in no event have an original maturity of more than 365
      days or a remaining maturity of more than 30 days) denominated in United
      States dollars of any U.S. depository institution or trust company
      incorporated under the laws of the United States or any state thereof,
      rated not lower than "P-1" by Moody's and "A-1+" by S&P;

            (iv)    commercial paper (having original maturities of not more
      than 365 days) of any corporation incorporated under the laws of the
      United States or any state thereof which is rated not lower than "P-1" by
      Moody's and "A-1+" by S&P;

            (v)     investments in money market funds (including funds of the
      Securities Administrator or its affiliates, or funds for which an
      affiliate of the Securities Administrator acts as advisor, as well as
      funds for which the Securities Administrator and its affiliates may
      receive compensation) rated "Aaa" by Moody's and "AAAm G" by S&P or
      otherwise approved in writing by each Rating Agency; and

            (vi)    other obligations or securities that are acceptable to each
      Rating Agency and, as evidenced by an Opinion of Counsel obtained by the
      Servicer or Securities Administrator, as the case may be, will not affect
      the qualification of the Trust Estate as three separate REMICs;

provided, however, that no instrument shall be a Permitted Investment if it
represents either (a) the right to receive only interest payments with respect
to the underlying debt instrument or (b) the right to receive both principal and
interest payments derived from obligations underlying such instrument and the
principal and interest with respect to such instrument provide a yield to
maturity greater than 120% of the yield to maturity at par of such underlying
obligations.

      Permitted Transferee: Any Person other than (i) the United States, or any
State or any political subdivision thereof, or any agency or instrumentality of
any of the foregoing, (ii) a foreign government, international organization or
any agency or instrumentality of either of the foregoing, (iii) an organization
which is exempt from tax imposed by Chapter 1 of the Code (including the tax
imposed by Section 511 of the Code on unrelated business taxable income) (except
certain farmers' cooperatives described in Code Section 521), (iv) rural
electric and telephone cooperatives described in Code Section 1381(a)(2)(C), (v)
a Person with respect to whom the income on a Residual Certificate is allocable
to a foreign permanent establishment or fixed base, within the meaning of an
applicable income tax treaty, of such Person or any other

                                       49

U.S. Person, and (vi) any other Person so designated by the Depositor based on
an Opinion of Counsel to the effect that any transfer to such Person may cause
the Trust or any other Holder of a Residual Certificate to incur tax liability
that would not be imposed other than on account of such transfer. The terms
"United States," "State" and "international organization" shall have the
meanings set forth in Code Section 7701 or successor provisions.

      Person: Any individual, corporation, limited liability company,
partnership, joint venture, association, joint-stock company, trust,
unincorporated organization or government or any agency or political subdivision
thereof.

      Physical Certificates: The Class R and Class CE Certificates.

      Plan: As defined in Section 6.02(e).

      Pool Stated Principal Balance: As to any Distribution Date and any Loan
Group, the aggregate Stated Principal Balance of all Mortgage Loans in such Loan
Group that were Outstanding Mortgage Loans on the first day of the related
Collection Period.

      Prepayment Interest Shortfall: As to any Distribution Date and each
Mortgage Loan subject to a Principal Prepayment received during the calendar
month preceding the month of such Distribution Date, the amount, if any, by
which one month's interest at the related Mortgage Interest Rate (net of the
Servicing Fee Rate) on such Principal Prepayment exceeds the amount of interest
paid in connection with such Principal Prepayment.

      Prepayment Period: With respect to any Distribution Date, the calendar
month preceding the calendar month in which such Distribution Date occurs.

      Primary Mortgage Insurance Policy: Each policy of primary mortgage
guaranty insurance or any replacement policy therefor with respect to any
Mortgage Loan, in each case issued by an insurer acceptable to Fannie Mae or
Freddie Mac.

      Principal Distribution Amount: As to any Distribution Date, the sum of (i)
the Principal Remittance Amount minus the Overcollateralization Release Amount,
if any, and (ii) the Extra Principal Distribution Amount, if any.

      Principal Prepayment: With respect to each Mortgage Loan, any payment or
other recovery of principal on a Mortgage Loan (other than Liquidation Proceeds)
which is received in advance of its scheduled Due Date and is not accompanied by
an amount of interest representing scheduled interest due on any date or dates
in any month or months subsequent to the month of prepayment.

      Principal Prepayment in Full: Any Principal Prepayment of the entire
principal balance of a Mortgage Loan.

      Principal Remittance Amount: With respect to any Distribution Date, the
amount equal to (a) the sum (less amounts available for reimbursement to the
Servicer of Advances and expenses pursuant to this Agreement and amounts
reimbursable or payable to the Securities Administrator and Trustee pursuant to
this Agreement) of: (i) each payment of principal on a

                                       50

Mortgage Loan due during related Collection Period and received by the Servicer
on or prior to the related Determination Date, and any Advances with respect
thereto, (ii) all Principal Prepayments received by the Servicer during the
related Prepayment Period, (iii) Insurance Proceeds, net Liquidation Proceeds
and Recoveries allocable to principal actually collected by the Servicer during
the related Prepayment Period, (iv) with respect to Defective Mortgage Loans
repurchased during the related Prepayment Period, the portion of the Repurchase
Price allocable to principal, (v) any Substitution Adjustment Amounts paid
during the related Prepayment Period and (vi) on the Distribution Date on which
the Mortgage Loans and related REO Property are purchased in accordance with
Section 10.01 hereof, that portion of the purchase price therefor in respect of
principal less (b) any amounts payable to the Swap Provider (including any Net
Swap Payment and any Swap Termination Payment owed to the Swap Provider, other
than a Defaulted Swap Termination Payment) not covered by the sum of the
Interest Remittance Amounts for Loan Group 1 and Loan Group 2 for such
Distribution Date.

      Private Certificates: The Class M-7, Class CE and Class R Certificates.

      Purchase Agreement: Collectively, (a) the second amended and restated
master seller's warranties and servicing agreement, dated as of May 1, 2006,
between the Sponsor, as purchaser, and the Originator, as seller, (b) those
certain Assignment and Conveyance Agreements (2006-W49 and 2006-W50), each dated
as of June 16, 2006, by and between the Sponsor and the Originator, (c) those
certain Assignment and Conveyance Agreements (2006-W52, 2006-W53, 2006-W54 and
2006-W55), each dated as of June 22, 2006, by and between the Sponsor and the
Originator, (d) those certain Assignment and Conveyance Agreements (2006-W43 and
2006-W44), each dated as of June 27, 2006, by and between the Sponsor and the
Originator, (e) those certain Assignment and Conveyance Agreements (2006-W46,
2006-W47 and 2006-W48), each dated as of June 28, 2006, by and between the
Sponsor and the Originator and (f) the Assignment, Assumption and Recognition
Agreement, dated June 29, 2006, by and among the Sponsor, the Depositor, the
Trustee and Wells Fargo Bank, N.A.

      Purchase Obligation: An obligation of the Sponsor or the Depositor to
purchase Mortgage Loans under the circumstances and in the manner provided in
Section 2.02 or 2.04.

      Purchase Price: With respect to each Mortgage Loan that was a Defective
Mortgage Loan repurchased on any date pursuant to Sections 2.02 or 2.04 or
Section 3.03 of the Purchase Agreement, an amount equal to the sum of (i) the
Stated Principal Balance of the Mortgage Loan, (ii) interest on such Stated
Principal Balance at the Mortgage Interest Rate from the date on which interest
has last been paid and distributed through the last day of the month in which
such repurchase takes place and (iii) any costs and damages incurred by the
Trust in connection with any violation by such repurchased Mortgage Loan of any
predatory or abusive lending law, less (x) amounts received or advanced in
respect of such repurchased Mortgage Loan which are being held in the Servicer
Custodial Account for distribution in the month of repurchase and (y) if the
Person repurchasing such Mortgage Loan is servicing such Mortgage Loan, the
Servicing Fee for such Mortgage Loan.

      Rate Adjustment Date: As to each Mortgage Loan, the Due Date on which an
adjustment to the Mortgage Interest Rate of such Mortgage Loan becomes effective
under the related Mortgage Note.

                                       51

      Rate Cap: Each of the Group 1 Net WAC Rate, the Group 2 Net WAC Rate and
the Mezzanine Net WAC Rate.

      Rate Cap Carryover Amount: If on any Distribution Date, the Accrued
Certificate Interest for any Offered Certificate is based on a Rate Cap, the
excess of (i) the amount of interest such Class would have been entitled to
receive on such Distribution Date based on the lesser of its Pass-Through Rate
or, other than with respect to the Group 3 Certificates, 10.500% over (ii) the
amount of interest such Class received on such Distribution Date based on the
applicable Rate Cap, together with the unpaid portion of any such excess from
prior Distribution Dates (and interest accrued thereon at the lesser of
then-applicable Pass-Through Rate on such Class or, other than with respect to
the Group 3 Certificates, 10.500%.

      Rate Cap Carryover Reserve Account: The Eligible Account created and
maintained by the Securities Administrator pursuant to Section 3.09(g) in the
name of the Securities Administrator, on behalf of the Trustee, for the benefit
of the Holders of the Offered Certificates and designated "Wells Fargo Bank,
N.A., as Securities Administrator for U.S. Bank National Association, as
Trustee, in trust for registered holders of Banc of America Funding Corporation
Mortgage Pass-Through Certificates, Series 2006-G." Funds in the Rate Cap
Carryover Reserve Account shall be held in trust for the Holders of the Offered
Certificates for the uses and purposes set forth in this Agreement.

      Rate Ceiling: The maximum per annum Mortgage Interest Rate permitted under
the related Mortgage Note and indicated on the related Mortgage Loan Schedule.

      Rate Floor: The minimum per annum Mortgage Interest Rate permitted under
the related Mortgage Note and indicated on the related Mortgage Loan Schedule.

      Rating Agency: Each of S&P and Moody's. If any such organization or a
successor is no longer in existence, "Rating Agency" shall be such nationally
recognized statistical rating organization, or other comparable Person, as is
designated by the Depositor, notice of which designation shall be given to the
Trustee, the Servicer and the Securities Administrator. References herein to a
given rating or rating category of a Rating Agency shall mean such rating
category without giving effect to any modifiers.

      Realized Loss: With respect to each Liquidated Mortgage Loan, an amount as
of the date of such liquidation, equal to (i) the unpaid principal balance of
the Liquidated Mortgage Loan as of the date of such liquidation, plus (ii)
interest at the Net Mortgage Interest Rate from the Due Date as to which
interest was last paid or advanced (and not reimbursed) to Certificateholders up
to the Due Date in the month in which Liquidation Proceeds are required to be
distributed on the Stated Principal Balance of such Liquidated Mortgage Loan
from time to time, minus (iii) the Liquidation Proceeds, if any, received during
the month in which such liquidation occurred, to the extent applied as
recoveries of interest at the Net Mortgage Interest Rate and to principal of the
Liquidated Mortgage Loan. With respect to each Mortgage Loan that has become the
subject of a Deficient Valuation, if the principal amount due under the related
Mortgage Note has been reduced, the difference between the principal balance of
the Mortgage Loan outstanding immediately prior to such Deficient Valuation and
the principal balance of the Mortgage Loan as reduced by the Deficient
Valuation. With respect to each Mortgage Loan that has become the

                                       52

subject of a Debt Service Reduction and any Distribution Date, the amount, if
any, by which the principal portion of the related Monthly Payment has been
reduced.

      Realized Loss Amortization Amount: Any of the Super Senior Support
Realized Loss Amortization Amount, Class M-1 Realized Loss Amortization Amount,
the Class M-2 Realized Loss Amortization Amount, the Class M-3 Realized Loss
Amortization Amount, the Class M-4 Realized Loss Amortization Amount, the Class
M-5 Realized Loss Amortization Amount, the Class M-6 Realized Loss Amortization
Amount and the Class M-7 Realized Loss Amortization Amount.

      Recognition Agreement: With respect to a Cooperative Loan, the recognition
agreement between the Cooperative and the originator of such Cooperative Loan.

      Record Date: With respect to the Certificates (other than the Group 3,
Class CE and Class R Certificates), the Business Day immediately preceding each
Distribution Date; provided, however, if Definitive Certificates are issued for
any of such Certificates, the Record Date for such Certificates will be the last
Business Day of the month preceding such Distribution Date. With respect to the
Group 3, Class CE and Class R Certificates, the last Business Day of the month
immediately preceding the month in which the related Distribution Date occurs.

      Recovery: Any amount received on a Mortgage Loan subsequent to such
Mortgage Loan being determined to be a Liquidated Mortgage Loan.

      Regulation AB: Subpart 229.1100 - Asset Backed Securities (Regulation AB),
17 C.F.R. ss.ss.229.1100 - 229.1123, as such may be amended from time to time,
and subject to such clarification and interpretation as have been provided by
the Commission in the adopting release (Asset-Backed Securities, Securities Act
Release No. 33-8518, 70 Fed. Reg. 1,506, 1,531 (Jan. 7, 2005)) or by the staff
of the Commission, or as may be provided by the Commission or its staff from
time to time.

      Reimbursement Amount: As defined in Section 2.02.

      Related Group: For Loan Group 1, Group 1; for Loan Group 2, Group 2; and
for Loan Group 3, Group 3.

      Related Loan Group: For Group 1, Loan Group 1; for Group 2, Loan Group 2;
and for Group 3, Loan Group 3.

      Relevant Servicing Criteria: The Servicing Criteria applicable to the
various parties, as set forth on Exhibit M attached hereto. For clarification
purposes, multiple parties can have responsibility for the same Relevant
Servicing Criteria. With respect to a Servicing Function Participant engaged by
the Servicer, the Securities Administrator or the Custodian, the term "Relevant
Servicing Criteria" may refer to a portion of the Relevant Servicing Criteria
applicable to such parties.

      Relief Act: The Servicemembers Civil Relief Act, as it may be amended from
time to time.

                                       53

      Relief Act Reduction: With respect to any Distribution Date, for any
Mortgage Loan as to which there has been a reduction in the amount of interest
collectible thereon for the related Collection Period as a result of the
application of the Relief Act or comparable state legislation, the amount, if
any, by which (i) interest collectible on such Mortgage Loan for such Collection
Period is less than (ii) interest accrued pursuant to the terms of the Mortgage
Note on the same principal amount and for the same period as the interest
collectible on such Mortgage Loan for the related Collection Period.

      REMIC: A "real estate mortgage investment conduit" within the meaning of
Section 860D of the Code.

      REMIC Certificate Maturity Date: The "latest possible maturity date" of
the Regular Certificates as that term is defined in Section 2.07.

      REMIC Provisions: Provisions of the federal income tax law relating to
real estate mortgage investment conduits, which appear at Section 860A through
860G of Subchapter M of Chapter 1 of the Code, and related provisions, and
regulations promulgated thereunder, as the foregoing may be in effect from time
to time, as well as provisions of applicable state laws.

      Remittance Date: The 18th day of each month beginning in August 2006 (or,
if such day is not a Business Day, the preceding Business Day).

      REO Disposition Period: As defined in Section 3.14.

      REO Proceeds: Proceeds, net of any related expenses of the Servicer
received in respect of any REO Property (including, without limitation, proceeds
from the rental of the related Mortgaged Property) which are received prior to
the final liquidation of such Mortgaged Property.

      REO Property: A Mortgaged Property acquired by the Servicer on behalf of
the Trust through foreclosure or deed-in-lieu of foreclosure in connection with
a defaulted Mortgage Loan.

      Reportable Event: As defined in Section 3.22(d).

      Reporting Servicer: As defined in Section 3.22(c)(i).

      Request for Release: The Request for Release submitted by the Servicer to
the Custodian, on behalf of the Trustee, substantially in the form attached
hereto as Exhibit E.

      Required Insurance Policy: With respect to any Mortgage Loan, any
insurance policy which is required to be maintained from time to time under this
Agreement in respect of such Mortgage Loan.

      Reserve Interest Rate: As defined in Section 5.09.

      Residual Certificate: The Class R Certificate.

                                       54

      Responsible Officer: When used with respect to the Trustee or the
Securities Administrator, any officer of the Corporate Trust Department of the
Trustee or the Securities Administrator, as applicable, including any Senior
Vice President, any Vice President, any Assistant Vice President, any Assistant
Secretary, any Trust Officer or Assistant Trust Officer, or any other officer of
the Trustee or Securities Administrator, as applicable, customarily performing
functions similar to those performed by any of the above designated officers and
having direct responsibility for the administration of this Agreement.

      S&P: Standard & Poor's, a division of The McGraw-Hill Companies, Inc., or
any successor thereto.

      Sarbanes-Oxley Certification: As defined in Section 3.22(e).

      Securities Administrator: Wells Fargo Bank, N.A., and its
successors-in-interest and, if a successor securities administrator is appointed
hereunder, such successor, as securities administrator.

      Security Agreement: With respect to a Cooperative Loan, the agreement or
mortgage creating a security interest in favor of the originator of the
Cooperative Loan in the related Cooperative Stock.

      Senior Certificates: The Class 1-A-1, Class 2-A-1, Class 2-A-2, Class
2-A-3, Class 2-A-4, Class 2-A-5, Class 3-A-1, Class 3-A-2 and Class 3-A-3
Certificates.

      Senior Enhancement Percentage: For any Distribution Date, the percentage
obtained by dividing (x) the sum of (i) the aggregate Class Certificate Balance
of the Class M Certificates before taking into account distributions on such
Distribution Date and (ii) the Overcollateralization Amount as of the prior
Distribution Date by (y) the aggregate Stated Principal Balance of the Mortgage
Loans as of the last day of the related Collection Period.

      Senior Principal Distribution Amount: As of any Distribution Date (i)
before the Stepdown Date or as to which a Trigger Event is in effect, the
Principal Distribution Amount and (ii) on or after the Stepdown Date and as long
as a Trigger Event is not in effect, the excess of (a) the aggregate Class
Certificate Balance of the Senior Certificates immediately prior to such
Distribution Date over (b) the lesser of (x) the product of (1) 90.10% and (2)
the aggregate Stated Principal Balance of the Mortgage Loans as of the last day
of the related Collection Period and (y) the amount by which the aggregate
Stated Principal Balance of the Mortgage Loans as of the last day of the related
Collection Period exceeds the product of (1) 0.35% and (2) the Cut-off Date Pool
Principal Balance.

      Senior Specified Enhancement Percentage: For any date of determination
thereof, 9.90%.

      Servicer: Wells Fargo Bank, N.A., in its capacity as servicer of the
Mortgage Loans, or any successor servicer appointed as herein provided.

      Servicer Custodial Account: The account or accounts created and maintained
by the Servicer pursuant to Section 3.09(b) which must be an Eligible Account.

                                       55

      Servicer Custodial Account Reinvestment Income: For each Distribution
Date, all income and gains net of any losses realized since the preceding
Distribution Date from Permitted Investments of funds in the Servicer Custodial
Account.

      Servicer's Certificate: The monthly report required by Section 4.01.

      Servicing Advance: All customary, reasonable and necessary "out of pocket"
costs and expenses incurred in the performance by the Servicer of its servicing
obligations, including, but not limited to (i) the preservation, restoration and
protection of a Mortgaged Property, (ii) expenses reimbursable to the Servicer
pursuant to Section 3.14 and any enforcement or judicial proceedings, including
foreclosures, (iii) the management and liquidation of any REO Property and (iv)
compliance with the obligations under Section 3.12.

      Servicing Criteria: The criteria set forth in paragraph (d) of Item 1122
of Regulation AB, as such may be amended from time to time.

      Servicing Fee: With respect to each Mortgage Loan and Distribution Date,
the amount of the fee payable to the Servicer, which shall, for such
Distribution Date, be equal to one-twelfth of the product of the Servicing Fee
Rate with respect to such Mortgage Loan and the Stated Principal Balance of such
Mortgage Loan, subject to reduction as provided in Section 3.17. Such fee shall
be payable monthly, computed on the basis of the same Stated Principal Balance
and period respecting which any related interest payment on a Mortgage Loan is
computed. The Servicer's right to receive the Servicing Fee is limited to, and
payable solely from, the interest portion (including recoveries with respect to
interest from Liquidation Proceeds and other proceeds, to the extent permitted
by Section 3.11) of related Monthly Payments collected by the Servicer, or as
otherwise provided under Section 3.11.

      Servicing Fee Rate: With respect to each Mortgage Loan, 0.2500% per annum.

      Servicing Function Participant: Any Subcontractor utilized by the
Servicer, the Securities Administrator or the Custodian that is "participating
in the servicing function" within the meaning of Item 1122 of Regulation AB.

      Servicing Officer: Any officer of the Servicer involved in, or responsible
for, the administration and servicing of the Mortgage Loans whose name appears
on a list of servicing officers furnished to the Trustee and the Securities
Administrator by the Servicer, as such list may from time to time be amended.

      Servicing Transfer Costs: All reasonable costs and expenses (including
attorney's fees) incurred by the Trustee in connection with the transfer of
servicing from a predecessor servicer, including, without limitation, any costs
or expenses associated with the complete transfer of all servicing data and the
completion, correction or manipulation of such servicing data as may be required
by the Trustee to correct any errors or insufficiencies in the servicing data or
otherwise to enable the Trustee to service the Mortgage Loans properly and
effectively.

      Similar Law: As defined in Section 6.02(e).

                                       56

      Sponsor: Bank of America, National Association, a national banking
association, or its successor in interest, as seller of the Mortgage Loans under
the Mortgage Loan Purchase Agreement.

      Stated Principal Balance: As to any Mortgage Loan and Due Date, the unpaid
principal balance of such Mortgage Loan as of such date as specified in the
amortization schedule at the time relating thereto (before any adjustment to
such amortization schedule by reason of any moratorium or similar waiver or
grace period) after giving effect to any previous partial Principal Prepayments
and Liquidation Proceeds allocable to principal (other than with respect to any
Liquidated Mortgage Loan) and to the payment of principal due on such Due Date
and irrespective of any delinquency in payment by the related Mortgagor, and
after giving effect to any Deficient Valuation.

      Stepdown Date: The earlier to occur of (i) the Distribution Date on which
the aggregate Class Certificate Balance of the Senior Certificates is reduced to
zero and (ii) the later to occur of (x) the Distribution Date in August 2009 and
(y) the Distribution Date on which the Senior Enhancement Percentage is greater
than or equal to the Senior Specified Enhancement Percentage.

      Subcontractor: Any vendor, subcontractor or other Person that is not
responsible for the overall servicing of Mortgage Loans but performs one or more
discrete functions identified in Item 1122(d) of Regulation AB with respect to
Mortgage Loans under the direction or authority of the Servicer, the Securities
Administrator or the Custodian.

      Subordinate Certificates: The Class M and Class CE Certificates.

      Subordinated Applied Realized Loss Amount: With respect to each
Distribution Date, the excess, if any, of (a) the aggregate of the Class
Certificate Balances of the Certificates (after taking into account the
distribution of the Principal Distribution Amount on such Distribution Date and
any increase in the Class Certificate Balance of a Class of Certificates as a
result of Recoveries) over (b) the aggregate Stated Principal Balance of the
Mortgage Loans as of the last day of the related Collection Period.

      Substitute Mortgage Loan: A Mortgage Loan substituted for a Defective
Mortgage Loan which must, on the date of such substitution (i) have a Stated
Principal Balance, after deduction of the principal portion of the Monthly
Payment due in the month of substitution, not in excess of the Stated Principal
Balance of the Defective Mortgage Loan; (ii) have a Net Mortgage Interest Rate
not less than, and not more than two percent (2%) greater than that of the
Defective Mortgage Loan; (iii) be of the same type as the Defective Mortgage
Loan; (iv) have a Loan-to-Value Ratio not higher than that of the Defective
Mortgage Loan; (v) have a credit score not less than that of the Defective
Mortgage Loan; (vi) have a Gross Margin not less than that of the Defective
Mortgage Loan; (vii) have a credit grade not lower in quality than that of the
Defective Mortgage Loan; (viii) have a remaining term to maturity not greater
than (and not more than one year less than) that of the Defective Mortgage Loan;
(ix) have the same lien priority as the Defective Mortgage Loan; (x) have the
same Index as the Defective Mortgage Loan; and (xi) comply with each Mortgage
Loan representation and warranty set forth in this Agreement, the Mortgage Loan
Purchase Agreement and the Purchase Agreement. More than one Substitute

                                       57

Mortgage Loan may be substituted for a Defective Mortgage Loan if such
Substitute Mortgage Loans meet the foregoing attributes in the aggregate.

      Substitution Adjustment Amount: As defined in Section 2.02.

      Super Senior Support Realized Loss Amortization Amount: As to the Class
2-A-5 and Class 3-A-3 Certificates and as of any Distribution Date, the lesser
of (x) the Unpaid Realized Loss Amount for such Certificates as of such
Distribution Date and (y) the excess of (i) the Monthly Excess Cashflow Amount
over (ii) the amount distributed pursuant to clauses (A) and (B) of Section
5.02(c)(i) for such Distribution Date.

      Supplemental Interest Trust: The trust created pursuant to Section 5.12 of
this Agreement and designated as the "Supplemental Interest Trust," consisting
of the Interest Rate Agreements, the Class Swap-IO Interest, the Supplemental
Interest Trust Trustee's rights under the Interest Rate Agreements, the Swap
Account and the right to receive payments in respect of the Class IO
Distribution Amount. The Supplemental Interest Trust is not an asset of any
REMIC created hereunder.

      Supplemental Interest Trust Trustee: Wells Fargo Bank, N.A., or any
successor Supplemental Interest Trust Trustee appointed as herein provided.

      Swap Account: The Eligible Account or Accounts created and maintained
pursuant to Section 5.11.

      Swap LIBOR: A per annum rate equal to the floating rate payable by the
Swap Provider under the Interest Rate Swap Agreement.

      Swap Notional Amount: With respect to each Distribution Date, the related
notional amount set forth on Schedule A of the Interest Rate Swap Agreement.

      Swap Provider: Bank of America, National Association.

      Swap Termination Payment: Any payment payable by the Supplemental Interest
Trust or the Swap Provider upon termination of the Interest Rate Swap Agreement
as a result of an Event of Default (as defined in the Interest Rate Swap
Agreement) or a Termination Event (as defined in the Interest Rate Swap
Agreement).

      Targeted Overcollateralization Amount: As of any Distribution Date (x)
prior to the Stepdown Date, 0.35% of the Cut-off Date Pool Principal Balance and
(y) on and after the Stepdown Date, (i) if a Trigger Event has not occurred, the
greater of (A) 0.70% of the aggregate Stated Principal Balance of the Mortgage
Loans as of last day of the related Collection Period and (B) 0.35% of the
Cut-off Date Pool Principal Balance and (ii) if a Trigger Event has occurred,
the Targeted Overcollateralization Amount for the immediately preceding
Distribution Date.

      Tax Matters Person: Any person designated as "tax matters person" in
accordance with Section 5.06 and the manner provided under Treasury Regulation
ss. 1.860F-4(d) and Treasury Regulation ss. 301.6231(a)(7)-1.

                                       58

      Telerate Page 3750: The display page currently so designated on the
Reuters Telerate Service (or such other page as may replace the Telerate Page
3750 page on that service for the purpose of displaying London interbank offered
rates of major banks).

      Treasury Regulations: The final and temporary regulations promulgated
under the Code by the U.S. Department of the Treasury.

      Trigger Event: With respect to any Distribution Date, if (i) the
three-month rolling average of 60+ Day Delinquent Loans equals or exceeds 40.00%
of the Senior Enhancement Percentage or (ii) the aggregate amount of Realized
Losses incurred on the Mortgage Loans since the Cut-off Date through the last
day of the related Collection Period (reduced by the aggregate amount of
Recoveries related to the Mortgage Loans received since the Cut-off Date through
the last day of the related Collection) divided by the Cut-off Date Pool
Principal Balance exceeds the applicable percentages set forth below with
respect to such Distribution Date:

       Distribution Date Occurring In                    Percentage
      ---------------------------------                  ----------
      August 2008 through July 2009                         0.15%
      August 2009 through July 2010                         0.30%
      August 2010 through July 2011                         0.55%
      August 2011 through July 2012                         0.75%
      August 2012 and thereafter                            0.90%

      Trust: The trust created by this Agreement, which shall be named the "Banc
of America Funding 2006-G Trust."

      Trust Estate: The segregated pool of assets subject hereto, constituting
the primary trust created hereby and to be administered hereunder, with respect
to a portion of which three REMIC elections are to be made, such entire Trust
Estate consisting of: (i) such Mortgage Loans as from time to time are subject
to this Agreement, together with the Mortgage Files relating thereto, and
together with all collections thereon and proceeds thereof, (ii) any REO
Property, together with all collections thereon and proceeds thereof, (iii) the
Trustee's rights with respect to the Mortgage Loans under all insurance policies
required to be maintained pursuant to this Agreement and any proceeds thereof,
(iv) the right to receive amounts, if any, payable on behalf of any Mortgagor
from the Buy-Down Account relating to any Buy-Down Mortgage Loan, (v) the
Depositor's rights under the Mortgage Loan Purchase Agreement and the Purchase
Agreement (including any security interest created thereby) and (vi) the
Servicer Custodial Account, the Rate Cap Carryover Reserve Account, and the
Certificate Account and such assets that are deposited therein from time to time
and any investments thereof, together with any and all income, proceeds and
payments with respect thereto. The Buy-Down Account shall not be part of the
Trust Estate.

      Trustee: U.S. Bank National Association, and its successors-in-interest
and, if a successor trustee is appointed hereunder, such successor, as trustee.

                                       59

      Uncertificated Accrued Interest: With respect to each Uncertificated
Lower-Tier Interest or Uncertificated Middle-Tier Interest on each Distribution
Date, an amount equal to one month's interest at the related Uncertificated
Lower-Tier REMIC Pass-Through Rate or Uncertificated Middle-Tier REMIC
Pass-Through Rate on the Uncertificated Balance or Uncertificated Notional
Amount of such Uncertificated Lower-Tier Interest or Uncertificated Middle-Tier
Interest. With respect to each Upper-Tier Interest on each Distribution Date, an
amount equal to one month's interest at the related "Interest Rate" designated
in the Preliminary Statement on the related Class Certificate Balance,
Uncertificated Notional Amount, or Notional Amount, as applicable. In each case,
Uncertificated Accrued Interest will be reduced by any Relief Act Reductions
(allocated to such Uncertificated Lower-Tier Interest, Uncertificated
Middle-Tier Interest or Upper-Tier Interest based on their respective
entitlements to interest irrespective of any Relief Act Reductions for such
Distribution Date).

      Uncertificated Balance: The amount of any Uncertificated Lower-Tier
Interest or Uncertificated Middle-Tier Interest (other than the Class MRIO
Interest) outstanding as of any date of determination. As of the Closing Date,
the Uncertificated Balance of each Uncertificated Lower-Tier Interest or
Uncertificated Middle-Tier Interest (other than the Class MRIO Interest) shall
equal the amount set forth in the Preliminary Statement hereto as its initial
Uncertificated Balance. On each Distribution Date, the Uncertificated Balance of
each Uncertificated Lower-Tier Interest or Uncertificated Middle-Tier Interest
(other than the Class MRIO Interest) shall be reduced by all distributions of
principal made on such Uncertificated Lower-Tier Interest or Uncertificated
Middle-Tier Interest on such Distribution Date pursuant to Section 5.02 and, if
and to the extent necessary and appropriate, shall be further reduced on such
Distribution Date by Realized Losses as provided in Section 5.03. The
Uncertificated Balance of the Class MRZZ Interest shall be increased by interest
deferrals as provided in Section 5.02. The Uncertificated Balance of each
Uncertificated Lower-Tier Interest or Uncertificated Middle-Tier Interest shall
never be less than zero.

      Uncertificated Lower-Tier Interest: A regular interest in the Lower-Tier
REMIC which is held as an asset of the Middle-Tier REMIC and is entitled to
monthly distributions as provided in Section 5.02 hereof.

     Uncertificated Lower-Tier REMIC Pass-Through Rate: With respect to
Lower-Tier Regular Interest ILR-I, a per annum rate equal to the weighted
average of the Net Mortgage Rates of the Group 1 Mortgage Loans. With respect to
Lower-Tier Regular Interest IILR-I, a per annum rate equal to the weighted
average of the Net Mortgage Rates of the Group 2 Mortgage Loans. With respect to
Lower-Tier Regular Interest IIILR-I, a per annum rate equal to the weighted
average of the Net Mortgage Rates of the Group 3 Mortgage Loans. With respect to
each LR Interest ending with the designation "A", a per annum rate equal to the
weighted average of the Net Mortgage Rates of the Mortgage Loans of the related
Loan Group multiplied by 2, subject to a maximum rate of the Fixed Payer Rate
multiplied by 2. With respect to each LR Interest ending with the designation
"B", the greater of (x) a per annum rate equal to the excess, if any, of (i) 2
multiplied by the weighted average of the Net Mortgage Rates of the Mortgage
Loans of the related Loan Group over (ii) the Fixed Payer Rate multiplied by 2
and (y) 0.00%.

      Uncertificated Middle-Tier Interest: A regular interest for purposes of
the REMIC Provisions in the Middle-Tier REMIC which is held as an asset of the
Upper-Tier REMIC and is

                                       60

entitled to monthly distributions as provided in Section 5.02 hereof. Any of the
Class MRAA Interest, Class MR1A1 Interest, Class MR2A1 Interest, Class MR2A2
Interest, Class MR2A3 Interest, Class MR2A4 Interest, Class MR2A5 Interest,
Class MR3A1 Interest, Class MR3A2 Interest, Class MR3A3 Interest, Class MRM1
Interest, Class MRM2 Interest, Class MRM3 Interest, Class MRM4 Interest, Class
MRM5 Interest, Class MRM6 Interest, Class MRM7 Interest, Class MRZZ Interest,
the MR1SUB Interest, the MR1GRP Interest, MR2SUB Interest, the MR2GRP Interest,
MR3SUB Interest, the MR3GRP Interest, the MRXX Interest and Class MRIO Interest
are Uncertificated Middle-Tier Interests.

     Uncertificated Middle-Tier REMIC Pass-Through Rate: With respect to the
Class MRAA Interest, the Class MR1A1 Interest, the Class MR2A1 Interest, the
Class MR2A2 Interest, the Class MR2A3 Interest, the Class MR2A4 Interest, the
Class MR2A5 Interest, the Class MR3A1 Interest, the Class MR3A2 Interest, the
Class MR3A3 Interest, the Class MRM1 Interest, the Class MRM2 Interest, the
Class MRM3 Interest, the Class MRM4 Interest, the Class MRM5 Interest, the Class
MRM6 Interest, the Class MRZZ Interest, the MR1SUB Interest, the MR2SUB
Interest, the MR3SUB Interest, and the MRXX Interest, Middle-Tier REMIC Regular
Interest LT1SUB, Middle-Tier REMIC Regular Interest LT2SUB and Middle-Tier REMIC
Regular Interest LTXX, a per annum rate (but not less than zero) equal to the
weighted average of: (1) (x) with respect to the Lower-Tier Regular Interest
ILR-I, the Lower-Tier Regular Interest IILR-I, the Lower-Tier Regular Interest
IIILR-I, and each LR Interest ending with the designation "B", the weighted
average of the Uncertificated Lower-Tier REMIC Pass-Through Rate for such LR
Interests, weighted on the basis of the Uncertificated Balances of such LR
Interests for each such Distribution Date; and (y) with respect to LR Interests
ending with the designation "A", for each Distribution Date listed below, the
weighted average of the rates listed below for each such LR Interest listed
below, weighted on the basis of the Uncertificated Balances of each such LR
Interest for each such Distribution Date (for avoidance of doubt, each reference
below to "LR" refers to each corresponding class of Lower-Tier Group 1 Regular
Interest, Lower-Tier Group 2 Regular Interest and Lower-Tier Group 3 Regular
Interest); and (2) with respect to each LR Interest ending in "GRP," a per annum
rate (but not less than zero) equal to the weighted average of (x) with respect
to LR Interest I, LR Interest II and LR Interest III and the related class of
corresponding Lower-Tier Group 1 Regular Interests, Lower-Tier Group 2 Regular
Interests or Lower-Tier Group 3 Regular Interests of only the related Loan Group
ending with the designation "B", the weighted average of the Uncertificated
Lower-Tier REMIC Pass-Through Rate for such LR Interests, weighted on the basis
of the Uncertificated Balances of each such LR Interest for each such
Distribution Date and (y) with respect to LR Interests ending with the
designation "A," for each Distribution Date listed below, the weighted average
of the rates listed below for the related class of corresponding Lower-Tier
Group 1 Regular Interests, Lower-Tier Group 2 Regular Interests or Lower-Tier
Group 3 Regular Interests of only the related Loan Group listed below, weighted
on the basis of the Uncertificated Balances of each such Uncertificated
Lower-Tier Interest for each such Distribution Date (for avoidance of doubt,
each reference below to "LR" below refers to those LR Interests ending in "GRP"
and only to the corresponding class of Lower-Tier Group 1 Regular Interest,
Lower-Tier Group 2 Regular Interest and Lower-Tier Group 3 Regular Interest from
the related Loan Group).

     With respect to Middle-Tier REMIC Regular Interest LT2GRP, a per annum rate
(but not less than zero) equal to the weighted average of (x) with respect to
Uncertificated Lower-Tier Regular Interest IILR-I and REMIC I Group 2 Regular
Interests ending with the designation "B", the weighted

                                       61

average of the Uncertificated Lower-Tier REMIC Pass-Through Rate for such
Uncertificated Lower-Tier Interests, weighted on the basis of the Uncertificated
Principal Balances of each such Uncertificated Lower-Tier Interest for each such
Distribution Date and (y) with respect to REMIC I Group 2 Regular Interests
ending with the designation "A", for each Distribution Date listed below, the
weighted average of the rates listed below for such Uncertificated Lower-Tier
Interests listed below, weighted on the basis of the Uncertificated Principal
Balances of each such Uncertificated Lower-Tier Interest for each such
Distribution Date; (3) with respect to LR Interest MRIO, and (i) the first
Distribution Date through the 60th Distribution Date, the excess of (x) the
weighted average of the Uncertificated Lower-Tier REMIC Pass-Through Rate for LR
Interests including the designation "A," over (y) 2 multiplied by Swap LIBOR and
(ii) thereafter, 0.00%.

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

        1           LR-1-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

        2           LR-2-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A                      Uncertificated Lower-Tier REMIC Pass-Through Rate

        3           LR-3-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A and LR-2-A           Uncertificated Lower-Tier REMIC Pass-Through Rate

        4           LR-4-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-3-A       Uncertificated Lower-Tier REMIC Pass-Through Rate

        5           LR-5-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-4-A       Uncertificated Lower-Tier REMIC Pass-Through Rate

        6           LR-6-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a

                                       62

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

                                                maximum rate of Uncertificated Lower-Tier REMIC
                                                Pass-Through Rate

                    LR-1-A through LR-5-A       Uncertificated Lower-Tier REMIC Pass-Through Rate

        7           LR-7-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-6-A       Uncertificated Lower-Tier REMIC Pass-Through Rate

        8           LR-8-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-7-A       Uncertificated Lower-Tier REMIC Pass-Through Rate

        9           LR-9-A through LR-60-A      2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-8-A       Uncertificated Lower-Tier REMIC Pass-Through Rate

        10          LR-10-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-9-A       Uncertificated Lower-Tier REMIC Pass-Through Rate

        11          LR-11-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-10-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        12          LR-12-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                                       63

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

                    LR-1-A through LR-11-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        13          LR-13-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-12-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        14          LR-14-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-13-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        15          LR-15-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-14-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        16          LR-16-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-15-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        17          LR-17-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-16-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        18          LR-18-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                                       64

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

                    LR-1-A through LR-17-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        19          LR-19-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-18-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        20          LR-20-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-19-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        21          LR-21-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-20-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        22          LR-22-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-21-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        23          LR-23-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-22-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        24          LR-24-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-23-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

                                       65

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

        25          LR-25-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-24-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        26          LR-26-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-25-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        27          LR-27-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-26-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        28          LR-28-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-27-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        29          LR-29-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-28-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        30          LR-30-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-29-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        31          LR-31-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a

                                       66

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

                                                maximum rate of Uncertificated Lower-Tier REMIC
                                                Pass-Through Rate

                    LR-1-A through LR-30-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        32          LR-32-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-31-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        33          LR-33-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-32-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        34          LR-34-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-33-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        35          LR-35-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-34-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        36          LR-36-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-35-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        37          LR-37-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                                       67

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

                    LR-1-A through LR-36-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        38          LR-38-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-37-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        39          LR-39-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-38-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        40          LR-40-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-39-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        41          LR-41-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-40-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        42          LR-42-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-41-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        43          LR-43-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-42-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

                                       68

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

        44          LR-44-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-43-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        45          LR-45-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-44-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        46          LR-46-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-45-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        47          LR-47-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-46-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        48          LR-48-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-47-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        49          LR-49-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-48-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

                                       69

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

        50          LR-50-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-49-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        51          LR-51-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-50-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        52          LR-52-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-51-A      Uncertificated Lower-Tier REMIC Pass- Through Rate

        53          LR-53-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-52-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        54          LR-54-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-53-A      Uncertificated Lower-Tier REMIC Pass- Through Rate

        55          LR-55-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-54-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        56          LR-56-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                                       70

                    Uncertificated Lower-Tier
Distribution Date           Interest                                     Rate
-----------------   -------------------------   ------------------------------------------------------

                    LR-1-A through LR-55-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        57          LR-57-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-56-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        58          LR-58-A through LR-60-A     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-57-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        59          LR-59-A and LR-60-A         2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-58-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

        60          LR-60-A                     2 multiplied by Swap LIBOR, subject to a maximum rate
                                                of Uncertificated Lower-Tier REMIC Pass-Through Rate

                    LR-1-A through LR-59-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

    Thereafter      LR-1-A through LR-60-A      Uncertificated Lower-Tier REMIC Pass-Through Rate

      Uncertificated Notional Amount: With respect to the Class MRIO Interest
and each Distribution Date listed below, a notional amount equal to the
aggregate Uncertificated Balance of the related LR Interests ending with the
designation "A" listed below:

        Distribution Date           Uncertificated Lower-Tier Interests
       -------------------         -------------------------------------
                1                          LR-1-A through LR-60-A
                2                          LR-2-A through LR-60-A
                3                          LR-3-A through LR-60-A
                4                          LR-4-A through LR-60-A
                5                          LR-5-A through LR-60-A
                6                          LR-6-A through LR-60-A

                                       71

        Distribution Date           Uncertificated Lower-Tier Interests
       -------------------         -------------------------------------
                7                          LR-7-A through LR-60-A
                8                          LR-8-A through LR-60-A
                9                          LR-9-A through LR-60-A
               10                         LR-10-A through LR-60-A
               11                         LR-11-A through LR-60-A
               12                         LR-12-A through LR-60-A
               13                         LR-13-A through LR-60-A
               14                         LR-14-A through LR-60-A
               15                         LR-15-A through LR-60-A
               16                         LR-16-A through LR-60-A
               17                         LR-17-A through LR-60-A
               18                         LR-18-A through LR-60-A
               19                         LR-19-A through LR-60-A
               20                         LR-20-A through LR-60-A
               21                         LR-21-A through LR-60-A
               22                         LR-22-A through LR-60-A
               23                         LR-23-A through LR-60-A
               24                         LR-24-A through LR-60-A
               25                         LR-25-A through LR-60-A
               26                         LR-26-A through LR-60-A
               27                         LR-27-A through LR-60-A
               28                         LR-28-A through LR-60-A
               29                         LR-29-A through LR-60-A
               30                         LR-30-A through LR-60-A
               31                         LR-31-A through LR-60-A
               32                         LR-32-A through LR-60-A
               33                         LR-33-A through LR-60-A
               34                         LR-34-A through LR-60-A
               35                         LR-35-A through LR-60-A
               36                         LR-36-A through LR-60-A
               37                         LR-37-A through LR-60-A
               38                         LR-38-A through LR-60-A
               39                         LR-39-A through LR-60-A
               40                         LR-40-A through LR-60-A
               41                         LR-41-A through LR-60-A
               42                         LR-42-A through LR-60-A
               43                         LR-43-A through LR-60-A
               44                         LR-44-A through LR-60-A
               45                         LR-45-A through LR-60-A
               46                         LR-46-A through LR-60-A
               47                         LR-47-A through LR-60-A
               48                         LR-48-A through LR-60-A
               49                         LR-49-A through LR-60-A
               50                         LR-50-A through LR-60-A
               51                         LR-51-A through LR-60-A

                                       72

        Distribution Date           Uncertificated Lower-Tier Interests
       -------------------         -------------------------------------
               52                         LR-52-A through LR-60-A
               53                         LR-53-A through LR-60-A
               54                         LR-54-A through LR-60-A
               55                         LR-55-A through LR-60-A
               56                         LR-56-A through LR-60-A
               57                         LR-57-A through LR-60-A
               58                         LR-58-A through LR-60-A
               59                         LR-59-A through LR-60-A
               60                                 LR-60-A
           Thereafter                              $0.00

      With respect to the Class Swap-IO Interest and any Distribution Date, an
amount equal to the Uncertificated Notional Amount of the Class MRIO Interest.

      Underwriter's Exemption: Prohibited Transaction Exemption 2002-41, 67 Fed.
Reg. 54487 (2002), or any successor exemption.

      Uninsured Cause: Any cause of damage to a Mortgaged Property, the cost of
the complete restoration of which is not fully reimbursable under the hazard
insurance policies required to be maintained pursuant to Section 3.12.

      Unpaid Realized Loss Amount: For the Class 2-A-5, Class 3-A-3 and any
Class of Class M Certificates and as to any Distribution Date, the excess of (x)
the aggregate Applied Realized Loss Amounts allocated to such Class for all
prior Distribution Dates over (y) the sum of (a) the cumulative amount of any
Recoveries allocated to such Class, (b) the aggregate Realized Loss Amortization
Amounts with respect to such Class for all prior Distribution Dates and (c) the
cumulative amount of Unpaid Realized Loss Amounts reimbursed with respect to
such Class for all prior Distribution Dates from the Supplemental Interest
Trust.

      Upper-Tier Interest: The REMIC regular interests in the Upper-Tier REMIC
as set forth and designated in the Preliminary Statement, each of which (other
than the Class Swap-IO Interest) corresponds to a Class of Certificates with the
same designation.

      Upper-Tier Certificate Sub-Account: The sub-account of the Certificate
Account designated by the Securities Administrator pursuant to Section 3.09(f).

      Upper-Tier REMIC: As defined in the Preliminary Statement, the assets of
which consist of the Uncertificated Middle-Tier Interests and such amounts as
shall be deemed held in the Upper-Tier Certificate Sub-Account.

      Upper-Tier REMIC Net WAC Rate: For any Distribution Date with respect to
the Upper-Tier REMIC Regular Interests and for purposes of calculating the
Marker Rate and the Maximum MRZZ Uncertificated Interest Deferral Amount, the
weighted average (adjusted for the actual number of days elapsed in the related
Interest Accrual Period) of the Middle-Tier REMIC Pass-Through Rate on the
Uncertificated Middle-Tier Interests (other than the MRIO Interest), weighted on
the basis of the Uncertificated Balance of each such Uncertificated

                                       73

Middle-Tier Interest divided by (ii) an amount equal to (a) 30, divided by (b)
the actual number of days in the Interest Accrual Period.

      U.S. Person: A citizen or resident of the United States, a corporation or
partnership (unless, in the case of a partnership, Treasury Regulations are
adopted that provide otherwise) created or organized in or under the laws of the
United States, any state thereof or the District of Columbia, including an
entity treated as a corporation or partnership for federal income tax purposes,
an estate whose income is subject to United States federal income tax regardless
of its source, or a trust if a court within the United States is able to
exercise primary supervision over the administration of such trust, and one or
more such U.S. Persons have the authority to control all substantial decisions
of such trust (or, to the extent provided in applicable Treasury Regulations,
certain trusts in existence on August 20, 1996 which are eligible to elect to be
treated as U.S. Persons).

      Voting Rights: The portion of the voting rights of all of the Certificates
which is allocated to any Certificate. As of any date of determination, (a) 98%
of all Voting Rights shall be allocated to the Holders of the Senior
Certificates and Class M Certificates in proportion to the Certificate Balances
of their respective Certificates, (b) 1% of all Voting Rights shall be allocated
to the Holders of the Class R Certificates, and (c) 1% of all Voting Rights
shall be allocated to the Holder of the Class CE Certificates.

      Section 1.02  Interest Calculations.

      All calculations of interest with respect to the Group 3 Certificates and
the Class CE Certificates will be made on a 360-day year consisting of twelve
(12) 30-day months. All calculations of interest with respect to the Offered
Certificates (other than the Group 3 Certificates) will be made on a 360-day
year consisting of twelve (12) months, each of which has the actual number of
days in such month. All dollar amounts calculated hereunder shall be rounded to
the nearest penny with one-half of one penny being rounded down.

                                   ARTICLE II

                          CONVEYANCE OF MORTGAGE LOANS
                        ORIGINAL ISSUANCE OF CERTIFICATES

      Section 2.01  Conveyance of Mortgage Loans.

      (a)   The Depositor, concurrently with the execution and delivery hereof,
hereby sells, transfers, assigns, sets over and otherwise conveys to the Trustee
on behalf of the Trust for the benefit of the Certificateholders, without
recourse, all the right, title and interest of the Depositor in and to the
Mortgage Loans, including all interest and principal received on or with respect
to the Mortgage Loans (other than payments of principal and interest due and
payable on the Mortgage Loans on or before the Cut-off Date) and the Depositor's
rights under the Mortgage Loan Purchase Agreement. The foregoing sale, transfer,
assignment and set over does not and is not intended to result in a creation of
an assumption by the Trustee of any obligation of the Depositor or any other
Person in connection with the Mortgage Loans or any agreement or instrument
relating thereto, except as specifically set forth herein. It is agreed and
understood by

                                       74

the parties hereto that it is not intended that any mortgage loan be included in
the Trust that is a "High-Cost Home Loan" as defined in any of (i) the New
Jersey Home Ownership Act effective November 27, 2003, (ii) the New Mexico Home
Loan Protection Act effective January 1, 2004, (iii) the Massachusetts Predatory
Home Loan Practices Act effective November 7, 2004 or (iv) the Indiana Home Loan
Practices Act, effective January 1, 2005.

      (b)   In connection with such transfer and assignment, the Depositor has
delivered or caused to be delivered to the Trustee (or a Custodian on behalf of
the Trustee) for the benefit of the Certificateholders, the following documents
or instruments with respect to each Mortgage Loan so assigned:

            (i)     the original Mortgage Note, endorsed by manual or facsimile
      signature in the following form: "Pay to the order of U.S. Bank National
      Association, as trustee for holders of Banc of America Funding Corporation
      Mortgage Pass-Through Certificates, Series 2006-G, without recourse," with
      all necessary intervening endorsements showing a complete chain of
      endorsement from the originator to the Trustee (each such endorsement
      being sufficient to transfer all right, title and interest of the party so
      endorsing, as noteholder or assignee thereof, in and to that Mortgage
      Note) and, in the case of any Mortgage Loan originated in the State of New
      York documented by a NYCEMA, the NYCEMA, the new Mortgage Note, if
      applicable, the consolidated Mortgage Note and the consolidated Mortgage;

            (ii)    subject to the provisos at the end of this paragraph, a duly
      executed Assignment of Mortgage to "U.S. Bank National Association, as
      trustee for the holders of Banc of America Funding Corporation Mortgage
      Pass-Through Certificates, Series 2006-G" (which may be included in a
      blanket assignment or assignments); provided that, if the related Mortgage
      has not been returned from the applicable public recording office, such
      Assignment of Mortgage may exclude the information to be provided by the
      recording office; and provided, further, if the related Mortgage has been
      recorded in the name of Mortgage Electronic Registration Systems, Inc.
      ("MERS") or its designee, no Assignment of Mortgage in favor of the
      Trustee will be required to be prepared or delivered and instead, the
      Servicer shall enforce the obligations of the Servicer to take all actions
      as are necessary to cause the Trust to be shown as the owner of the
      related Mortgage Loan on the records of MERS for purposes of the system of
      recording transfers of beneficial ownership of mortgages maintained by
      MERS;

            (iii)   the originals of all assumption, modification, consolidation
      or extension agreements, if any, with evidence of recording thereon, if
      any;

            (iv)    the original of any guarantee executed in connection with
      the Mortgage Note;

            (v)     for each Mortgage Loan, if any, which is secured by a
      residential long-term lease, a copy of the lease with evidence of
      recording indicated thereon, or, if the lease is in the process of being
      recorded, a photocopy of the lease, certified by an officer of the
      respective prior owner of such Mortgage Loan or by the applicable title
      insurance

                                       75

      company, closing/settlement/escrow agent or company or closing attorney to
      be a true and correct copy of the lease transmitted for recordation; and

            (vi)    the original of any security agreement, chattel mortgage or
      equivalent document executed in connection with the Mortgage;

provided, however, that on the Closing Date, with respect to item (iii), if an
Assignment of Mortgage is required to be recorded as set forth below, the
Depositor has delivered to the Trustee (or a Custodian on behalf of the Trustee)
a copy of such Assignment of Mortgage in blank rather than in the name of the
Trustee and has caused the Servicer to retain the completed Assignment of
Mortgage for recording as described below, unless such Mortgage has been
recorded in the name of MERS or its designee. In addition, if the Depositor is
unable to deliver or cause the delivery of any original Mortgage Note due to the
loss of such original Mortgage Note, the Depositor may deliver a copy of such
Mortgage Note, together with a lost note affidavit, and shall thereby be deemed
to have satisfied the document delivery requirements of this Section 2.01(b).

      If in connection with any Mortgage Loans, the Depositor cannot deliver all
assumption, modification, consolidation or extension agreements, if any,
satisfying the requirements of clause (iii) above, concurrently with the
execution and delivery hereof because such document or documents have not been
returned from the applicable public recording office in the case of clause (iii)
above, the Depositor shall promptly deliver or cause to be delivered to the
Trustee (or a Custodian on behalf of the Trustee), such assumption,
modification, consolidation or extension agreement with evidence of recording
indicated thereon upon receipt thereof from the public recording office, but in
no event shall any such delivery of any such documents or instruments be made
later than one year following the Closing Date, unless there has been a
continuing delay at the applicable recording office and the Depositor has
delivered the Officer's Certificate to such effect to the Trustee (or a
Custodian on behalf of the Trustee). The Depositor shall forward or cause to be
forwarded to the Trustee (or a Custodian on behalf of the Trustee) (1) from time
to time additional original documents evidencing an assumption or modification
of a Mortgage Loan and (2) any other documents required to be delivered by the
Depositor or the Servicer to the Trustee (or a Custodian on behalf of the
Trustee). In the event that in connection with the payment in full of the
related Mortgage Loan the public recording office requires the presentation of a
"lost instruments affidavit and indemnity" or any equivalent document, because
only a copy of the Mortgage can be delivered with the instrument of satisfaction
or reconveyance, the Depositor or the Servicer shall prepare, execute and
deliver or cause to be prepared, executed and delivered, on behalf of the Trust,
such a document to the public recording office.

      (c)   Upon discovery by the Depositor or notice from the Servicer, the
Securities Administrator or the Trustee that a Document Transfer Event has
occurred, the Depositor shall deliver or cause to be delivered to the Trustee or
a Custodian, on behalf of the Trustee, within sixty (60) days copies (which may
be in electronic form mutually agreed upon by the Depositor and the Trustee or
such Custodian) of the following additional documents or instruments to the
Mortgage File with respect to each such Mortgage Loan; provided, however, that
originals of such documents or instruments shall be delivered to the Trustee or
a Custodian on behalf of the Trustee, as applicable, if originals are required
under the law in which the related Mortgaged

                                       76

Property is located in order to exercise all remedies available to the Trust
under applicable law following default by the related Mortgagor:

            (i)     other than if the related Mortgage has been recorded in the
      name of MERS or its designee, an original copy of any intervening
      assignment of Mortgage showing a complete chain of assignments;

            (ii)    the original or a certified copy of the lender's title
      insurance policy;

            (iii)   the original Mortgage with evidence of recording thereon,
      and the original recorded power of attorney, if the Mortgage was executed
      pursuant to a power of attorney, with evidence of recording thereon or, if
      such Mortgage or power of attorney has been submitted for recording but
      has not been returned from the applicable public recording office, has
      been lost or is not otherwise available, a copy of such Mortgage or power
      of attorney, as the case may be, certified to be a true and complete copy
      of the original submitted for recording; and

            (iv)    for each Mortgage Loan secured by Cooperative Stock, the
      originals of the following documents or instruments:

                    (A)   The Cooperative Stock Certificate;

                    (B)   The stock power executed in blank;

                    (C)   The executed Cooperative Lease;

                    (D)   The executed Recognition Agreement;

                    (E)   The executed assignment of Recognition Agreement, if
            any;

                    (F)   The executed UCC-1 financing statement with evidence
            of recording thereon; and

                    (G)   Executed UCC-3 financing statements or other
            appropriate UCC financing statements required by state law,
            evidencing a complete and unbroken line from the mortgagee to the
            Trustee with evidence of recording thereon (or in a form suitable
            for recordation).

      (d)   With respect to each Mortgage Loan, as promptly as practicable
subsequent to such transfer and assignment, the Servicer shall (except for any
Mortgage which has been recorded in the name of MERS or its designee) (i) cause
each Assignment of Mortgage to be in proper form for recording in the
appropriate public office for real property records within thirty (30) days of
the Closing Date and (ii) at the Depositor's expense, cause to be delivered for
recording in the appropriate public office for real property records the
Assignments of the Mortgages to the Trustee, except that, with respect to any
Assignment of a Mortgage as to which the Servicer has not received the
information required to prepare such assignment in recordable form, the
Servicer's obligation to do so and to deliver the same for such recording shall
be as

                                       77

soon as practicable after receipt of such information and in any event within
thirty (30) days after the receipt thereof.

      No recording of an Assignment of Mortgage will be required in a state if
either (i) the Depositor furnishes to the Trustee and the Securities
Administrator an unqualified Opinion of Counsel reasonably acceptable to the
Trustee and the Securities Administrator to the effect that recordation of such
assignment is not necessary under applicable state law to preserve the Trustee's
interest in the related Mortgage Loan against the claim of any subsequent
transferee of such Mortgage Loan or any successor to, or creditor of, the
Depositor or the originator of such Mortgage Loan or (ii) the recordation of an
Assignment of Mortgage in such state is not required by either Rating Agency in
order to obtain the initial ratings on the Certificates on the Closing Date. As
set forth on Exhibit J attached hereto is a list of all states where recordation
is required by either Rating Agency to obtain the initial ratings of the
Certificates. The Trustee and the Securities Administrator may rely and shall be
protected in relying upon the information contained in such Exhibit J.

      (e)   In the case of Mortgage Loans that have been prepaid in full as of
the Closing Date, the Depositor, in lieu of delivering the above documents to
the Trustee (or a Custodian on behalf of the Trustee), will cause the Servicer
to deposit in the Servicer Custodial Account the portion of such payment that is
required to be deposited in such account pursuant to Section 3.09(c).

      Section 2.02  Acceptance by the Trustee or Custodian of the Mortgage
Loans.

      Subject to the provisions of the following paragraph, the Trustee declares
that it (or a Custodian on its behalf) will hold the documents referred to in
Section 2.01 and the other documents delivered to it (or a Custodian on its
behalf) constituting the Mortgage Files, and that it will hold such other assets
as are included in the Trust Estate delivered to it, in trust for the exclusive
use and benefit of all present and future Certificateholders. Upon execution and
delivery of this document, the Trustee (or a Custodian on its behalf) shall
deliver to the Depositor, the Servicer and the NIMS Insurer a certification in
the form of Exhibit K hereto (the "Initial Certification") to the effect that,
except as may be specified in a list of exceptions attached thereto, it has
received the original Mortgage Note relating to each of the Mortgage Loans
listed on the Mortgage Loan Schedule.

      Within ninety (90) days after the execution and delivery of this
Agreement, the Trustee (or a Custodian on its behalf) shall review the Mortgage
Files in its possession, and shall deliver to the Depositor, the Servicer and
the NIMS Insurer a certification in the form of Exhibit L hereto (the "Final
Certification") to the effect that, as to each Mortgage Loan listed in the
Mortgage Loan Schedule, except as may be specified in a list of exceptions
attached to such Final Certification, such Mortgage File contains all of the
items required to be delivered pursuant to Section 2.01.

      If, in the course of such review, the Trustee (or a Custodian on its
behalf) finds any document constituting a part of a Mortgage File which does not
meet the requirements of Section 2.01 or is omitted from such Mortgage File or
if the Depositor, the Servicer, the Securities Administrator, the Trustee, a
Custodian or the NIMS Insurer discovers a breach by the

                                       78

Originator, the Sponsor or the Depositor of any representation, warranty or
covenant under the Purchase Agreement, the Mortgage Loan Purchase Agreement or
this Agreement, as the case may be, in respect of any Mortgage Loan and such
breach materially adversely affects the interest of the Certificateholders in
the related Mortgage Loan (provided that any such breach that causes the
Mortgage Loan not to be a "qualified mortgage" within the meaning of Section
860G(a)(3) of the Code shall be deemed to materially and adversely affect the
interests of the Certificateholders), then such party shall promptly so notify
the Sponsor, the Originator, the Servicer, the Trustee, the Securities
Administrator, the Depositor and the NIMS Insurer of such failure to meet the
requirements of Section 2.01 or of such breach and request that the Originator,
the Sponsor or the Depositor, as the case may be, deliver such missing
documentation or cure such defect or breach within ninety (90) days of its
discovery or its receipt of notice of any such failure to meet the requirements
of Section 2.01 or of such breach. If the Trustee receives written notice that
the Originator, the Sponsor or the Depositor, as the case may be, has not
delivered such missing document or cured such defect or breach in all material
respects during such period, the Trustee, on behalf of the Trust, shall enforce
the obligation of the Originator, the Sponsor or the Depositor, as the case may
be, under the Purchase Agreement, the Mortgage Loan Purchase Agreement or this
Agreement, as applicable, and cause the Originator, the Sponsor or the
Depositor, as the case may be, to either (a) substitute for the related Mortgage
Loan a Substitute Mortgage Loan, which substitution shall be accomplished in the
manner and subject to the conditions set forth below or (b) purchase such
Mortgage Loan from the Trust at the Purchase Price for such Mortgage Loan;
provided, however, that in no event shall such a substitution occur more than
two years from the Closing Date; provided, further, that such substitution or
repurchase must occur within ninety (90) days of when such defect was discovered
if such defect will cause the Mortgage Loan not to be a "qualified mortgage"
within the meaning of Section 860G(a)(3) of the Code.

      Notwithstanding any contrary provision of this Agreement, no substitution
pursuant to this Section 2.02 shall be made more than 90 days after the Closing
Date unless the Depositor delivers to the Securities Administrator an Opinion of
Counsel, which Opinion of Counsel shall not be at the expense of either the
Trustee, the Securities Administrator or the Trust Estate, addressed to the
Trustee and the Securities Administrator, to the effect that such substitution
will not (i) result in the imposition of the tax on "prohibited transactions" on
any REMIC created hereunder or contributions after the Start-up Day, as defined
in Sections 860F(a)(2) and 860G(d) of the Code, respectively or (ii) cause any
REMIC created hereunder to fail to qualify as a REMIC at any time that the
Certificates are outstanding.

      In performing any such review, the Trustee (or a Custodian on its behalf)
may conclusively rely on the purported genuineness of any such document and any
signature thereon. It is understood that the scope of the Trustee's review (or a
Custodian's review on its behalf) of the Mortgage Files is limited solely to
confirming that the documents listed in Section 2.01 have been received and
further confirming that any and all documents delivered pursuant to Section 2.01
appear on their face to have been executed and relate to the Mortgage Loans
identified in the Mortgage Loan Schedule based solely upon the review of items
(i) and (xi) in the definition of Mortgage Loan Schedule. Neither the Trustee
nor any Custodian on its behalf shall have any responsibility for determining
whether any document is valid and binding, whether the text of any assignment or
endorsement is in proper or recordable form, whether any

                                       79

document has been recorded in accordance with the requirements of any applicable
jurisdiction, or whether a blanket assignment is permitted in any applicable
jurisdiction.

      If the Trustee receives written notice from the Depositor, the Servicer,
the Securities Administrator, a Custodian or the NIMS Insurer of a breach of any
representation or warranty of the Originator, the Sponsor or the Depositor, as
the case may be, the Trustee, on behalf of the Trust, shall enforce the rights
of the Trust under the Purchase Agreement, the Mortgage Loan Purchase Agreement
or this Agreement, as applicable, for the benefit of the Certificateholders. In
addition, if the Trustee receives written notice from the Depositor, the
Servicer, the Securities Administrator, a Custodian or the NIMS Insurer of a
breach of a representation set forth in clauses (f) and (oo) of Section 3 of the
Mortgage Loan Purchase Agreement that occurs as a result of a violation of an
applicable predatory or abusive lending law, the Trustee, on behalf of the
Trust, shall enforce the right of the Trust to reimbursement by the Sponsor for
all costs or damages incurred by the Trust as a result of the violation of such
law (such amount, the "Reimbursement Amount"), but only to the extent the
Originator does not so reimburse the Trust as part of the applicable Purchase
Price. It is understood and agreed that, except for any indemnification provided
for in the Purchase Agreement and the payment of any Reimbursement Amount, the
obligation of the Originator, the Sponsor or the Depositor to cure or to
repurchase or substitute any Mortgage Loan as to which a document is missing, a
material defect in a constituent document exists or as to which such a breach
has occurred and is continuing shall constitute the sole remedy against the
Originator, the Sponsor or the Depositor, as the case may be, in respect of such
omission, defect or breach available to the Trustee on behalf of the Trust and
the Certificateholders.

      It is understood and agreed that the representations and warranties set
forth in the Purchase Agreement, the Mortgage Loan Purchase Agreement or this
Agreement shall survive delivery of the Mortgage Files to the Trustee (or a
Custodian on behalf of the Trustee) and shall inure to the benefit of the
Certificateholders notwithstanding any restrictive or qualified endorsement or
assignment. With respect to the representations and warranties set forth in the
Mortgage Loan Purchase Agreement that are made to the best of the Sponsor's
knowledge or as to which the Sponsor had no knowledge, if it is discovered by
the Depositor or the Trustee that the substance of such representation or
warranty is inaccurate and such inaccuracy materially and adversely affects the
interest of the Certificateholders in the related Mortgage Loan then,
notwithstanding the Sponsor's lack of knowledge with respect to the substance of
such representation or warranty being inaccurate as the time the representation
or warranty was made, such inaccuracy shall be deemed a breach of the applicable
representation or warranty.

      The representations and warranties of the Originator with respect to the
Mortgage Loans in the Purchase Agreement, which have been assigned to the
Trustee hereunder, were made as of the dates specified in such Purchase
Agreement. To the extent that any fact, condition or event with respect to a
Mortgage Loan constitutes a breach of both (i) a representation or warranty of
the Originator under the Purchase Agreement and (ii) a representation or
warranty of the Sponsor under the Mortgage Loan Purchase Agreement, the only
right or remedy of the Trustee or of any Certificateholder shall be the
Trustee's right, on behalf of the Trust, to enforce the obligations of the
Originator under any applicable representation or warranty made by it. It is
hereby acknowledged that the Sponsor shall have no obligation or liability with
respect to any breach of a representation or warranty made by it with respect to
the Mortgage Loans if the fact, condition

                                       80

or event constituting such breach also constitutes a breach of a representation
or warranty made by the Originator in the Purchase Agreement, without regard to
whether the Originator fulfills its contractual obligations in respect of such
representation or warranty. It is hereby further acknowledged that the Depositor
shall have no obligation or liability with respect to any breach of any
representation or warranty with respect to the Mortgage Loans (except as set
forth in Section 2.04) under any circumstances.

      With respect to each Substitute Mortgage Loan, the Originator, the Sponsor
or the Depositor, as the case may be, shall deliver to the Trustee (or a
Custodian on behalf of the Trustee), for the benefit of the Certificateholders,
the Mortgage Note, the related Assignment of Mortgage (except for any Mortgage
which has been recorded in the name of MERS or its designee), and such other
documents and agreements as are otherwise required by Section 2.01, with the
Mortgage Note endorsed as required by Section 2.01. No substitution is permitted
to be made in any calendar month after the Determination Date for such month.
Monthly Payments due with respect to any such Substitute Mortgage Loan in the
month of substitution shall not be part of the Trust Estate. For the month of
substitution, distributions to Certificateholders will include the Monthly
Payment due for such month on any Defective Mortgage Loan for which the
Originator, the Sponsor or the Depositor, as applicable, has substituted a
Substitute Mortgage Loan.

      The Servicer shall amend the Mortgage Loan Schedule for the benefit of the
Certificateholders to reflect the removal of each Mortgage Loan that has become
a Defective Mortgage Loan and the substitution of the Substitute Mortgage Loan
or Loans and the Servicer shall deliver the amended Mortgage Loan Schedule to
the Trustee, the Securities Administrator, any Custodian and the NIMS Insurer.
Upon such substitution, each Substitute Mortgage Loan shall be subject to the
terms of this Agreement in all respects, and the Sponsor shall be deemed to have
made to the Trustee with respect to such Substitute Mortgage Loan, as of the
date of substitution, the representations and warranties made pursuant to
Section 3 of the Mortgage Loan Purchase Agreement and the Originator (if the
Originator is the substituting party) shall be deemed to have made to the
Trustee with respect to such Substitute Mortgage Loan, as of the date of
substitution, the mortgage loan representations and warranties made pursuant to
the Purchase Agreement. Upon any such substitution and the deposit to the
Servicer Custodial Account of any required Substitution Adjustment Amount (as
described in the next paragraph) and receipt of a Request for Release, the
Trustee (or a Custodian on behalf of the Trustee) shall upon receipt of written
notice from the Servicer of such deposit, release the Mortgage File relating to
such Defective Mortgage Loan to the Originator, the Sponsor or the Depositor, as
applicable, and the Trustee shall execute and deliver at such party's direction
such instruments of transfer or assignment prepared by such party, in each case
without recourse, as shall be necessary to vest title in the Originator, the
Sponsor or the Depositor, as the case may be, or such party's designee, to the
Trustee's interest in any Defective Mortgage Loan substituted for pursuant to
this Section 2.02.

      For any month in which the Originator, the Sponsor or the Depositor
substitutes one or more Substitute Mortgage Loans for one or more Defective
Mortgage Loans, the amount (if any) by which the aggregate principal balance of
all such Substitute Mortgage Loans in a Loan Group as of the date of
substitution is less than the aggregate Stated Principal Balance of all such
Defective Mortgage Loans in a Loan Group (after application of the principal
portion of the

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Monthly Payments due in the month of substitution) (the "Substitution Adjustment
Amount" for such Loan Group) plus an amount equal to the aggregate of any
unreimbursed Advances with respect to such Defective Mortgage Loans shall be
remitted to the Servicer Custodial Account by the Originator, the Sponsor or the
Depositor, as the case may be, on or before the Remittance Date for the
Distribution Date in the month succeeding the calendar month during which the
related Mortgage Loan is required to be purchased or replaced hereunder. The
Purchase Price of any repurchase and the Substitution Adjustment Amount, if any,
shall be deposited in the Servicer Custodial Account. The Servicer shall give
the Trustee and the Securities Administrator written notice of such deposits.

      The Trustee (or a Custodian on its behalf) shall retain possession and
custody of each Mortgage File in accordance with and subject to the terms and
conditions set forth herein. The Servicer shall cause to be promptly delivered
to the Trustee (or a Custodian on its behalf), upon the execution or, in the
case of documents requiring recording, receipt thereof, the originals of such
other documents or instruments constituting the Mortgage File as come into the
Servicer's possession from time to time.

      Neither the Trustee nor any Custodian shall be under any duty or
obligation (i) to inspect, review or examine any such documents, instruments,
certificates or other papers to determine that they are genuine, enforceable, or
appropriate for the represented purpose or that they are other than what they
purport to be on their face or (ii) to determine whether any Mortgage File
should include any of the documents specified in Section 2.01(b)(iii), (iv), (v)
and (vi).

      Section 2.03  Representations, Warranties and Covenants of the Servicer.

      (a)   The Servicer hereby makes the following representations and
warranties to the Depositor, the Securities Administrator, the NIMS Insurer and
the Trustee, as of the Closing Date:

            (i)     The Servicer is a national banking association duly
      organized, validly existing in good standing under the laws of the United
      States and has all licenses necessary to carry on its business as now
      being conducted and is licensed, qualified and in good standing in each of
      the states where a Mortgaged Property is located if the laws of such state
      require licensing or qualification in order to conduct business of the
      type conducted by the Servicer. The Servicer has power and authority to
      execute and deliver this Agreement and to perform in accordance herewith;
      the execution, delivery and performance of this Agreement (including all
      instruments of transfer to be delivered pursuant to this Agreement) by the
      Servicer and the consummation of the transactions contemplated hereby have
      been duly and validly authorized. This Agreement, assuming due
      authorization, execution and delivery by the other parties hereto,
      evidences the valid, binding and enforceable obligation of the Servicer,
      subject to applicable law except as enforceability may be limited by (A)
      bankruptcy, insolvency, liquidation, receivership, moratorium,
      reorganization or other similar laws administered by the FDIC affecting
      the contract obligations of insured banks and (B) general principles of
      equity, whether enforcement is sought in a proceeding in equity or at law.
      All requisite corporate action has been taken by the Servicer to make this
      Agreement valid and binding upon the Servicer in accordance with its
      terms.

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            (ii)    No consent, approval, authorization or order is required for
      the transactions contemplated by this Agreement from any court,
      governmental agency or body, or federal or state regulatory authority
      having jurisdiction over the Servicer is required or, if required, such
      consent, approval, authorization or order has been or will, prior to the
      Closing Date, be obtained.

            (iii)   The consummation of the transactions contemplated by this
      Agreement are in the ordinary course of business of the Servicer and will
      not result in the breach of any term or provision of the amended and
      restated article of association or by-laws of the Servicer or result in
      the breach of any term or provision of, or conflict with or constitute a
      default under or result in the acceleration of any obligation under, any
      agreement, indenture or loan or credit agreement or other instrument to
      which the Servicer or its property is subject, or result in the violation
      of any law, rule, regulation, order, judgment or decree to which the
      Servicer or its property is subject.

            (iv)    There is no action, suit, proceeding or investigation
      pending or, to the best knowledge of the Servicer, threatened against the
      Servicer which, either individually or in the aggregate, would result in
      any material adverse change in the business, operations, financial
      condition, properties or assets of the Servicer, or in any material
      impairment of the right or ability of the Servicer to carry on its
      business substantially as now conducted or which would draw into question
      the validity of this Agreement or the Mortgage Loans or of any action
      taken or to be taken in connection with the obligations of the Servicer
      contemplated herein, or which would materially impair the ability of the
      Servicer to perform under the terms of this Agreement.

      (b)   The representations and warranties made pursuant to this Section
2.03 shall survive delivery of the Mortgage Files to the Trustee (or a Custodian
on its behalf) for the benefit of the Certificateholders.

      Section 2.04  Representations and Warranties of the Depositor as to the
Mortgage Loans.

      The Depositor hereby represents and warrants to the Trustee and the NIMS
Insurer with respect to the Mortgage Loans or each Mortgage Loan, as the case
may be, as of the date hereof or such other date set forth herein that as of the
Closing Date:

            (i)     Immediately prior to the transfer and assignment
      contemplated herein, the Depositor was the sole owner and holder of the
      Mortgage Loans. The Mortgage Loans were not assigned or pledged by the
      Depositor and the Depositor had good and marketable title thereto, and the
      Depositor had full right to transfer and sell the Mortgage Loans to the
      Trustee free and clear of any encumbrance, participation interest, lien,
      equity, pledge, claim or security interest and had full right and
      authority subject to no interest or participation in, or agreement with
      any other party to sell or otherwise transfer the Mortgage Loans.

            (ii)    As of the Closing Date, the Depositor has transferred all
      right, title and interest in the Mortgage Loans to the Trustee on behalf
      of the Trust.

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            (iii)   As of the Closing Date, the Depositor has not transferred
      the Mortgage Loans to the Trustee on behalf of the Trust with any intent
      to hinder, delay or defraud any of its creditors.

            (iv)    Each Mortgage Loan is a "qualified mortgage" within the
      meaning of Section 860G(a)(3) of the Code.

      It is understood and agreed that the representations and warranties set
forth in this Section 2.04 shall survive delivery of the Mortgage Files to the
Trustee or a Custodian on the Trustee's behalf and shall inure to the benefit of
the Certificateholders.

      Upon discovery by any of the Depositor, the Servicer, the Securities
Administrator, the Trustee or the Custodian that any of the representations and
warranties set forth in this Section 2.04 is not accurate (referred to herein as
a "breach") and that such breach materially and adversely affects the interests
of the Certificateholders in the related Mortgage Loan, the party discovering
such breach shall give prompt written notice to the other parties; provided that
a breach of the representation that each Mortgage Loan is a "qualified mortgage"
within the meaning of Section 860G(a)(3) of the Code shall be deemed to
materially and adversely affect the interests of the Certificateholders. Within
ninety (90) days of its discovery or its receipt of notice of any such breach,
the Depositor shall cure such breach in all material respects or shall either
(i) repurchase the Mortgage Loan or any property acquired in respect thereof
from the Trustee at a price equal to the Purchase Price or (ii) if within two
years of the Closing Date, substitute for such Mortgage Loan in the manner
described in Section 2.02; provided that if the breach relates to the
representation that each Mortgage Loan is a "qualified mortgage" as defined in
Section 860G(a)(3) of the Code, any such repurchase or substitution must occur
within ninety (90) days from the date the breach was discovered. The Purchase
Price of any repurchase described in this paragraph and the Substitution
Adjustment Amount, if any shall be remitted to the Servicer for deposit to the
Servicer Custodial Account. It is understood and agreed that, except with
respect to the second preceding sentence, the obligation of the Depositor to
repurchase or substitute for any Mortgage Loan or Mortgaged Property as to which
such a breach has occurred and is continuing shall constitute the sole remedy
respecting such breach available to Certificateholders, or to the Trust and the
Trustee on behalf of Certificateholders, and such obligation shall survive until
termination of the Trust hereunder.

      Section 2.05  Designation of Interests in the REMICs.

      The Depositor hereby designates the Upper-Tier Interests as "regular
interests" and the Class UR Interest as the single class of "residual interest"
in the Upper-Tier REMIC for purposes of Code Section 860G(a)(1) and 860G(a)(2),
respectively. The Depositor hereby further designates (i) the Uncertificated
Middle-Tier Interests as classes of "regular interests" and the Class MR
Interest as the single class of "residual interest" in the Middle-Tier REMIC for
purposes of Code Section 860G(a)(1) and 860G(a)(2), respectively and (ii) the
Uncertificated Lower-Tier Interests as classes of "regular interests" and the
Class LR Interest as the single class of "residual interest" in the Lower-Tier
REMIC for purposes of Code Section 860G(a)(1) and 860G(a)(2), respectively.

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      Section 2.06  Designation of Start-up Day.

      The Closing Date is hereby designated as the "start-up day" of each REMIC
within the meaning of Section 860G(a)(9) of the Code.

      Section 2.07  REMIC Certificate Maturity Date.

      Solely for purposes of satisfying Section 1.860G-1(a)(4)(iii) of the
Treasury Regulations, the "latest possible maturity date" of the regular
interests in each REMIC is one month after the maturity of the latest maturing
Mortgage Loan.

      Section 2.08  Execution and Delivery of Certificates.

      The Trustee (i) acknowledges the issuance of and hereby declares that it
holds the Uncertificated Lower-Tier Interests on behalf of the Middle-Tier REMIC
and the Certificateholders and that it holds the Uncertificated Middle-Tier
Interests on behalf of the Upper-Tier REMIC and the Certificateholders and it
has caused the Securities Administrator to execute and deliver (ii) to or upon
the order of the Depositor, in exchange for the Mortgage Loans, Uncertificated
Lower-Tier Interests, Uncertificated Middle-Tier Interests, together with all
other assets included in the definition of "Trust Estate," receipt of which is
hereby acknowledged, Certificates in authorized denominations which, together
with the Class Swap-IO Interest, the Uncertificated Lower-Tier Interests and
Uncertificated Middle-Tier Interests, evidence ownership of the entire Trust
Estate. The Trustee acknowledges the obligation of the Class CE Certificates to
pay Rate Cap Carryover Amounts and declares that it holds the same on behalf of
the Offered Certificates, which shall be treated as beneficially owning the
right to receive the Rate Cap Carryover Amounts. The Trustee also acknowledges
the obligation of the Offered Certificates and the Class CE Certificates to pay
the Class IO Distribution Amount.

      Section 2.09  Establishment of the Trust.

      The Depositor does hereby establish, pursuant to the further provisions of
this Agreement and the laws of the State of New York, an express trust to be
known, for convenience, as "Banc of America Funding 2006-G Trust" and does
hereby appoint U.S. Bank National Association as Trustee in accordance with the
provisions of this Agreement.

      Section 2.10  Purpose and Powers of the Trust.

      The purpose of the common law trust, as created hereunder, is to engage in
the following activities:

      (a)   to acquire and hold the Mortgage Loans and the other assets of the
Trust Estate and the proceeds therefrom;

      (b)   to issue the Certificates sold to the Depositor in exchange for the
Mortgage Loans;

      (c)   to make payments on the Certificates;

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      (d)   to engage in those activities that are necessary, suitable or
convenient to accomplish the foregoing or are incidental thereto or connected
therewith; and

      (e)   subject to compliance with this Agreement, to engage in such other
activities as may be required in connection with conservation of the Trust
Estate and the making of distributions to the Certificateholders.

      The trust is hereby authorized to engage in the foregoing activities.
Neither the Trustee nor the Securities Administrator shall cause the trust to
engage in any activity other than in connection with the foregoing or other than
as required or authorized by the terms of this Agreement (or those ancillary
thereto) while any Certificate is outstanding, and this Section 2.10 may not be
amended, without the consent of the Certificateholders evidencing 51% or more of
the aggregate voting rights of the Certificates.

      Section 2.11  Rights of the NIMS Insurer.

      Each of the rights of the NIMS Insurer set forth in this Agreement shall
exist so long as (i) the NIMS Insurer has undertaken to guarantee certain
payments of notes issued pursuant to the Indenture and (ii) any series of notes
issued pursuant to the Indenture remains outstanding or the NIMS Insurer is owed
amounts in respect of its guarantee of payments on such notes; provided,
however, the NIMS Insurer shall not have any rights hereunder (except pursuant
to Section 11.01 in the case of clause (ii) below) during the period of time, if
any, that (a) the NIMS Insurer has not undertaken to guarantee certain payments
of notes issued pursuant to the Indenture or (ii) any default has occurred and
is continuing under the insurance policy issued by the NIMS Insurer with respect
to such notes.

                                   ARTICLE III

                          ADMINISTRATION AND SERVICING
                                OF MORTGAGE LOANS

      Section 3.01  Servicer to Service the Mortgage Loans.

      For and on behalf of the Certificateholders, the Servicer shall service
and administer the Mortgage Loans in accordance with the terms of this
Agreement, Customary Servicing Procedures, applicable law and the terms of the
related Mortgage Notes and Mortgages. In connection with such servicing and
administration, the Servicer shall have full power and authority, acting alone
and/or through Subservicers as provided in Section 3.02, to do or cause to be
done any and all things that it may deem necessary or desirable in connection
with such servicing and administration including, but not limited to, the power
and authority, subject to the terms hereof, (a) to execute and deliver, on
behalf of the Certificateholders, the Securities Administrator and the Trustee,
customary consents or waivers and other instruments and documents, (b) to
consent, with respect to the Mortgage Loans, to transfers of any Mortgaged
Property and assumptions of the Mortgage Notes and related Mortgages (but only
in the manner provided in this Agreement), (c) to collect any Insurance Proceeds
and other Liquidation Proceeds relating to the Mortgage Loans, and (d) to
effectuate foreclosure or other conversion of the ownership of the Mortgaged
Property securing any Mortgage Loan. The Servicer shall

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represent and protect the interests of the Trust in the same manner as it
protects its own interests in mortgage loans in its own portfolio in any claim,
proceeding or litigation regarding a Mortgage Loan and shall not make or permit
any modification, waiver or amendment of any term of any Mortgage Loan, except
as provided pursuant to Section 3.18. Without limiting the generality of the
foregoing, the Servicer, in its own name or in the name of any Subservicer or
the Depositor, the Securities Administrator and the Trustee, is hereby
authorized and empowered by the Depositor, the Securities Administrator and the
Trustee, when the Servicer or any Subservicer, as the case may be, believes it
appropriate in its reasonable judgment, to execute and deliver, on behalf of the
Trustee, the Depositor, the Securities Administrator, the Certificateholders or
any of them, any and all instruments and agreements of satisfaction,
cancellation, default, assumption, modification, discharge, partial or full
release, and all other comparable instruments and agreements, with respect to
the Mortgage Loans, and with respect to the related Mortgaged Properties held
for the benefit of the Certificateholders. To the extent that the Servicer is
not permitted to execute and deliver such documents pursuant to the preceding
sentence, the Servicer shall prepare and deliver to the Depositor and/or the
Trustee and/or the Securities Administrator such documents requiring execution
and delivery by any or all of them as are necessary or appropriate to enable the
Servicer to service and administer the Mortgage Loans. Upon receipt of such
documents, the Depositor and/or the Trustee and/or the Securities Administrator,
upon the direction of the Servicer, shall promptly execute such documents and
deliver them to the Servicer. Alternatively, upon the request of the Servicer,
the Trustee and the Securities Administrator shall execute and deliver to the
Servicer any additional powers of attorney or other documents prepared by the
Servicer that are reasonably necessary or appropriate to enable the Servicer to
carry out its servicing and administrative duties under this Agreement.

      In accordance with the standards of the preceding paragraph, the Servicer
shall advance or cause to be advanced funds as necessary for the purpose of
effecting the payment of taxes and assessments on the Mortgaged Properties
relating to the Mortgage Loans, which Servicing Advances shall be reimbursable
in the first instance from related collections from the Mortgagors pursuant to
Section 3.09, and further as provided in Section 3.11. The costs incurred by the
Servicer, if any, in effecting the timely payments of taxes and assessments on
the Mortgaged Properties and related insurance premiums shall not, for the
purpose of calculating monthly distributions to the Certificateholders, be added
to the Stated Principal Balances of the Mortgage Loans, notwithstanding that the
terms of such Mortgage Loans so permit.

      The relationship of the Servicer (and of any successor to the Servicer as
servicer under this Agreement) to the Trustee and the Securities Administrator
under this Agreement is intended by the parties to be that of an independent
contractor and not that of a joint venturer, partner or agent.

      Section 3.02  Subservicing; Enforcement of the Obligations of the
Servicer.

      (a)   The Servicer may arrange for the subservicing of any Mortgage Loan
by a Subservicer pursuant to a Subservicing Agreement; provided, however, that
such subservicing arrangement and the terms of the related Subservicing
Agreement must provide for the servicing of such Mortgage Loan in a manner
consistent with the servicing arrangements contemplated hereunder.
Notwithstanding the provisions of any Subservicing Agreement, any of the

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provisions of this Agreement relating to agreements or arrangements between the
Servicer and a Subservicer or reference to actions taken through a Subservicer
or otherwise, the Servicer shall remain obligated and liable to the Depositor,
the Securities Administrator, the Trustee and the Certificateholders for the
servicing and administration of the Mortgage Loans in accordance with the
provisions of this Agreement without diminution of such obligation or liability
by virtue of such Subservicing Agreements or arrangements or by virtue of
indemnification from the Subservicer and to the same extent and under the same
terms and conditions as if the Servicer alone were servicing and administering
those Mortgage Loans. All actions of each Subservicer performed pursuant to the
related Subservicing Agreement shall be performed as agent of the Servicer with
the same force and effect as if performed directly by the Servicer.

      (b)   For purposes of this Agreement, the Servicer shall be deemed to have
received any collections, recoveries or payments with respect to the Mortgage
Loans that are received by a Subservicer regardless of whether such payments are
remitted by the Subservicer to the Servicer.

      (c)   As part of its servicing activities hereunder, the Servicer, for the
benefit of the Trustee, the Securities Administrator and the Certificateholders,
shall use its best reasonable efforts to enforce the obligations of each
Subservicer engaged by the Servicer under the related Subservicing Agreement, to
the extent that the non-performance of any such obligation would have a material
and adverse effect on a Mortgage Loan. Such enforcement, including, without
limitation, the legal prosecution of claims, termination of Subservicing
Agreements and the pursuit of other appropriate remedies, shall be in such form
and carried out to such an extent and at such time as the Servicer, in its good
faith business judgment, would require were it the owner of the related Mortgage
Loans. The Servicer shall pay the costs of such enforcement at its own expense,
and shall be reimbursed therefor only (i) from a general recovery resulting from
such enforcement to the extent, if any, that such recovery exceeds all amounts
due in respect of the related Mortgage Loan or (ii) from a specific recovery of
costs, expenses or attorneys fees against the party against whom such
enforcement is directed.

      (d)   Any Subservicing Agreement entered into by the Servicer shall
provide that it may be assumed or terminated by the Trustee, if the Trustee has
assumed the duties of the Servicer, or any successor Servicer, at the Trustee's
or successor Servicer's option, as applicable, without cost or obligation to the
assuming or terminating party or the Trust Estate, upon the assumption by such
party of the obligations of the Servicer pursuant to Section 8.05.

      (e)   If the Trustee acts as Servicer, it will not assume liability for
the representations and warranties of the Servicer, if any, that it replaces.

      (f)   The Servicer shall promptly upon request provide to the Depositor a
written description (in form and substance satisfactory to the Depositor) of the
role and function of each Subcontractor utilized by the Servicer, specifying (i)
the identity of each such Subcontractor that is a Servicing Function Participant
and (ii) which elements of the Servicing Criteria will be addressed in
Assessments of Compliance provided by each Servicing Function Participant. As a
condition to the utilization by the Servicer of any Servicing Function
Participant, the Servicer shall cause any such Servicing Function Participant
for the benefit of the Depositor to comply with the provisions of Section 3.21
of this Agreement to the same extent as if such Servicing

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Function Participant were the Servicer. The Servicer shall be responsible for
obtaining from each such Servicing Function Participant and delivering to the
applicable Persons any Assessment of Compliance and related Attestation Report
required to be delivered by such Servicing Function Participant under Section
3.21, in each case as and when required to be delivered.

      Notwithstanding the foregoing, if the Servicer engages a Subcontractor in
connection with the performance of any of its duties under this Agreement, the
Servicer shall be responsible for determining whether such Subcontractor is an
Additional Servicer.

      The Servicer shall indemnify the Depositor, the Sponsor, the Securities
Administrator, the Custodian and the Trustee and any of their respective
directors, officers, employees or agents and hold them harmless against any and
all claims, losses, damages, penalties, fines, forfeitures, reasonable and
necessary legal fees and related costs, judgments, and any other costs, fees and
expenses that any of them may sustain in any way related to a breach of the
Servicer's obligation set forth in the preceding paragraph or the failure of the
Servicer to perform any of its obligations under this Section 3.02(f), Section
3.20, Section 3.21 or Section 3.22.

      Section 3.03  Fidelity Bond; Errors and Omissions Insurance.

      The Servicer shall maintain, at its own expense, a blanket fidelity bond
and an errors and omissions insurance policy, with broad coverage on all
officers, employees or other persons acting in any capacity requiring such
persons to handle funds, money, documents or papers relating to the Mortgage
Loans. These policies must insure the Servicer against losses resulting from
dishonest or fraudulent acts committed by the Servicer's personnel, any
employees of outside firms that provide data processing services for the
Servicer, and temporary contract employees or student interns. Such fidelity
bond shall also protect and insure the Servicer against losses in connection
with the release or satisfaction of a Mortgage Loan without having obtained
payment in full of the indebtedness secured thereby. No provision of this
Section 3.03 requiring such fidelity bond and errors and omissions insurance
shall diminish or relieve the Servicer from its duties and obligations as set
forth in this Agreement. The minimum coverage under any such bond and insurance
policy shall be at least equal to the corresponding amounts required by FNMA in
the FNMA Servicing Guide or by FHLMC in the FHLMC Sellers' & Servicers' Guide,
as amended or restated from time to time, or in an amount as may be permitted to
the Servicer by express waiver of FNMA or FHLMC.

      Section 3.04  Access to Certain Documentation.

      The Servicer shall provide to the OTS and the FDIC and to comparable
regulatory authorities supervising Holders of Certificates and the examiners and
supervisory agents of the OTS, the FDIC and such other authorities, access to
the documentation required by applicable regulations of the OTS and the FDIC
with respect to the Mortgage Loans. Such access shall be afforded without
charge, but only upon reasonable and prior written request and during normal
business hours at the offices designated by the Servicer. Nothing in this
Section 3.04 shall limit the obligation of the Servicer to observe any
applicable law and the failure of the Servicer to provide access as provided in
this Section 3.04 as a result of such obligation shall not constitute a breach
of this Section 3.04.

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      Section 3.05  Maintenance of Primary Mortgage Insurance Policy; Claims.

      With respect to each Mortgage Loan with a Loan-to-Value Ratio in excess of
80% or such other Loan-to-Value Ratio as may be required by law, the Servicer
shall, without any cost to the Trust Estate, maintain or cause the Mortgagor to
maintain in full force and effect a Primary Mortgage Insurance Policy insuring
that portion of the Mortgage Loan in excess of a percentage in conformity with
FNMA requirements. The Servicer shall pay or shall cause the Mortgagor to pay
the premium thereon on a timely basis, at least until the Loan-to-Value Ratio of
such Mortgage Loan is reduced to 80% or such other Loan-to-Value Ratio as may be
required by law. If such Primary Mortgage Insurance Policy is terminated, the
Servicer shall obtain from another insurer a comparable replacement policy, with
a total coverage equal to the remaining coverage of such terminated Primary
Mortgage Insurance Policy. If the insurer shall cease to be an insurer
acceptable to FNMA, the Servicer shall notify the Securities Administrator and
the Trustee in writing, it being understood that the Servicer shall not have any
responsibility or liability for any failure to recover under the Primary
Mortgage Insurance Policy for such reason. If the Servicer determines that
recoveries under the Primary Mortgage Insurance Policy are jeopardized by the
financial condition of the insurer, the Servicer shall obtain from another
insurer which meets the requirements of this Section 3.05 a replacement
insurance policy. The Servicer shall not take any action that would result in
noncoverage under any applicable Primary Mortgage Insurance Policy of any loss
that, but for the actions of the Servicer, would have been covered thereunder.
In connection with any assumption or substitution agreement entered into or to
be entered into pursuant to Section 3.13, the Servicer shall promptly notify the
insurer under the related Primary Mortgage Insurance Policy, if any, of such
assumption or substitution of liability in accordance with the terms of such
Primary Mortgage Insurance Policy and shall take all actions which may be
required by such insurer as a condition to the continuation of coverage under
such Primary Mortgage Insurance Policy. If such Primary Mortgage Insurance
Policy is terminated as a result of such assumption or substitution of
liability, the Servicer shall obtain a replacement Primary Mortgage Insurance
Policy as provided above.

      In connection with its activities as servicer, the Servicer agrees to
prepare and present, on behalf of itself, the Trust, the Trustee, the Securities
Administrator and the Certificateholders, claims to the insurer under any
Primary Mortgage Insurance Policy in a timely fashion in accordance with the
terms of such Primary Mortgage Insurance Policy and, in this regard, to take
such action as shall be necessary to permit recovery under any Primary Mortgage
Insurance Policy respecting a defaulted Mortgage Loan. Pursuant to Section
3.08(a), any amounts collected by the Servicer under any Primary Mortgage
Insurance Policy shall be deposited in the Escrow Account, subject to withdrawal
pursuant to Section 3.08(b).

      The Servicer will comply with all provisions of applicable state and
federal law relating to the cancellation of, or collection of premiums with
respect to, Primary Mortgage Insurance, including, but not limited to, the
provisions of the Homeowners Protection Act of 1998, and all regulations
promulgated thereunder, as amended from time to time

                                       90

      Section 3.06  Rights of the Depositor, the Securities Administrator and
the Trustee in Respect of the Servicer.

      The Depositor may, but is not obligated to, enforce the obligations of the
Servicer hereunder and may, but is not obligated to, perform, or cause a
designee to perform, any defaulted obligation of the Servicer hereunder and in
connection with any such defaulted obligation to exercise the related rights of
the Servicer hereunder; provided that the Servicer shall not be relieved of any
of its obligations hereunder by virtue of such performance by the Depositor or
its designee. None of the Trustee, the Securities Administrator or the Depositor
shall have any responsibility or liability for any action or failure to act by
the Servicer, nor shall the Trustee, the Securities Administrator or the
Depositor be obligated to supervise the performance of the Servicer hereunder or
otherwise.

      Any Subservicing Agreement, and any other transactions or services
relating to the Mortgage Loans involving a Subservicer, shall be deemed to be
between the Servicer and such Subservicer alone, and the Trustee, the Securities
Administrator and the Certificateholders shall not be deemed parties thereto and
shall have no claims or rights of action against, rights, obligations, duties or
liabilities to or with respect to the Subservicer or its officers, directors or
employees, except as set forth in Section 3.01. The Servicer shall be solely
liable for all fees owed by it to any Subservicer, irrespective of whether the
Servicer's compensation pursuant to this Agreement is sufficient to pay such
fees.

      Section 3.07  Trustee to Act as Servicer.

      If the Servicer shall for any reason no longer be the Servicer hereunder
(including by reason of an Event of Default), the Trustee shall within ninety
(90) days of such time, assume, if it so elects, or shall appoint a successor
Servicer to assume, all of the rights and obligations of the Servicer hereunder
arising thereafter (except that the Trustee shall not be (a) liable for losses
of the Servicer pursuant to Section 3.12 or any acts or omissions of the
predecessor Servicer hereunder, (b) obligated to make Advances if it is
prohibited from doing so by applicable law or (c) deemed to have made any
representations and warranties of the Servicer hereunder). Any such assumption
shall be subject to Sections 7.02 and 8.05. If the Servicer shall for any reason
no longer be the Servicer (including by reason of any Event of Default), the
Trustee or the successor Servicer may elect to succeed to any rights and
obligations of the Servicer under each Subservicing Agreement or may terminate
each Subservicing Agreement. If it has elected to assume the Subservicing
Agreement, the Trustee or the successor Servicer shall be deemed to have assumed
all of the Servicer's interest therein and to have replaced the Servicer as a
party to any Subservicing Agreement entered into by the Servicer as contemplated
by Section 3.02 to the same extent as if the Subservicing Agreement had been
assigned to the assuming party except that the Servicer shall not be relieved of
any liability or obligations under any such Subservicing Agreement.

      The Servicer that is no longer a Servicer hereunder shall, upon request of
the Trustee, but at the expense of such predecessor Servicer, deliver to the
assuming party all documents and records relating to each Subservicing Agreement
or substitute servicing agreement and the Mortgage Loans then being serviced
thereunder and an accounting of amounts collected or held by it and otherwise
use its best efforts to effect the orderly and efficient transfer of such

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substitute Subservicing Agreement to the assuming party. The Trustee shall be
entitled to be reimbursed from the predecessor Servicer (or the Trust if the
predecessor Servicer is unable to fulfill its obligations hereunder) for all
Servicing Transfer Costs.

      Section 3.08  Collection of Taxes, Assessments and Similar Items; Escrow
Accounts; Buy-Down Account.

      (a)   To the extent required by the related Mortgage Note and not
violative of current law, the Servicer shall segregate and hold all funds
collected and received pursuant to each Mortgage Loan which constitute Escrow
Payments in trust separate and apart from any of its own funds and general
assets and for such purpose shall establish and maintain one or more escrow
accounts (collectively, the "Escrow Account"), titled "Wells Fargo Bank, N.A.,
in trust for registered holders of Banc of America Funding Corporation Mortgage
Pass-Through Certificates, Series 2006-G and various Mortgagors." The Escrow
Account shall be established with a commercial bank, a savings bank or a savings
and loan association that meets the guidelines set forth by FNMA or FHLMC as an
eligible institution for escrow accounts and which is a member of the Automated
Clearing House. In any case, the Escrow Account shall be insured by the FDIC to
the fullest extent permitted by law. The Servicer shall deposit in the
appropriate Escrow Account within two (2) Business Days of receipt, and retain
therein: (i) all Escrow Payments collected on account of the Mortgage Loans,
(ii) all amounts representing proceeds of any hazard insurance policy which are
to be applied to the restoration or repair of any related Mortgaged Property;
and (iii) all amounts representing proceeds of any Primary Mortgage Insurance
Policy. Nothing herein shall require the Servicer to compel a Mortgagor to
establish an Escrow Account in violation of applicable law.

      (b)   Withdrawals of amounts so collected from the Escrow Account may be
made by the Servicer only (i) to effect timely payment of taxes, assessments,
mortgage insurance premiums, fire and hazard insurance premiums, condominium or
PUD association dues, or comparable items constituting Escrow Payments for the
related Mortgage, (ii) to reimburse the Servicer out of related Escrow Payments
made with respect to a Mortgage Loan for any Servicing Advance made by the
Servicer pursuant to Section 3.08(c) with respect to such Mortgage Loan, (iii)
to refund to any Mortgagor any sums determined to be overages, (iv) for transfer
to the Servicer Custodial Account upon default of a Mortgagor or in accordance
with the terms of the related Mortgage Loan and if permitted by applicable law,
(v) for application to restore or repair the Mortgaged Property, (vi) to pay to
the Mortgagor, to the extent required by law, any interest paid on the funds
deposited in the Escrow Account, (vii) to pay to itself any interest earned on
funds deposited in the Escrow Account (and not required to be paid to the
Mortgagor), (viii) to the extent permitted under the terms of the related
Mortgage Note and applicable law, to pay late fees with respect to any Monthly
Payment which is received after the applicable grace period, (ix) to withdraw
suspense payments that are deposited into the Escrow Account, (x) to withdraw
any amounts inadvertently deposited in the Escrow Account; or (xi) to clear and
terminate the Escrow Account upon the termination of this Agreement in
accordance with Section 10.01. Any Escrow Account shall not be a part of the
Trust Estate.

      (c)   With respect to each Mortgage Loan, the Servicer shall maintain
accurate records reflecting the status of taxes, assessments and other charges
which are or may become a lien upon the Mortgaged Property and the status of
Primary Mortgage Insurance Policy premiums

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and fire and hazard insurance coverage. The Servicer shall obtain, from time to
time, all bills for the payment of such charges (including renewal premiums) and
shall effect payment thereof prior to the applicable penalty or termination date
and at a time appropriate for securing maximum discounts allowable, employing
for such purpose deposits of the Mortgagor in the Escrow Account, if any, which
shall have been estimated and accumulated by the Servicer in amounts sufficient
for such purposes, as allowed under the terms of the Mortgage. To the extent
that a Mortgage does not provide for Escrow Payments, the Servicer shall
determine that any such payments are made by the Mortgagor. The Servicer assumes
full responsibility for the timely payment of all such bills and shall effect
timely payments of all such bills irrespective of each Mortgagor's faithful
performance in the payment of same or the making of the Escrow Payments. The
Servicer shall advance any such payments that are not timely paid, but the
Servicer shall be required so to advance only to the extent that such Servicing
Advances, in the good faith judgment of the Servicer, will be recoverable by the
Servicer out of Insurance Proceeds, Liquidation Proceeds or otherwise.

      (d)   The Servicer shall establish and maintain a Buy-Down Account, with
records to be kept with respect thereto on a Mortgage Loan by Mortgage Loan
basis, into which account any Buy-Down Funds shall be deposited within
forty-eight (48) hours (or as of such other time specified in the Purchase
Agreement) of receipt thereof. The Servicer may employ the Escrow Account as the
Buy-Down Account to the extent that the Servicer can separately identify any
Buy-Down Funds deposited therein. The Servicer is hereby authorized to make
withdrawals from and deposits to the Buy-Down Account for purposes required or
permitted by this Agreement. In addition, the Servicer shall withdraw from the
Buy-Down Account and deposit in immediately available funds in the Servicer
Custodial Account an amount which, when added to such Mortgagor's payment, will
equal the full monthly payment due under the related Mortgage Note.

      Section 3.09  Collection of Mortgage Loan Payments; Servicer Custodial
Account; Certificate Account.

      (a)   Continuously from the date hereof until the principal and interest
on all Mortgage Loans are paid in full, the Servicer will proceed diligently, in
accordance with this Agreement, to collect all payments due under each of the
Mortgage Loans when the same shall become due and payable. Further, the Servicer
will in accordance with all applicable law and Customary Servicing Procedures
ascertain and estimate taxes, assessments, fire and hazard insurance premiums,
mortgage insurance premiums and all other charges with respect to the Mortgage
Loans that, as provided in any Mortgage, will become due and payable to the end
that the installments payable by the Mortgagors will be sufficient to pay such
charges as and when they become due and payable. Consistent with the foregoing,
the Servicer may in its discretion (i) waive any late payment charge or any
prepayment penalties or penalty interest in connection with the prepayment of a
Mortgage Loan and (ii) extend the due dates for payments due on a Mortgage Note
for a period not greater than one hundred eighty (180) days; provided, however,
that the Servicer cannot extend the maturity of any such Mortgage Loan past the
date on which the final payment is due on the latest maturing Mortgage Loan as
of the Cut-Off Date. In the event of any such arrangement, the Servicer shall
make Periodic Advances on the related Mortgage Loan in accordance with the
provisions of Section 3.19 during the scheduled period in accordance with the
amortization schedule of such Mortgage Loan without modification thereof

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by reason of such arrangements. The Servicer shall not be required to institute
or join in litigation with respect to collection of any payment (whether under a
Mortgage, Mortgage Note or otherwise or against any public or governmental
authority with respect to a taking or condemnation) if it reasonably believes
that enforcing the provision of the Mortgage or other instrument pursuant to
which such payment is required is prohibited by applicable law.

      (b)   The Servicer shall establish and maintain the Servicer Custodial
Account. The Servicer shall deposit or cause to be deposited into the Servicer
Custodial Account within two (2) Business Days of receipt, except as otherwise
specifically provided herein, the following payments and collections remitted by
Subservicers or received by it in respect of the Mortgage Loans subsequent to
the Cut-Off Date (other than in respect of principal and interest due on the
Mortgage Loans on or before the Cut-Off Date) and the following amounts required
to be deposited hereunder with respect to the Mortgage Loans it services:

            (i)     all payments on account of principal of the Mortgage Loans,
      including Principal Prepayments;

            (ii)    all payments on account of interest on the Mortgage Loans,
      net of the related Servicing Fee and any Incremental Interest;

            (iii)   with respect to each Mortgage Loan, (A) all Insurance
      Proceeds and Liquidation Proceeds, other than Insurance Proceeds to be (1)
      applied to the restoration or repair of the Mortgaged Property, (2)
      released to the Mortgagor in accordance with Customary Servicing
      Procedures or (3) required to be deposited to an Escrow Account pursuant
      to Section 3.08 and (B) any Insurance Proceeds released from an Escrow
      Account;

            (iv)    any amount required to be deposited by the Servicer pursuant
      to Section 3.09(d) in connection with any losses on Permitted Investments
      with respect to the Servicer Custodial Account;

            (v)     any amounts required to be deposited by the Servicer
      pursuant to Section 3.14;

            (vi)    Periodic Advances made by the Servicer pursuant to Section
      3.19 and any Compensating Interest;

            (vii)   all Purchase Prices, all Substitution Adjustment Amounts and
      all Reimbursement Amounts to the extent received by the Servicer;

            (viii)  any Recoveries;

            (ix)    any Buy-Down Funds required to be deposited pursuant to
      Section 3.08; and

            (x)     any other amounts required to be deposited hereunder.

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      The foregoing requirements for deposits to the Servicer Custodial Account
by the Servicer shall be exclusive. If the Servicer shall deposit in the
Servicer Custodial Account any amount not required to be deposited, it may at
any time withdraw or direct the institution maintaining the Servicer Custodial
Account to withdraw such amount from the Servicer Custodial Account, any
provision herein to the contrary notwithstanding. The Servicer Custodial Account
may contain funds that belong to one or more trust funds created for mortgage
pass-through certificates of other series and may contain other funds respecting
payments on mortgage loans belonging to the Servicer or serviced by the Servicer
on behalf of others. Notwithstanding such commingling of funds, the Servicer
shall keep records that accurately reflect the funds on deposit in the Servicer
Custodial Account that have been identified by it as being attributable to the
Mortgage Loans. The Servicer shall maintain adequate records with respect to all
withdrawals made pursuant to this Section 3.09. All funds required to be
deposited in the Servicer Custodial Account shall be held in trust for the
Certificateholders until withdrawn in accordance with Section 3.11.

      (c)   The Securities Administrator shall establish and maintain, on behalf
of the Certificateholders, the Certificate Account, which shall be deemed to
consist of six sub-accounts. The Securities Administrator shall, promptly upon
receipt, deposit in the Certificate Account and retain therein the following:

            (i)     the aggregate amount remitted by the Servicer to the
      Securities Administrator pursuant to Section 3.11(a)(viii);

            (ii)    any amount paid by the Securities Administrator pursuant to
      Section 3.09(d) in connection with any losses on Permitted Investments
      with respect to the Certificate Account; and

            (iii)   any other amounts deposited hereunder which are required to
      be deposited in the Certificate Account.

      If the Servicer shall remit any amount not required to be remitted, it may
at any time direct the Securities Administrator to withdraw such amount from the
Certificate Account, any provision herein to the contrary notwithstanding. Such
direction may be accomplished by delivering an Officer's Certificate to the
Securities Administrator which describes the amounts deposited in error in the
Certificate Account. All funds required to be deposited in the Certificate
Account shall be held by the Securities Administrator in trust for the
Certificateholders until disbursed in accordance with this Agreement or
withdrawn in accordance with Section 3.11. In no event shall the Securities
Administrator incur liability for withdrawals from the Certificate Account at
the direction of the Servicer.

      (d)   Each institution at which the Servicer Custodial Account or the
Certificate Account is maintained may invest the funds therein as directed in
writing by the Servicer (in the case of the Servicer Custodial Account) or the
Securities Administrator (in the case of the Certificate Account) in Permitted
Investments, which shall mature not later than (i) in the case of the Servicer
Custodial Account, the Business Day next preceding the related Remittance Date
(except that if such Permitted Investment is an obligation of the institution
that maintains such account, then such Permitted Investment shall mature not
later than such Remittance Date) and

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(ii) in the case of the Certificate Account, the Business Day next preceding the
Distribution Date (except that if such Permitted Investment is an obligation of
the institution that maintains such account, then such Permitted Investment
shall mature not later than such Distribution Date). All such Permitted
Investments shall be made in the name of the Trustee, for the benefit of the
Certificateholders. All Servicer Custodial Account Reinvestment Income shall be
for the benefit of the Servicer as part of its Servicing Compensation and shall
be retained by it monthly as provided herein. All income or gain (net of any
losses) realized from any such investment of funds on deposit in the Certificate
Account shall be for the benefit of the Securities Administrator as additional
compensation and shall be retained by it monthly as provided herein. The amount
of any losses realized in the Servicer Custodial Account or the Certificate
Account incurred in respect of any such investments shall promptly be deposited
by the Servicer in the Servicer Custodial Account or by the Securities
Administrator in the Certificate Account, as applicable.

      (e)   The Servicer shall give prior notice to the Securities Administrator
of any proposed change of location of the Servicer Custodial Account. The
Securities Administrator shall give notice to the Depositor, the Trustee, the
Servicer and the Rating Agencies of any proposed change of the location of the
Certificate Account maintained by the Securities Administrator not later than
thirty (30) days after and not more than forty-five (45) days prior to any
change thereof. The creation of the Servicer Custodial Account and the
Certificate Account shall be evidenced by a certification substantially in the
form of Exhibit F hereto.

      (f)   The Securities Administrator shall designate each of the Lower-Tier
Certificate Sub-Account, the Middle-Tier Certificate Sub-Account and the
Upper-Tier Certificate Sub-Account as a sub-account of the Certificate Account.

      On each Distribution Date (other than the Final Distribution Date, if such
Final Distribution Date is in connection with an optional purchase of the assets
of the Trust Estate pursuant to Section 10.01), the Securities Administrator
shall (A) from funds available on deposit in the Certificate Account, be deemed
to deposit into the Lower-Tier Certificate Sub-Account, all funds deemed on
deposit in Sub-Account; (B) immediately thereafter, be deemed to deposit into
the Middle-Tier Certificate Sub-Account, the Lower-Tier Distribution Amount; and
(C) immediately thereafter, be deemed to deposit into the Upper-Tier Certificate
Sub-Account, the Middle-Tier Distribution Amount.

      (g)   No later than the Closing Date, the Securities Administrator shall
establish and maintain the Rate Cap Carryover Reserve Account. On each
Distribution Date as to which there is a Rate Cap Carryover Amount payable to
the Offered Certificates, the Securities Administrator has been directed by the
Holders of the Class CE Certificates to, and therefore will, deposit into the
Rate Cap Carryover Reserve Account the amounts described in Section
5.03(c)(i)(Y), rather than distributing such amounts to the Holders of the Class
CE Certificates. Upon receipt of any payments from Interest Rate Cap Agreement B
or the Interest Rate Floor Agreement, the Securities Administrator shall deposit
such amounts into the Rate Cap Carryover Reserve Account. On each such
Distribution Date, the Securities Administrator shall hold all such amounts for
the benefit of the Holders of the Offered Certificates, and will distribute such
amounts to the Holders of the Offered Certificates in the amounts and priorities
set forth in Sections 5.02.

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      For federal and state income tax purposes, the Holders of the Class CE
Certificates will be deemed to be the owners of the Rate Cap Carryover Reserve
Account and all amounts deposited into the Rate Cap Carryover Reserve Account
shall be treated as amounts distributed by the Upper-Tier REMIC with respect to
the Class CE Upper-Tier Interest. Upon the termination of the Trust Estate, or
the payment in full of the Offered Certificates, all amounts remaining on
deposit in the Rate Cap Carryover Reserve Account will be released by the Trust
Estate and distributed to the Holders of the Class CE Certificates or their
designees. The Rate Cap Carryover Reserve Account will be part of the Trust
Estate but not part of any REMIC created hereunder and any payments to the
Holders of the Offered Certificates of Rate Cap Carryover Amounts will not be
payments with respect to a "regular interest" in a REMIC within the meaning of
Code Section 860G(a)(1). The Rate Cap Carryover Reserve Account is an "outside
reserve fund" within the meaning of Treasury Regulation Section 1.860G-2(h).

      (h)   By accepting a Class CE Certificate, each Holder of a Class CE
Certificate hereby agrees to direct the Securities Administrator, and the
Securities Administrator hereby is directed, to deposit into the Rate Cap
Carryover Reserve Account the amounts described above on each Distribution Date
as to which there is any Rate Cap Carryover Amount rather than distributing such
amounts to the Holders of the Class CE Certificates. By accepting a Class CE
Certificate, each Holder of a Class CE Certificate further agrees that such
direction is given for good and valuable consideration, the receipt and
sufficiency of which is acknowledged by such acceptance. Amounts held in the
Rate Cap Carryover Reserve Account shall be held uninvested.

      For federal tax return and information reporting, the value of the right
of the Holders of the Offered Certificates to receive payments from the Rate Cap
Carryover Reserve Account in respect of any Rate Cap Carryover Amount shall be
assumed to have the value of zero as of the Closing Date unless required
otherwise by an applicable taxing authority.

      Section 3.10  Access to Certain Documentation and Information Regarding
the Mortgage Loans.

      The Servicer shall afford the Trustee and the Securities Administrator
reasonable access to all records and documentation regarding the Mortgage Loans
and all accounts, insurance information and other matters relating to this
Agreement, such access being afforded without charge, but only upon reasonable
request and during normal business hours at the office designated by the
Servicer.

      Section 3.11  Permitted Withdrawals from the Certificate Account and the
Servicer Custodial Account.

      (a)   The Servicer may from time to time make withdrawals from the
Servicer Custodial Account for the following purposes:

            (i)     to pay to the Servicer (to the extent not previously
      retained), the Servicing Fee to which it is entitled pursuant to Section
      3.17 and any Incremental Interest;

            (ii)    to reimburse the Servicer for unreimbursed Advances made by
      it, such right of reimbursement pursuant to this clause (ii) being limited
      to amounts received on

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      the Mortgage Loans in the same Loan Group as the Mortgage Loan(s) in
      respect of which any such Advance was made;

            (iii)   to reimburse the Servicer for any Nonrecoverable Advance
      previously made, such right of reimbursement pursuant to this clause (iii)
      being limited first to amounts received on the Mortgage Loans in the same
      Loan Group as the Mortgage Loan(s) in respect of which such Nonrecoverable
      Advance was made;

            (iv)    to reimburse the Servicer for Insured Expenses from the
      related Insurance Proceeds;

            (v)     to pay to the purchaser, with respect to each Mortgage Loan
      or REO Property that has been purchased pursuant to Section 2.02 or
      Section 2.04, all amounts received thereon after the date of such
      purchase;

            (vi)    to reimburse itself or the Depositor for expenses incurred
      by either of them and reimbursable pursuant to this Agreement, including
      but not limited to, Section 3.02 and Section 7.03;

            (vii)   to withdraw any amount deposited in the Servicer Custodial
      Account and not required to be deposited therein;

            (viii)  on or prior to the Remittance Date, to withdraw all amounts
      on deposit in the Servicer Custodial Account for distribution to
      Certificateholders for the related Distribution Date, and remit such
      amount in immediately available funds to the Securities Administrator for
      deposit in the Certificate Account; and

            (ix)    to clear and terminate the Servicer Custodial Account upon
      termination of this Agreement pursuant to Section 10.01.

      The Servicer shall keep and maintain separate accounting, on a Mortgage
Loan by Mortgage Loan basis, for the purpose of justifying any withdrawal from
the Servicer Custodial Account pursuant to clauses (i), (ii), (iv) and (v)
above. Prior to making any withdrawal from the Servicer Custodial Account
pursuant to clause (iii) above, the Servicer shall deliver to the Securities
Administrator an Officer's Certificate of a Servicing Officer indicating the
amount of any previous Advance determined by the Servicer to be a Nonrecoverable
Advance and identifying the related Mortgage Loan(s) and their respective
portions of such Nonrecoverable Advance.

      (b)   The Securities Administrator shall withdraw funds from the
Certificate Account for distributions to Certificateholders in the manner
specified in this Agreement. In addition, the Securities Administrator may from
time to time make withdrawals from the Certificate Account for the following
purposes:

            (i)     to pay (a) to itself as additional compensation earnings on
      or investment income with respect to funds in the Certificate Account, and
      (b) any other amounts (including, but not limited to, all amounts provided
      for under Section 3.02, Section 3.07, Section 8.05 and Section 9.11, other
      than the amounts provided for in the first sentence of

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      Section 9.11 or the Securities Administration Fee) due to it, the Trustee
      or the Custodian under this Agreement for the related Distribution Date;

            (ii)    to withdraw and return to the Servicer any amount deposited
      in the Certificate Account and not required to be deposited therein; and

            (iii)   to clear and terminate the Certificate Account upon
      termination of this Agreement pursuant to Section 10.01.

      (c)   On each Distribution Date, funds on deposit in the Certificate
Account and deemed to be on deposit in the Upper-Tier Certificate Sub-Account
shall be used to make payments on the Regular Certificates, the Class Swap-IO
Interest and the Class R Certificates (in respect of the Class UR Interest) as
provided in Section 5.02. The Certificate Account shall be cleared and
terminated upon termination of this Agreement pursuant to Section 10.01.

      Section 3.12  Maintenance of Hazard Insurance and Other Insurance.

      The Servicer shall cause to be maintained for each Mortgage Loan fire and
hazard insurance with extended coverage customary in the area where the
Mortgaged Property is located in an amount which is at least equal to the lesser
of (a) the full insurable value of the Mortgaged Property or (b) the greater of
(i) the outstanding principal balance owing on the Mortgage Loan and (ii) an
amount such that the proceeds of such insurance shall be sufficient to avoid the
application to the Mortgagor or loss payee of any coinsurance clause under the
policy. If the Mortgaged Property is in an area identified in the Federal
Register by the Federal Emergency Management Agency as having special flood
hazards (and such flood insurance has been made available) the Servicer will
cause to be maintained a flood insurance policy meeting the requirements of the
current guidelines of the Federal Insurance Administration and the requirements
of FNMA or FHLMC. The Servicer shall also maintain on REO Property serviced by
it, fire and hazard insurance with extended coverage in an amount which is at
least equal to the maximum insurable value of the improvements which are a part
of such property, liability insurance and, to the extent required, flood
insurance in an amount required above. Any amounts collected by the Servicer
under any such policies (other than amounts to be deposited in an Escrow Account
and applied to the restoration or repair of the property subject to the related
Mortgage or property acquired in liquidation of the Mortgage Loan, or to be
released to the Mortgagor in accordance with Customary Servicing Procedures)
shall be deposited in the Servicer Custodial Account, subject to withdrawal
pursuant to Section 3.11(a). It is understood and agreed that no earthquake or
other additional insurance need be required by the Servicer of any Mortgagor or
maintained on REO Property, other than pursuant to such applicable laws and
regulations as shall at any time be in force and as shall require such
additional insurance. All policies required hereunder shall be endorsed with
standard mortgagee clauses with loss payable to the Servicer, and shall provide
for at least thirty (30) days prior written notice of any cancellation,
reduction in amount or material change in coverage to the Servicer.

      The hazard insurance policies for each Mortgage Loan secured by a unit in
a condominium development or planned unit development shall be maintained with
respect to such Mortgage Loan and the related development in a manner which is
consistent with FNMA requirements.

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      Notwithstanding the foregoing, the Servicer may maintain a blanket policy
insuring against hazard losses on all of the Mortgaged Properties relating to
the Mortgage Loans in lieu of maintaining the required hazard insurance policies
for each Mortgage Loan and may maintain a blanket policy insuring against
special flood hazards in lieu of maintaining any required flood insurance. Any
such blanket policies shall (A) be consistent with prudent industry standards,
(B) name the Servicer as loss payee, (C) provide coverage in an amount equal to
the aggregate unpaid principal balance on the related Mortgage Loans without
co-insurance and (D) otherwise comply with the requirements of this Section
3.12. Any such blanket policy may contain a deductible clause; provided that if
any Mortgaged Property is not covered by a separate policy otherwise complying
with this Section 3.12 and a loss occurs with respect to such Mortgaged Property
which loss would have been covered by such a policy, the Servicer shall deposit
in the Servicer Custodial Account the difference, if any, between the amount
that would have been payable under a separate policy complying with this Section
3.12 and the amount paid under such blanket policy.

      Section 3.13  Enforcement of Due-On-Sale Clauses; Assumption Agreements.

      (a)   Except as otherwise provided in this Section 3.13, when any
Mortgaged Property subject to a Mortgage has been conveyed by the Mortgagor, the
Servicer shall use reasonable efforts, to the extent that it has actual
knowledge of such conveyance, to enforce any due-on-sale clause contained in any
Mortgage Note or Mortgage, to the extent permitted under applicable law and
governmental regulations, but only to the extent that such enforcement will not
adversely affect or jeopardize coverage under any Required Insurance Policy.
Notwithstanding the foregoing, the Servicer is not required to exercise such
rights with respect to a Mortgage Loan if the Person to whom the related
Mortgaged Property has been conveyed or is proposed to be conveyed satisfies the
terms and conditions contained in the Mortgage Note and Mortgage related thereto
and the consent of the mortgagee under such Mortgage Note or Mortgage is not
otherwise required under such Mortgage Note or Mortgage as a condition to such
transfer. If (i) the Servicer is prohibited by law from enforcing any such
due-on-sale clause, (ii) coverage under any Required Insurance Policy would be
adversely affected, (iii) the Mortgage Note does not include a due-on-sale
clause or (iv) nonenforcement is otherwise permitted hereunder, the Servicer is
authorized, subject to Section 3.13(b), to take or enter into an assumption and
modification agreement from or with the Person to whom such Mortgaged Property
has been or is about to be conveyed, pursuant to which such Person becomes
liable under the Mortgage Note and, unless prohibited by applicable state law,
the Mortgagor remains liable thereon; provided that the Mortgage Loan shall
continue to be covered (if so covered before the Servicer enters such agreement)
by the applicable Required Insurance Policies. The Servicer, subject to Section
3.13(b), is also authorized with the prior approval of the insurers under any
Required Insurance Policies to enter into a substitution of liability agreement
with such Person, pursuant to which the original Mortgagor is released from
liability and such Person is substituted as Mortgagor and becomes liable under
the Mortgage Note. Notwithstanding the foregoing, the Servicer shall not be
deemed to be in default under this Section 3.13 by reason of any transfer or
assumption which it reasonably believes it is restricted by law from preventing,
for any reason whatsoever.

      (b)   Subject to the Servicer's duty to enforce any due-on-sale clause to
the extent set forth in Section 3.13(a), in any case in which a Mortgaged
Property has been conveyed to a

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Person by a Mortgagor, and such Person is to enter into an assumption agreement
or modification agreement or supplement to the Mortgage Note or Mortgage or if
an instrument of release is required releasing the Mortgagor from liability on
the Mortgage Loan, the Servicer shall prepare and execute the assumption
agreement with the Person to whom the Mortgaged Property is to be conveyed and
such modification agreement or supplement to the Mortgage Note or Mortgage or
other instruments as are reasonable or necessary to carry out the terms of the
Mortgage Note or Mortgage or otherwise to comply with any applicable laws
regarding assumptions or the transfer of the Mortgaged Property to such Person.
In connection with any such assumption, no material term of the Mortgage Note
may be changed. In addition, the substitute Mortgagor and the Mortgaged Property
must be acceptable to the Servicer in accordance with its underwriting standards
as then in effect. Together with each such substitution, assumption or other
agreement or instrument, the Servicer shall execute an Officer's Certificate
signed by a Servicing Officer stating that the requirements of this subsection
have been met. The Servicer shall notify the Trustee that any such substitution
or assumption agreement has been completed by forwarding to the Trustee (or at
the direction of the Trustee, the Custodian) a copy of the Officer's Certificate
described in the previous sentence and the original of such substitution or
assumption agreement, which in the case of the original shall be added to the
related Mortgage File and shall, for all purposes, be considered a part of such
Mortgage File to the same extent as all other documents and instruments
constituting a part thereof. Any fee collected by the Servicer for entering into
an assumption or substitution of liability agreement may be retained by it as
additional servicing compensation.

      Section 3.14  Realization Upon Defaulted Mortgage Loans; REO Property.

      (a)   Subject to Section 3.18, the Servicer shall use reasonable best
efforts to foreclose upon or otherwise comparably convert the ownership of
Mortgaged Properties securing such of the Mortgage Loans as come into and
continue in default and as to which no satisfactory arrangements can be made for
collection of delinquent payments. In connection with such foreclosure or other
conversion, the Servicer shall follow Customary Servicing Procedures and shall
meet the requirements of the insurer under any Required Insurance Policy.
Notwithstanding the foregoing, the Servicer shall not be required to expend its
own funds in connection with any foreclosure or towards the restoration of any
Mortgaged Property unless it shall determine (i) that such restoration and/or
foreclosure will increase the proceeds of liquidation of the Mortgage Loan after
reimbursement to itself of such expenses and (ii) that such expenses will be
recoverable to it through proceeds of the liquidation of the Mortgage Loan
(respecting which it shall have priority for purposes of withdrawals from the
Servicer Custodial Account). Any such expenditures shall constitute Servicing
Advances for purposes of this Agreement.

      (b)   With respect to any REO Property, the deed or certificate of sale
shall be taken in the name of the Trust for the benefit of the
Certificateholders, or its nominee, on behalf of the Certificateholders. The
name of the Trust shall be placed on the title to such REO Property. The
Servicer shall ensure that the title to such REO Property references this
Agreement. Pursuant to its efforts to sell such REO Property, the Servicer shall
either itself or through an agent selected by it manage, conserve, protect and
operate such REO Property in the same manner that it manages, conserves,
protects and operates other foreclosed property for its own account and in the
same manner that similar property in the same locality as the REO Property is
managed.

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Incident to its conservation and protection of the interests of the
Certificateholders, the Servicer may rent the same, or any part thereof, as it
deems to be in the best interest of the Certificateholders for the period prior
to the sale of such REO Property. The Servicer shall prepare for and deliver to
the Securities Administrator a statement with respect to each REO Property
serviced by it that has been rented, if any, showing the aggregate rental income
received and all expenses incurred in connection with the management and
maintenance of such REO Property at such times as is necessary to enable the
Securities Administrator to comply with the reporting requirements of the REMIC
Provisions; provided, however, that the Servicer shall have no duty to rent any
REO Property on behalf of the Trust. The net monthly rental income, if any, from
such REO Property shall be deposited in the Servicer Custodial Account no later
than the close of business on each Determination Date. The Servicer shall
perform, with respect to the Mortgage Loans, the tax reporting and withholding
required by Sections 1445 and 6050J of the Code with respect to foreclosures and
abandonments, the tax reporting required by Section 6050H of the Code with
respect to the receipt of mortgage interest from individuals and, if required by
Section 6050P of the Code with respect to the cancellation of indebtedness by
certain financial entities, by preparing such tax and information returns as may
be required, in the form required.

      If the Trust acquires any Mortgaged Property as described above or
otherwise in connection with a default or a default which is reasonably
foreseeable on a Mortgage Loan, the Servicer shall dispose of such Mortgaged
Property prior to the end of the third calendar year following the year of its
acquisition by the Trust (such period, the "REO Disposition Period") unless (A)
the Trustee and the Securities Administrator shall have been supplied by the
Servicer with an Opinion of Counsel to the effect that the holding by the Trust
of such Mortgaged Property subsequent to the REO Disposition Period will not
result in the imposition of taxes on "prohibited transactions" (as defined in
Section 860F of the Code) on any REMIC or cause any REMIC Estate to fail to
qualify as a separate REMIC at any time that any Certificates are outstanding,
or (B) the Trustee or Securities Administrator (at the Servicer's expense), or
the Servicer shall have applied for, prior to the expiration of the REO
Disposition Period, and received an extension of the REO Disposition Period in
the manner contemplated by Section 856(e)(3) of the Code. If such an Opinion of
Counsel is provided or such an exemption is obtained, the Trust may continue to
hold such Mortgaged Property (subject to any conditions contained in such
Opinion of Counsel) for the applicable period. Notwithstanding any other
provision of this Agreement, no Mortgaged Property acquired by the Trust shall
be rented (or allowed to continue to be rented) or otherwise used for the
production of income by or on behalf of the Trust in such a manner or pursuant
to any terms that would (i) cause such Mortgaged Property to fail to qualify as
"foreclosure property" within the meaning of Section 860G(a)(8) of the Code or
(ii) subject any REMIC to the imposition of any federal, state or local income
taxes on the income earned from such Mortgaged Property under Section 860G(c) of
the Code or otherwise, unless the Servicer has agreed to indemnify and hold
harmless the Trust with respect to the imposition of any such taxes. The
Servicer shall identify to the Trustee and the Securities Administrator any
Mortgaged Property relating to a Mortgage Loan held by the Trust for thirty (30)
months for which no plans to dispose of such Mortgaged Property by the Servicer
have been made. After delivery of such identification, the Servicer shall
proceed to dispose of any such Mortgaged Property by holding a commercially
reasonable auction for such property.

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      The income earned from the management of any REO Properties, net of
reimbursement to the Servicer for expenses incurred (including any property or
other taxes) in connection with such management and net of unreimbursed
Servicing Fees, Periodic Advances and Servicing Advances, shall be applied to
the payment of principal of and interest on the related defaulted Mortgage Loans
(solely for the purposes of allocating principal and interest, interest shall be
treated as accruing as though such Mortgage Loans were still current) and all
such income shall be deemed, for all purposes in this Agreement, to be payments
on account of principal and interest on the related Mortgage Notes and shall be
deposited into the Servicer Custodial Account. To the extent the net income
received during any calendar month is in excess of the amount attributable to
amortizing principal and accrued interest at the related Mortgage Interest Rate
on the related Mortgage Loan for such calendar month, such excess shall be
considered to be a partial prepayment of principal of the related Mortgage Loan.

      The proceeds from any liquidation of a Mortgage Loan, as well as any
income from an REO Property, will be applied in the following order of priority:
first, to reimburse the Servicer for any related unreimbursed Servicing Advances
and Servicing Fees; second, to reimburse the Servicer for any unreimbursed
Periodic Advances and to reimburse the Servicer Custodial Account for any
Nonrecoverable Advances (or portions thereof) that were previously withdrawn by
the Servicer pursuant to Section 3.11(a)(iii) that related to such Mortgage
Loan; third, to accrued and unpaid interest (to the extent no Periodic Advance
has been made for such amount or any such Periodic Advance has been reimbursed)
on the Mortgage Loan or related REO Property, at the Mortgage Rate to the Due
Date occurring in the month in which such amounts are required to be
distributed; and fourth, as a recovery of principal of the Mortgage Loan. Excess
Proceeds, if any, from the liquidation of a Liquidated Mortgage Loan will be
retained by the Servicer as additional servicing compensation pursuant to
Section 3.17.

      Section 3.15  Trustee and Custodian to Cooperate; Release of Mortgage
Files.

      Upon the payment in full of any Mortgage Loan, or the receipt by the
Servicer of a notification that payment in full will be escrowed in a manner
customary for such purposes, the Servicer will immediately notify the Trustee
(or, at the direction of the Trustee, the Custodian) by delivering, or causing
to be delivered, two copies (one of which will be returned to the Servicer with
the Mortgage File) of a Request for Release (which may be delivered in an
electronic format acceptable to the Trustee and the Servicer). Upon receipt of
such request, the Trustee or the Custodian, as applicable, shall within seven
(7) Business Days release the related Mortgage File to the Servicer and deliver
to the Servicer the Mortgage Note with written evidence of cancellation thereon.
If the Mortgage has been recorded in the name of MERS or its designee, the
Servicer shall take all necessary action to reflect the release of the Mortgage
on the records of MERS. Expenses incurred in connection with any instrument of
satisfaction or deed of reconveyance shall be chargeable to the related
Mortgagor. From time to time and as shall be appropriate for the servicing or
foreclosure of any Mortgage Loan, including for such purpose collection under
any policy of flood insurance, any fidelity bond or errors or omissions policy,
or for the purposes of effecting a partial release of any Mortgaged Property
from the lien of the Mortgage or the making of any corrections to the Mortgage
Note or the Mortgage or any of the other documents included in the Mortgage
File, the Trustee or the Custodian, as applicable, shall, upon delivery to the
Trustee (or, at the direction of the Trustee, the Custodian) of a Request for
Release signed by a Servicing Officer, release the Mortgage File within seven
(7) Business Days

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to the Servicer. Subject to the further limitations set forth below, the
Servicer shall cause the Mortgage File so released to be returned to the Trustee
or the Custodian, as applicable, when the need therefor by the Servicer no
longer exists, unless the Mortgage Loan is liquidated and the proceeds thereof
are deposited in the Servicer Custodial Account, in which case the Servicer
shall deliver to the Trustee or the Custodian, as applicable, a Request for
Release, signed by a Servicing Officer.

      Upon prepayment in full of any Mortgage Loan or the receipt of notice that
funds for such purpose have been placed in escrow, the Servicer shall give an
instrument of satisfaction (or Assignment of Mortgage without recourse)
regarding the Mortgaged Property relating to such Mortgage Loan, which
instrument of satisfaction or Assignment of Mortgage, as the case may be, shall
be delivered to the Person entitled thereto against receipt of the prepayment in
full. If the Mortgage is registered in the name of MERS or its designee, the
Servicer shall take all necessary action to reflect the release on the records
of MERS. In lieu of executing such satisfaction or Assignment of Mortgage, or if
another document is required to be executed by the Trustee, the Servicer may
deliver or cause to be delivered to the Trustee, for signature, as appropriate,
any court pleadings, requests for trustee's sale or other documents necessary to
effectuate such foreclosure or any legal action brought to obtain judgment
against the Mortgagor on the Mortgage Note or the Mortgage or to obtain a
deficiency judgment or to enforce any other remedies or rights provided by the
Mortgage Note or the Mortgage or otherwise available at law or in equity.

      Section 3.16  Documents, Records and Funds in Possession of the Servicer
to be Held for the Trustee.

      The Servicer shall transmit to the Trustee or, at the direction of the
Trustee, the Custodian, as required by this Agreement all documents and
instruments in respect of a Mortgage Loan serviced by it coming into the
possession of the Servicer from time to time and shall account fully to the
Trustee for any funds received by the Servicer or which otherwise are collected
by the Servicer as Liquidation Proceeds or Insurance Proceeds in respect of any
Mortgage Loan. All Mortgage Files and funds collected or held by, or under the
control of, the Servicer in respect of any Mortgage Loans, whether from the
collection of principal and interest payments or from Liquidation Proceeds,
including but not limited to, any funds on deposit in the Servicer Custodial
Account, shall be held by the Servicer for and on behalf of the Trustee and
shall be and remain the sole and exclusive property of the Trustee, subject to
the applicable provisions of this Agreement. The Servicer also agrees that it
shall not knowingly create, incur or subject any Mortgage File or any funds that
are deposited in the Servicer Custodial Account, Certificate Account or any
Escrow Account, or any funds that otherwise are or may become due or payable to
the Trustee for the benefit of the Certificateholders, to any claim, lien,
security interest, judgment, levy, writ of attachment or other encumbrance
created by the Servicer, or assert by legal action or otherwise any claim or
right of setoff against any Mortgage File or any funds collected on, or in
connection with, a Mortgage Loan, except, however, that the Servicer shall be
entitled to set off against and deduct from any such funds any amounts that are
properly due and payable to the Servicer under this Agreement.

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      Section 3.17  Servicer Compensation.

      The Servicer shall be entitled out of each payment of interest on a
Mortgage Loan (or portion thereof) included in the Trust Estate to retain or
withdraw from the Servicer Custodial Account an amount equal to the Servicing
Fee for such Distribution Date; provided, however, that the aggregate Servicing
Fee for the Servicer relating to the Mortgage Loans shall be reduced (but not
below zero) by an amount equal to the Compensating Interest.

      Additional servicing compensation in the form of Excess Proceeds,
prepayment penalties, assumption fees, late payment charges and all income and
gain net of any losses realized from Permitted Investments and all other
customary and ancillary income and fees shall be retained by the Servicer to the
extent not required to be deposited in the Servicer Custodial Account pursuant
to Section 3.09(b). The Servicer shall be required to pay all expenses incurred
by it in connection with its servicing activities hereunder and shall not be
entitled to reimbursement therefor except as specifically provided in this
Agreement.

      Section 3.18  Modifications, Waivers, Amendments and Consents.

      (a)   Subject to this Section 3.18, the Servicer may agree to any
modification, waiver, forbearance, or amendment of any term of any Mortgage Loan
without the consent of the Trustee, the Securities Administrator or any
Certificateholder. All modifications, waivers, forbearances or amendments of any
Mortgage Loan shall be in writing and shall be consistent with Customary
Servicing Procedures.

      (b)   The Servicer shall not agree to enter into, and shall not enter
into, any modification, waiver (other than a waiver referred to in Section 3.13,
which waiver, if any, shall be governed by Section 3.13), forbearance or
amendment of any term of any Mortgage Loan if such modification, waiver,
forbearance, or amendment would:

            (i)     affect the amount or timing of any related payment of
      principal, interest or other amount payable thereunder;

            (ii)    in the Servicer's judgment, materially impair the security
      for such Mortgage Loan or reduce the likelihood of timely payment of
      amounts due thereon; or

            (iii)   otherwise constitute a "significant modification" within
      the meaning of Treasury Regulations Section 1.860G-2(b);

unless (A) such Mortgage Loan is ninety (90) days or more past due or (B) the
Servicer delivers to the Trustee and the Securities Administrator an Opinion of
Counsel to the effect that such modification, waiver, forbearance or amendment
would not affect the REMIC status of any REMIC and such modification, waiver,
forbearance or amendment is reasonably likely to produce a greater recovery with
respect to such Mortgage Loan than would liquidation. Notwithstanding the
foregoing, no Opinion of Counsel need be delivered if the purpose of the
modification is to reduce the Monthly Payment on a Mortgage Loan as a result of
a partial Principal Prepayment provided that the Mortgage Loan is fully
amortized by its original maturity date. Subject to Customary Servicing
Procedures, the Servicer may permit a forbearance for a Mortgage Loan which in
the Servicer's judgment is subject to imminent default.

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      (c)   The Servicer may, as a condition to granting any request by a
Mortgagor for consent, modification, waiver, forbearance or amendment, the
granting of which is within the Servicer's discretion pursuant to the Mortgage
Loan and is permitted by the terms of this Agreement, require that such
Mortgagor pay to the Servicer, as additional servicing compensation, a
reasonable or customary fee for the additional services performed in connection
with such request, together with any related costs and expenses incurred by it,
which amount shall be retained by the Servicer as additional servicing
compensation.

      (d)   The Servicer shall notify the Trustee and the Securities
Administrator, in writing, of any modification, waiver, forbearance or amendment
of any term of any Mortgage Loan and the date thereof, and shall deliver to the
Trustee (or, at the direction of the Trustee, the Custodian) for deposit in the
related Mortgage File, an original counterpart of the agreement relating to such
modification, waiver, forbearance or amendment, promptly (and in any event
within ten Business Days) following the execution thereof; provided, however,
that if any such modification, waiver, forbearance or amendment is required by
applicable law to be recorded, the Servicer (i) shall deliver to the Trustee
(or, at the direction of the Trustee, the Custodian) a copy thereof and (ii)
shall deliver to the Trustee (or, at the direction of the Trustee, the
Custodian) such document, with evidence of notification upon receipt thereof
from the public recording office.

      Section 3.19  Advances.

      The Servicer shall determine on or before each Determination Date whether
it is required to make a Periodic Advance pursuant to the definition thereof. If
the Servicer determines it is required to make a Periodic Advance, it shall, on
or before the Remittance Date, either (a) deposit into the Servicer Custodial
Account an amount equal to the Advance and/or (b) make an appropriate entry in
its records relating to the Servicer Custodial Account that any portion of the
Amount Held for Future Distribution in the Servicer Custodial Account has been
used by the Servicer in discharge of its obligation to make any such Periodic
Advance. Any funds so applied shall be replaced by the Servicer by deposit in
the Servicer Custodial Account no later than the close of business on the
Business Day preceding the next Remittance Date. The Servicer shall be entitled
to be reimbursed from the Servicer Custodial Account for all Advances of its own
funds made pursuant to this Section 3.19 as provided in Section 3.11. The
obligation to make Periodic Advances with respect to any Mortgage Loan shall
continue until the ultimate disposition of the REO Property or Mortgaged
Property relating to such Mortgage Loan. The Servicer shall deliver to the
Securities Administrator on the related Remittance Date an Officer's Certificate
of a Servicing Officer indicating the amount of any proposed Periodic Advance
determined by the Servicer to be a Nonrecoverable Advance. Notwithstanding
anything to the contrary, the Servicer shall not be required to make any
Periodic Advance or Servicing Advance that would be a Nonrecoverable Advance.

      Section 3.20  Annual Statement of Compliance.

      Each of the Servicer and the Securities Administrator shall deliver, and
shall cause any Additional Servicer engaged by it to deliver, or otherwise make
available to the Securities Administrator, no later than March 15th of each
calendar year beginning in 2007, an Officer's Certificate (each, a "Compliance
Statement"), signed by an officer of such party, stating, as to

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the signer thereof, that (a) a review of the activities of such party during the
preceding calendar year or portion thereof and of performance of such party
under this Agreement or such applicable agreement in the case of an Additional
Servicer has been made under such officer's supervision and (b) to the best of
such officers' knowledge, based on such review, such party has fulfilled all of
its obligations under this Agreement or such applicable agreement in the case of
an Additional Servicer in all material respects throughout such year, or, if
there has been a failure to fulfill any such obligation in any material respect,
specifying each such failure known to such officer and the nature and status
thereof. Such Compliance Statements shall contain no restrictions or limitations
on its use. The obligations of the Servicer and the Securities Administrator
under this Section apply to each entity that acted as Servicer or Securities
Administrator, as applicable, during the applicable period, whether or not such
entity is acting as Servicer or Securities Administrator at the time such
Compliance Statement is required to be delivered.

      In the event the Servicer or the Securities Administrator is terminated or
resigns pursuant to the terms of this Agreement, such party shall provide, and
shall use its reasonable efforts to cause any Additional Servicer that resigns
or is terminated under any applicable servicing agreement to provide, a
Compliance Statement pursuant to this Section 3.20 with respect to the period of
time that the Servicer or the Securities Administrator was subject to this
Agreement or such applicable agreement in the case of an Additional Servicer or
the period of time that the Additional Servicer was subject to such other
servicing agreement.

      Section 3.21  Assessments of Compliance and Attestation Reports.

      (a)   Each of the Servicer, the Securities Administrator and the
Custodian, each at its own expense, shall deliver, and shall cause each
Servicing Function Participant engaged by it to deliver, or otherwise make
available to the Depositor and the Securities Administrator on or before March
15th of each calendar year beginning in 2007, a report regarding such party's
assessment of compliance with the Relevant Servicing Criteria (each, an
"Assessment of Compliance"), that contains (i) a statement by such party of its
responsibility for assessing compliance with the Relevant Servicing Criteria,
(ii) a statement that such party used the Relevant Servicing Criteria to assess
compliance with the Relevant Servicing Criteria, (iii) such party's assessment
of compliance with the Relevant Servicing Criteria as of and for the fiscal year
covered by the Form 10-K required to be filed pursuant to Section 3.22(c),
including, if there has been any material instance of noncompliance with the
Relevant Servicing Criteria, a discussion of each such failure and the nature
and status thereof and (iv) a statement that a registered public accounting firm
has issued an attestation report on such party's assessment of compliance with
the Relevant Servicing Criteria as of and for such period.

      No later than February 1 of each fiscal year for the Trust for which a
Form 10-K is required to be filed, the Servicer, the Securities Administrator
and the Custodian shall each forward to the Depositor the name of each Servicing
Function Participant engaged by it and what Relevant Servicing Criteria will be
addressed in the report on assessment of compliance prepared by such Servicing
Function Participant. When the Servicer, the Securities Administrator and the
Custodian (or any Servicing Function Participant engaged by them) submit their
assessments to the Depositor and the Securities Administrator (except with
respect to the Servicer, to the

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Securities Administrator), such parties will also at such time include the
assessment (and attestation pursuant to Section 3.21(b)) of each Servicing
Function Participant engaged by it.

      Promptly after receipt of such Assessments of Compliance, the Securities
Administrator shall confirm that the Assessments of Compliance, taken
individually, address the Relevant Servicing Criteria for each party as set
forth on Exhibit M and notify the Depositor of any exceptions. None of such
parties shall be required to deliver any such Assessments of Compliance until
April 15 in any given year so long as it has received written confirmation from
the Depositor that a Form 10-K is not required to be filed in respect of the
Trust for the preceding calendar year. The Custodian and any Servicing Function
Participant engaged by it shall not be required to deliver or cause the delivery
of such Assessments of Compliance in any given year so long as it has received
written confirmation from the Depositor that a Form 10-K is not required to be
filed in respect of the Trust for the preceding fiscal year.

      (b)   Each of the Servicer, the Securities Administrator and the
Custodian, each at its own expense, shall cause, and shall cause each Servicing
Function Participant engaged by it to cause, on or before March 15th of each
calendar year beginning in 2007, a registered public accounting firm (which may
also render other services to the Servicer, the Securities Administrator, the
Custodian or such other Servicing Function Participants, as the case may be) and
that is a member of the American Institute of Certified Public Accountants to
furnish a report (each, an "Attestation Report") to the Depositor and the
Securities Administrator, to the effect that (i) it has obtained a
representation regarding certain matters from the management of such party,
which includes an assertion that such party has complied with the Relevant
Servicing Criteria, and (ii) on the basis of an examination conducted by such
firm in accordance with standards for attestation engagements issued or adopted
by the Public Company Accounting Oversight Board, it is expressing an opinion as
to whether such party's compliance with the Relevant Servicing Criteria was
fairly stated in all material respects, or it cannot express an overall opinion
regarding such party's assessment of compliance with the Relevant Servicing
Criteria. In the event that an overall opinion cannot be expressed, such
registered public accounting firm shall state in such Attestation Report why it
was unable to express such an opinion. Each such related Attestation Report
shall be made in accordance with Rules 1-02(a)(3) and 2-02(g) of the
Commission's Regulation S-X. Such Attestation Reports must be available for
general use and not contain restricted use language. If requested by the
Depositor, such report shall contain or be accompanied by a consent of such
accounting firm to inclusion or incorporation of such report in the Depositor's
registration statement on Form S-3 relating to the Offered Certificates and the
Form 10-K for the Trust.

      Promptly after receipt of such Attestation Reports, the Securities
Administrator shall confirm that each Assessment of Compliance is coupled with a
related Attestation Report and shall notify the Depositor of any exceptions.
None of such parties shall be required to deliver or cause the delivery of such
Attestation Reports until April 15 in any given year so long as it has received
written confirmation from the Depositor that a Form 10-K is not required to be
filed in respect of the Trust for the preceding fiscal year. The Custodian and
any Servicing Function Participant engaged by it shall not be required to
deliver or cause the delivery of such Attestation Report in any given year so
long as it has received written confirmation from the Depositor that a Form 10-K
is not required to be filed in respect of the Trust for the preceding fiscal
year.

                                      108

      (c)   In the event the Servicer, the Securities Administrator or the
Custodian is terminated or resigns pursuant to the terms of this Agreement, such
party shall provide, and each such party shall cause any Servicing Function
Participant engaged by it to provide, an Assessment of Compliance pursuant to
this Section 3.21, coupled with an Attestation Report as required in this
Section 3.21, with respect to the period of time that the Servicer, the
Securities Administrator or the Custodian was subject to this Agreement.

      Section 3.22  Reports to the Commission.

      (a)   The Securities Administrator and the Servicer shall reasonably
cooperate with the Depositor in connection with the Trust's satisfying its
reporting requirements under the Exchange Act. Without limiting the generality
of the foregoing, the Securities Administrator shall prepare and file on behalf
of the Trust any Form 8-K, Form 10-D and Form 10-K required by the Exchange Act
and the rules and regulations of the Commission thereunder, and the Depositor
shall sign such Forms on behalf of the Trust. Notwithstanding the previous
sentence, the Depositor shall file the Form 8-K in connection with the filing of
this Agreement.

      (b)   Within fifteen (15) days after each Distribution Date (subject to
permitted extensions under the Exchange Act), the Securities Administrator shall
prepare and file on behalf of the Trust any Form 10-D required by the Exchange
Act, in form and substance as required by the Exchange Act. The Securities
Administrator shall file each Form 10-D with a copy of the Monthly Statement for
such Distribution Date attached thereto. Any disclosure in addition to the
Monthly Statement for such Distribution Date that is required to be included on
Form 10-D ("Additional Form 10-D Disclosure") shall be reported by the parties
set forth on Exhibit N to the Depositor and the Securities Administrator and
approved by the Depositor pursuant to the following paragraph, and the
Securities Administrator will have no duty or liability for any failure
hereunder to determine or prepare any Additional Form 10-D Disclosure except as
set forth in this Section 3.22(b).

      As set forth on Exhibit N hereto, within five (5) calendar days after the
related Distribution Date, (i) the parties described on Exhibit R shall be
required to provide to the Securities Administrator (at
cts.sec.notifications@wellsfargo.com with a copy by facsimile to 410-715-2380)
and the Depositor, to the extent known by a responsible officer thereof, in
EDGAR-compatible format, or in such other format as otherwise agreed upon by the
Securities Administrator and such party, any Additional Form 10-D Disclosure, if
applicable, together with an Additional Disclosure Notification in the form of
Exhibit S and (ii) the Depositor shall approve, as to form and substance, or
disapprove, as the case may be, the inclusion of the Additional Form 10-D
Disclosure on Form 10-D. The Securities Administrator shall compile all such
information provided to it in a Form 10-D prepared by it. The Securities
Administrator has no duty under this Agreement to monitor or enforce the
performance by the parties listed on Exhibit N of their duties under this
paragraph or proactively solicit or procure from such parties any Additional
Form 10-D Disclosure information. The Depositor will be responsible for any
reasonable fees and expenses assessed or incurred by the Securities
Administrator in connection with including any Additional Form 10-D Disclosure
on Form 10-D pursuant to this paragraph.

      After preparing the Form 10-D, the Securities Administrator shall forward
electronically a copy of the Form 10-D to the Depositor for review. Within two
(2) Business Days prior to the

                                      109

15th calendar day after the related Distribution Date, a duly authorized officer
of the Depositor shall sign the Form 10-D and return an electronic or fax copy
of such signed Form 10-D (with an original executed hard copy to immediately
follow) to the Securities Administrator. If a Form 10-D cannot be filed on time
or if a previously filed Form 10-D needs to be amended, the Securities
Administrator will follow the procedures set forth in Section 3.22(g)(ii). Form
10-D requires the registrant to indicate (by checking "yes" or "no") that it
"(1) has filed all reports required to be filed by Section 13 or 15(d) of the
Exchange Act during the preceding 12 months (or for such shorter period that the
registrant was required to file such reports), and (2) has been subject to such
filing requirements for the past 90 days." The Depositor hereby represents to
the Securities Administrator that the Depositor has filed all such required
reports during the preceding 12 months and that is has been subject to such
filing requirement for the past 90 days. The Depositor shall notify the
Securities Administrator in writing, no later than the fifth calendar day after
the related Distribution Date with respect to the filing of a report on Form
10-D, if the answer to either question should be "no." The Securities
Administrator shall be entitled to rely on such representations in preparing,
executing and/or filing any such report. Promptly (but no later than 1 Business
Day) after filing with the Commission, the Securities Administrator will make
available on its internet website a final executed copy of each Form 10-D
prepared and filed by the Securities Administrator. The signing party at the
Depositor can be contacted at the address specified in Section 11.05. Each party
to this Agreement acknowledges that the performance by the Securities
Administrator of its duties under this Section 3.22(b) related to the timely
preparation, arrangement for execution and filing of Form 10-D is contingent
upon such parties strictly observing all applicable deadlines in the performance
of their duties under this Section 3.22(b) and also contingent on the Custodian
and any Servicing Function Participant strictly observing deadlines no later
than those set forth in this paragraph that are applicable to parties to this
Agreement in the delivery to the Securities Administrator of any necessary
Additional Form 10-D Disclosure pursuant to any custodial agreement or any other
applicable agreement. The Securities Administrator shall have no liability for
any loss, expense, damage, claim arising out of or with respect to any failure
to properly prepare, arrange for execution and/or timely file such Form 10-D,
where such failure results from the Securities Administrator's inability or
failure to receive, on a timely basis, any information from any other party
hereto or any Custodian or any Servicing Function Participant needed to prepare,
arrange for execution or file such Form 10-D, not resulting from its own
negligence, bad faith or willful misconduct.

      (c)   On or prior to the 90th day after the end of each fiscal year of the
Trust or such earlier date as may be required by the Exchange Act (the "10-K
Filing Deadline") (it being understood that the fiscal year for the Trust ends
on December 31st of each year), commencing in March 2007, the Securities
Administrator shall prepare and file on behalf of the Trust a Form 10-K, in form
and substance as required by the Exchange Act. Each such Form 10-K shall include
the following items, in each case to the extent they have been delivered to the
Securities Administrator within the applicable time frames set forth in this
Agreement:

            (i)     a Compliance Statement for the Servicer, the Securities
      Administrator and each Additional Servicer (each, a "Reporting Servicer")
      as described under Section 3.20;

            (ii)    (A) the Assessment of Compliance for each Reporting
      Servicer, as described under Section 3.21(a) and (c), and (B) if each
      Reporting Servicer's Assessment of Compliance identifies any material
      instance of noncompliance, disclosure identifying

                                      110

      such instance of noncompliance, or if each Reporting Servicer's Assessment
      of Compliance is not included as an exhibit to such Form 10-K, disclosure
      that such report is not included and an explanation why such report is not
      included; provided, however, that the Securities Administrator, at its
      discretion, may omit from the Form 10-K any Assessment of Compliance
      described in this clause (ii) or Attestation Report described in clause
      (iii) below that is not required to be filed with such Form 10-K pursuant
      to Regulation AB;

            (iii)   (A) the Attestation Report for each Reporting Servicer, as
      described under Section 3.21(b) and (c), and (B) if any Reporting
      Servicer's Attestation Report identifies any material instance of
      noncompliance, disclosure identifying such instance of noncompliance, or
      if any Reporting Servicer's Attestation Report is not included as an
      exhibit to such Form 10-K, disclosure that such Attestation Report is not
      included and an explanation why such Attestation Report is not included;
      and

            (iv)    a Sarbanes-Oxley Certification, as described in Section
      3.22(e).

      Any disclosure or information in addition to (i) through (iv) above that
is required to be included on Form 10-K ("Additional Form 10-K Disclosure")
shall, pursuant to the paragraph immediately below, be reported by the parties
set forth on Exhibit O to the Depositor and the Securities Administrator and
approved by the Depositor, and the Securities Administrator will have no duty or
liability for any failure hereunder to determine or prepare any Additional Form
10-K Disclosure, except as set forth in this Section 3.22(c).

      As set forth on Exhibit O hereto, no later than March 1 of each year that
the Trust is subject to the Exchange Act reporting requirements, commencing in
2007, (i) the parties described in Exhibit O shall be required to provide to the
Securities Administrator (at cts.sec.notifications@wellsfargo.com with a copy by
facsimile to 410-715-2380) and the Depositor, to the extent known by a
responsible officer thereof, in EDGAR-compatible format, or in such other format
as otherwise agreed upon by the Securities Administrator and such party,
together with an Additional Disclosure Notification in the form of Exhibit S and
(ii) the Depositor shall approve, as to form and substance, or disapprove, as
the case may be, the inclusion of the Additional Form 10-K Disclosure on Form
10-K. The Securities Administrator shall compile all such information provided
to it in a Form 10-K prepared by it. The Securities Administrator has no duty
under this Agreement to monitor or enforce the performance by the parties listed
on Exhibit O of their duties under this paragraph or proactively solicit or
procure from such parties any Additional Form 10-K Disclosure information. The
Depositor will be responsible for any reasonable fees and expenses assessed or
incurred by the Securities Administrator in connection with including any
Additional Form 10-K Disclosure on Form 10-K pursuant to this paragraph.

      After preparing the Form 10-K, the Securities Administrator shall forward
electronically a copy of the Form 10-K to the Depositor for review. No later
than 5:00 p.m. New York City time on the 4th Business Day prior to the 10-K
Filing Deadline, a senior officer of the Depositor in charge of securitization
shall sign the Form 10-K and return an electronic or fax copy of such signed
Form 10-K (with an original executed hard copy to immediately follow) to the
Securities Administrator. If a Form 10-K cannot be filed on time or if a
previously filed Form 10-K needs

                                      111

to be amended, the Securities Administrator will follow the procedures set forth
in Section 3.22(g)(ii). Form 10-K requires the registrant to indicate (by
checking "yes" or "no") that it "(1) has filed all reports required to be filed
by Section 13 or 15(d) of the Exchange Act during the preceding 12 months (or
for such shorter period that the registrant was required to file such reports),
and (2) has been subject to such filing requirements for the past 90 days." The
Depositor hereby represents to the Securities Administrator that the Depositor
has filed all such required reports during the preceding 12 months and that is
has been subject to such filing requirement for the past 90 days. The Depositor
shall notify the Securities Administrator in writing, no later than March 15th
with respect to the filing of a report on Form 10-K, if the answer to either
question should be "no." The Securities Administrator shall be entitled to rely
on such representations in preparing, executing and/or filing any such report.
Promptly (but no later than 1 Business Day) after filing with the Commission,
the Securities Administrator will make available on its internet website a final
executed copy of each Form 10-K prepared and filed by the Securities
Administrator. The signing party at the Depositor can be contacted at the
address specified in Section 11.05. The parties to this Agreement acknowledge
that the performance by the Securities Administrator of its duties under this
Section 3.22(c) related to the timely preparation, arrangement for execution and
filing of Form 10-K is contingent upon such parties strictly observing all
applicable deadlines in the performance of their duties under this Section
3.22(c), Section 3.22(e), Section 3.20 and Section 3.21 and is also contingent
upon the Custodian and any Servicing Function Participant strictly observing
deadlines no later than those set forth in this paragraph that are applicable to
the parties to this Agreement in the delivery to the Securities Administrator of
any necessary Additional Form 10-K Disclosure, any Compliance Statement, any
Assessment of Compliance and any Attestation Report pursuant to any custodial
agreement or any other applicable agreement. The Securities Administrator shall
have no liability for any loss, expense, damage, claim arising out of or with
respect to any failure to properly prepare, arrange for execution and/or timely
file such Form 10-K, where such failure results from the Securities
Administrator's inability or failure to receive, on a timely basis, any
information from any other party hereto or any Servicing Function Participant
needed to prepare, arrange for execution or file such Form 10-K, not resulting
from its own negligence, bad faith or willful misconduct.

      (d)   Within four (4) Business Days after the occurrence of an event
requiring disclosure on Form 8-K (each such event, a "Reportable Event"), and if
requested by the Depositor, the Securities Administrator shall prepare and file
on behalf of the Trust any Form 8-K, as required by the Exchange Act, provided
that the Depositor shall file the initial Form 8-Ks in connection with the
issuance of the Certificates. Any disclosure or information related to a
Reportable Event or that is otherwise required to be included on Form 8-K other
than the initial Form 8-Ks filed in connection with the issuance of the
Certificates ("Form 8-K Disclosure Information") shall be reported by the
parties set forth on Exhibit P to the Depositor and the Securities Administrator
and approved by the Depositor pursuant to the following paragraph, and the
Securities Administrator will have no duty or liability for any failure
hereunder to determine or prepare any Form 8-K Disclosure Information or any
Form 8-K, except as set forth in this Section 3.22(d).

      As set forth on Exhibit P hereto, no later than the end of business on the
2nd Business Day after the occurrence of a Reportable Event (i) the parties to
this transaction shall be required to provide to the Securities Administrator
(at cts.sec.notifications@wellsfargo.com with a copy

                                      112

by facsimile to 410-715-2380) and to the Depositor, to the extent known by a
responsible officer thereof, in EDGAR-compatible format, or in such other format
as otherwise agreed upon by the Securities Administrator and such party, any
Form 8-K Disclosure Information, if applicable, together with an Additional
Disclosure Notification in the form of Exhibit S and (ii) the Depositor shall
approve, as to form and substance, or disapprove, as the case may be, the
inclusion of the Form 8-K Disclosure Information. The Securities Administrator
shall compile all such information provided to it in a Form 8-K prepared by it.
The Securities Administrator has no duty under this Agreement to monitor or
enforce the performance by the parties listed on Exhibit P of their duties under
this paragraph or proactively solicit or procure from such parties any Form 8-K
Disclosure Information. The Depositor will be responsible for any reasonable
fees and expenses assessed or incurred by the Securities Administrator in
connection with including any Form 8-K Disclosure Information on Form 8-K
pursuant to this paragraph.

      After preparing the Form 8-K, the Securities Administrator shall forward
electronically a draft copy of the Form 8-K to the Depositor for review. No
later than the close of business on the 3rd Business Day after the Reportable
Event, the Depositor shall notify the Securities Administrator of any changes to
or approval of such Form 8-K. No later than Noon New York City time on the 4th
Business Day after the Reportable Event, a duly authorized officer of the
Depositor shall sign the Form 8-K and return an electronic or fax copy of such
signed Form 8-K (with an original executed hard copy to immediately follow) to
the Securities Administrator. If a Form 8-K cannot be filed on time or if a
previously filed Form 8-K needs to be amended, the Securities Administrator will
follow the procedures set forth in Section 3.22(g)(ii). Promptly (but no later
than 1 Business Day) after filing with the Commission, the Securities
Administrator will make available on its internet website a final executed copy
of each Form 8-K prepared and filed by the Securities Administrator. The signing
party at the Depositor can be contacted at the address specified in Section
11.05. The parties to this Agreement acknowledge that the performance by the
Securities Administrator of its duties under this Section 3.22(d) related to the
timely preparation, arrangement for execution and filing of Form 8-K is
contingent upon such parties strictly observing all applicable deadlines in the
performance of their duties under this Section 3.22(d) and is also contingent
upon the Custodian and any Servicing Function Participant strictly observing
deadlines no later than those set forth in this paragraph that are applicable to
the parties to this Agreement in the delivery to the Securities Administrator of
any necessary From 8-K Disclosure Information pursuant to any custodial
agreement or any other applicable agreement. The Securities Administrator shall
have no liability for any loss, expense, damage, claim arising out of or with
respect to any failure to properly prepare, arrange for execution and/or timely
file such Form 8-K, where such failure results from the Securities
Administrator's inability or failure to receive, on a timely basis, any
information from any other party hereto or any Custodian or any Servicing
Function Participant needed to prepare, arrange for execution or file such Form
8-K, not resulting from its own negligence, bad faith or willful misconduct.

      (e)   Each Form 10-K shall include a certification (the "Sarbanes-Oxley
Certification"), exactly as set forth in Exhibit Q attached hereto, required to
be included therewith pursuant to the Sarbanes-Oxley Act. The Securities
Administrator shall provide, and shall cause any Servicing Function Participant
engaged by it to provide, to the Person who signs the Sarbanes-Oxley
Certification (the "Certifying Person"), by March 15th of each year in which the
Trust is subject to the reporting requirements of the Exchange Act and otherwise
within a reasonable period of time upon request, a certification (each, a
"Back-up Certification"), in the

                                      113

form attached hereto as Exhibit R, upon which the Certifying Person, the entity
for which the Certifying Person acts as an officer, and such entity's officers,
directors and Affiliates (collectively with the Certifying Person,
"Certification Parties") can reasonably rely. The senior officer of the
Depositor in charge of securitization shall serve as the Certifying Person on
behalf of the Trust. Such officer of the Certifying Person can be contacted at
the address specified in Section 11.05. In the event the Securities
Administrator or any Servicing Function Participant engaged by it is terminated
or resigns pursuant to the terms of this Agreement, or any applicable
sub-servicing agreement, as the case may be, such party shall provide a Back-up
Certification to the Certifying Person pursuant to this Section 3.22(e) with
respect to the period of time it was subject to this Agreement or any applicable
sub-servicing agreement, as the case may be.

      (f)   Upon any filing with the Commission prepared and filed by the
Securities Administrator, the Securities Administrator shall promptly deliver or
make available to the Depositor a copy of any such executed report, statement or
information.

      (g)   (i)     The obligations set forth in paragraphs (a) through (f) of
this Section shall only apply with respect to periods for which reports are
required to be filed with respect to the Trust under the Exchange Act. On or
prior to January 30 of the first year in which the Securities Administrator is
able to do so under applicable law, unless otherwise requested by the Depositor,
the Securities Administrator shall prepare and file with the Commission a Form
15 Suspension Notification executed by the Depositor with respect to the Trust.
At the beginning of the calendar year after the filing of a Form 15 Suspension
Notification, if the Depositor or the Certificate Registrar determines that the
number of Certificateholders of the Offered Certificates of record exceeds the
number set forth in Section 15(d) of the Exchange Act or the regulations
promulgated pursuant thereto which would cause the Trust to again become subject
to the reporting requirements of the Exchange Act, it shall promptly notify the
Securities Administrator and the Securities Administrator shall recommence
preparing and filing reports on Form 8-K, Form 10-D and Form 10-K as required
pursuant to this Section and the then-current reporting requirements of the
Exchange Act and the parties hereto will again have the obligations set forth in
paragraphs (a) through (f) of this Section.

            (ii)    In the event that the Securities Administrator is unable to
      timely file with the Commission all or any required portion of any Form
      8-K, Form 10-D or Form 10-K required to be filed by this Agreement because
      required disclosure information was either not delivered to it or
      delivered to it after the delivery deadlines set forth in this Agreement
      or for any other reason, the Securities Administrator will immediately
      electronically notify the Depositor of such inability to make a timely
      filing with the Commission. In the case of Form 10-D and Form 10-K, the
      Servicer, the Securities Administrator, the Trustee and the Depositor will
      cooperate to prepare and file a Form 12b-25 and a Form 10-D/A and Form
      10-K/A as applicable, pursuant to Rule 12b-25 of the Exchange Act. In the
      case of Form 8-K, the Securities Administrator will, upon receipt of all
      required Form 8-K Disclosure Information and upon the approval and
      direction of the Depositor, include such disclosure information on the
      next Form 10-D. In the event that any previously filed Form 8-K, Form 10-D
      or Form 10-K needs to be amended, the Securities Administrator will notify
      the Depositor and such other parties to the transaction are as affected by
      such amendment, and such parties agree to cooperate to prepare any
      necessary Form 8-K/A, Form 10-D/A or Form 10-K/A. Any Form 15, Form

                                      114

      12b-25 or any amendment to Form 8-K, Form 10-D or Form 10-K shall be
      signed by a duly authorized officer (and a senior officer with respect to
      the Form 10-K) of the Depositor. The parties to this Agreement acknowledge
      that the performance by the Securities Administrator of its duties under
      this Section 3.22(g) related to the timely preparation, arrangement for
      execution and filing of Form 15, a Form 12b-25 or any amendment to Form
      8-K, Form 10-D or Form 10-K is contingent upon each such party performing
      its duties under this Section 3.22(g). The Securities Administrator shall
      have no liability for any loss, expense, damage, claim arising out of or
      with respect to any failure to properly prepare, arrange for execution
      and/or timely file any such Form 15, Form 12b-25 or any amendments to
      Forms 8-K, Form 10-D or Form 10-K, where such failure results from the
      Securities Administrator's inability or failure to receive, on a timely
      basis, any information from any other party hereto or any Custodian or
      Servicing Function Participant needed to prepare, arrange for execution or
      file such Form 15, Form 12b-25 or any amendments to Forms 8-K, Form 10-D
      or Form 10-K, not resulting from its own negligence, bad faith or willful
      misconduct.

      (h)   Notwithstanding the provisions of Section 11.01, this Section 3.22
may be amended without the consent of the Certificateholders.

                                   ARTICLE IV

                             SERVICER'S CERTIFICATE

      Section 4.01  Servicer's Certificate.

      Each month, on the 18th calendar day of such month (or if such day is not
a Business Day, the following Business Day), the Servicer shall deliver to the
Securities Administrator, a Servicer's Certificate (containing the data elements
set forth on Exhibit T in a format mutually acceptable to the Servicer and the
Securities Administrator). The Securities Administrator may conclusively rely
upon the information contained in a Servicer's Certificate delivered by the
Servicer for all purposes hereunder and shall have no duty to verify or
re-compute any of the information contained therein.

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                                    ARTICLE V

                 PAYMENTS AND STATEMENTS TO CERTIFICATEHOLDERS;
                              REMIC ADMINISTRATION

      Section 5.01 Distributions.

      On each Distribution Date, based solely on the information in the
Servicer's Certificate, the Securities Administrator shall distribute or be
deemed to distribute out of the Certificate Account, the Lower-Tier Certificate
Sub-Account, the Middle-Tier Certificate Sub-Account or the Upper-Tier
Certificate Sub-Account, as applicable (to the extent funds are available
therein), to each Certificateholder of record on the related Record Date (other
than as provided in Section 10.01 respecting the final distribution) (a) by
check mailed to such Certificateholder entitled to receive a distribution on
such Distribution Date at the address appearing in the Certificate Register, or
(b) upon written request by the Holder of a Certificate (other than a Residual
Certificate), by wire transfer or by such other means of payment as such
Certificateholder and the Securities Administrator shall agree upon, such
Certificateholder's Percentage Interest in the amount to which the related Class
of Certificates is entitled in accordance with the priorities set forth below in
Section 5.02.

      None of the Holders of any Class of Certificates, the Depositor, the
Servicer, the Securities Administrator or the Trustee shall in any way be
responsible or liable to Holders of any Class of Certificates in respect of
amounts properly previously distributed on any such Class.

      Amounts distributed with respect to any Class of Certificates shall be
applied first to the distribution of interest thereon and then to principal
thereon.

      Section 5.02  Priorities of Distributions on the Certificates.

      On each Distribution Date, the Securities Administrator shall withdraw
from the Certificate Account (to the extent funds are available therein) the
Interest Remittance Amount and apply it in the following order of priority and
to the extent of such funds:

      (a)   Distributions of Interest with Respect to the Certificates

      first, concurrently, as follows:

            (i)     from the Interest Remittance Amount for Loan Group 1 to the
      Class 1-A-1 Certificates, the Accrued Certificate Interest thereon for
      such Distribution Date;

            (ii)    from the Interest Remittance Amount for Loan Group 2,
      concurrently, to the Group 2 Certificates, pro rata, the Accrued
      Certificate Interest thereon for such Distribution Date;

            (iii)   from the Interest Remittance Amount for Loan Group 3,
      concurrently, to the Group 3 Certificates, pro rata, the Accrued
      Certificate Interest thereon for such Distribution Date;

                                      116

      second, concurrently, as follows:

            (i)     from the remaining Interest Remittance Amount for Loan Group
      1 to the Class 1-A-1 Certificates, the Interest Carry Forward Amount
      thereon for such Distribution Date;

            (ii)    from the remaining Interest Remittance Amount for Loan Group
      2, concurrently, to the Group 2 Certificates, pro rata, the Interest Carry
      Forward Amount thereon for such Distribution Date;

            (iii)   from the remaining Interest Remittance Amount for Loan
      Group 3, concurrently, to the Group 3 Certificates, pro rata, the Interest
      Carry Forward Amount thereon for such Distribution Date;

      third, concurrently, as follows:

            (i)     if the Interest Remittance Amount for Loan Group 1 is
      insufficient to pay the Accrued Certificate Interest for the Class 1-A-1
      Certificates for such Distribution Date in priority first, clause (i),
      then concurrently from the remaining Interest Remittance Amount for Loan
      Group 2 and remaining Interest Remittance Amount for Loan Group 3, to the
      Class 1-A-1 Certificates, to cover such shortfall for such Distribution
      Date;

            (ii)    if the Interest Remittance Amount for Loan Group 2 is
      insufficient to pay the Accrued Certificate Interest for the Group 2
      Certificates for such Distribution Date in priority first, clause (ii),
      then concurrently from the remaining Interest Remittance Amount for Loan
      Group 1 and remaining Interest Remittance Amount for Loan Group 3,
      concurrently to the Group 2 Certificates, pro rata, to cover such
      shortfall for such Distribution Date;

            (iii)   if the Interest Remittance Amount for Loan Group 3 is
      insufficient to pay the Accrued Certificate Interest for the Group 3
      Certificates for such Distribution Date in priority first, clause (iii),
      then concurrently, from the remaining Interest Remittance Amount for Loan
      Group 1 and remaining Interest Remittance Amount for Loan Group 2,
      concurrently to the Group 3 Certificates, pro rata, to cover such
      shortfall for such Distribution Date;

      fourth, concurrently, as follows:

            (i)     if the Interest Remittance Amount for Loan Group 1 is
      insufficient to pay the Interest Carry Forward Amount for the Class 1-A-1
      Certificates for such Distribution Date in priority second, clause (i),
      then concurrently, from the remaining Interest Remittance Amount for Loan
      Group 2 and remaining Interest Remittance Amount for Loan Group 3, to the
      Class 1-A-1 Certificates, to cover such shortfall for such Distribution
      Date;

            (ii)    if the Interest Remittance Amount for Loan Group 2 is
      insufficient to pay the Interest Carry Forward Amount for the Group 2
      Certificates for such Distribution Date in priority second, clause (ii),
      then concurrently, from the remaining Interest

                                      117

      Remittance Amount for Loan Group 1 and remaining Interest Remittance
      Amount for Loan Group 3, concurrently, to the Group 2 Certificates, pro
      rata, to cover such shortfall for such Distribution Date;

            (iii)   if the Interest Remittance Amount for Loan Group 3 is
      insufficient to pay the Interest Carry Forward Amount for the Group 3
      Certificates for such Distribution Date in priority second, clause (iii),
      then concurrently, from the remaining Interest Remittance Amount for Loan
      Group 1 and remaining Interest Remittance Amount for Loan Group 2,
      concurrently, to the Group 3 Certificates, pro rata, to cover such
      shortfall for such Distribution Date;

      fifth, to the Class M-1 Certificates, the Accrued Certificate Interest
thereon for such Distribution Date;

      sixth, to the Class M-2 Certificates, the Accrued Certificate Interest
thereon for such Distribution Date;

      seventh, to the Class M-3 Certificates, the Accrued Certificate Interest
thereon for such Distribution Date;

      eighth, to the Class M-4 Certificates, the Accrued Certificate Interest
thereon for such Distribution Date;

      ninth, to the Class M-5 Certificates, the Accrued Certificate Interest
thereon for such Distribution Date;

      tenth, to the Class M-6 Certificates, the Accrued Certificate Interest
thereon for such Distribution Date;

      eleventh, to the Class M-7 Certificates, the Accrued Certificate Interest
thereon for such Distribution Date; and

      twelfth, the amount, if any, of the Interest Remittance Amount remaining
after application with respect to the priorities set forth above will be applied
as described below under Section 5.02(c) hereof.

      (b)   Distributions of Principal with Respect to the Certificates

      The Securities Administrator shall withdraw from the Certificate Account
(to the extent funds are available therein) the Principal Distribution Amount
and apply it in the following order of priority and to the extent of such funds:

      With respect to each Distribution Date (a) before the Stepdown Date or (b)
as to which a Trigger Event is in effect, the Principal Distribution Amount will
be allocated among and distributed in reduction of the Class Certificate
Balances of the Certificates in the following order of priority:

                                      118

      first, concurrently, as follows:

            (i)     to the Class 1-A-1 Certificates, the Group 1 Senior
      Principal Distribution Amount until the Class Certificate Balance thereof
      has been reduced to zero;

            (ii)    from the Group 2 Senior Principal Distribution Amount, as
      follows:

                    (A)   89.9999873249%, concurrently, as follows:

                          (1)   42.2503077231% to the Class 2-A-1 Certificates,
                    until the Class Certificate Balance thereof has been reduced
                    to zero; and

                          (2)   57.7496922769%, sequentially, to the Class
                    2-A-2, Class 2-A-3 and Class 2-A-4 Certificates, in that
                    order, until the Class Certificate Balances thereof have
                    been reduced to zero; and

                    (B)   10.0000126751% to the Class 2-A-5 Certificates, until
            the Class Certificate Balance thereof has been reduced to zero; and

            (iii)   from the Group 3 Senior Principal Distribution Amount, as
      follows:

                    (A)   84.3765995663%, sequentially, to Class 3-A-1 and Class
            3-A-2 Certificates, in that order, until the Class Certificate
            Balances thereof have been reduced to zero; and

                    (B)   15.6234004337% to the Class 3-A-3 Certificates, until
            the Class Certificate Balance thereof have been reduced to zero;

      second, concurrently, as follows:

            (iv)    concurrently, the Group 1 Senior Principal Distribution
      Amount remaining after payment pursuant to priority first clause (i)
      above, pro rata, as follows:

                    (A)   to the Group 2 Certificates, as specified in priority
            first, clause (ii) above; and

                    (B)   to the Group 3 Certificates, as specified in priority
            first, clause (iii) above;

            (v)     concurrently, the Group 2 Senior Principal Distribution
      Amount remaining after payment pursuant to priority first clause (ii)
      above, pro rata, as follows:

                    (A)   to the Group 1 Certificates, as specified in priority
            first, clause (i) above; and

                    (B)   to the Group 3 Certificates, as specified in priority
            first, clause (iii) above;

                                      119

            (vi)    concurrently, the Group 3 Senior Principal Distribution
      Amount remaining after payment pursuant to priority first clause (iii)
      above, pro rata, as follows:

                    (A)   to the Group 1 Certificates, as specified in priority
            first, clause (i) above; and

                    (B)   to the Group 2 Certificates, as specified in priority
            first, clause (ii) above;

      third, to the Class M-1 Certificates, until the Class Certificate Balance
thereof has been reduced to zero;

      fourth, to the Class M-2 Certificates, until the Class Certificate Balance
thereof has been reduced to zero;

      fifth, to the Class M-3 Certificates, until the Class Certificate Balance
thereof has been reduced to zero;

      sixth, to the Class M-4 Certificates, until the Class Certificate Balance
thereof has been reduced to zero;

      seventh, to the Class M-5 Certificates, until the Class Certificate
Balance thereof has been reduced to zero;

      eighth, to the Class M-6 Certificates, until the Class Certificate Balance
thereof has been reduced to zero;

      ninth, to the Class M-7 Certificates, until the Class Certificate Balance
thereof has been reduced to zero; and

      tenth, any remaining Principal Distribution Amount will be distributed as
described below in Section 5.02(c) hereof.

      With respect to each Distribution Date (a) on or after the Stepdown Date
and (b) as long as a Trigger Event is not in effect, the Principal Distribution
Amount will be allocated among and distributed in reduction of the Class
Certificate Balances of the Certificates in the following order of priority:

      first, concurrently, as follows:

            (i)     to the Class 1-A-1 Certificates, the Group 1 Senior
      Principal Distribution Amount until the Class Certificate Balance thereof
      has been reduced to zero;

            (ii)    from the Group 2 Senior Principal Distribution Amount, as
      follows:

                    (A)   89.9999873249%, concurrently, as follows:

                          (1)   50% to the Class 2-A-1 Certificates, until the
                    Class Certificate Balance thereof has been reduced to zero;
                    and

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                          (2)   50%, sequentially, to the Class 2-A-2, Class
                    2-A-3 and Class 2-A-4 Certificates, in that order, until the
                    Class Certificate Balances thereof have been reduced to
                    zero; and

                    (B)   10.0000126751% to the Class 2-A-5 Certificates, until
            the Class Certificate Balance thereof has been reduced to zero; and

            (iii)   from the Group 3 Senior Principal Distribution Amount, as
      follows:

                    (A)   84.3765995663%, sequentially, to Class 3-A-1 and Class
            3-A-2 Certificates, in that order, until the Class Certificate
            Balances thereof have been reduced to zero; and

                    (B)   15.6234004337% to the Class 3-A-3 Certificates, until
            the Class Certificate Balance thereof have been reduced to zero;

      second, concurrently, as follows:

            (iv)    concurrently, the Group 1 Senior Principal Distribution
      Amount remaining after payment pursuant to priority first clause (i)
      above, pro rata, as follows:

                    (A)   to the Group 2 Certificates, as specified in priority
            first, clause (ii) above; and

                    (B)   to the Group 3 Certificates, as specified in priority
            first, clause (iii) above;

            (v)     concurrently, the Group 2 Senior Principal Distribution
      Amount remaining after payment pursuant to priority first clause (ii)
      above, pro rata, as follows:

                    (A)   to the Group 1 Certificates, as specified in priority
            first, clause (i) above; and

                    (B)   to the Group 3 Certificates, as specified in priority
            first, clause (iii) above;

            (vi)    concurrently, the Group 3 Senior Principal Distribution
      Amount remaining after payment pursuant to priority first clause (iii)
      above, pro rata, as follows:

                    (A)   to the Group 1 Certificates, as specified in priority
            first, clause (i) above; and

                    (B)   to the Group 2 Certificates, as specified in priority
            first, clause (ii) above;

      third, to the Class M-1 Certificates, up to the Class M-1 Principal
Distribution Amount, until the Class Certificate Balance thereof has been
reduced to zero;

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      fourth, to the Class M-2 Certificates, up to the Class M-2 Principal
Distribution Amount, until the Class Certificate Balance thereof has been
reduced to zero;

      fifth, to the Class M-3 Certificates, up to the Class M-3 Principal
Distribution Amount, until the Class Certificate Balance thereof has been
reduced to zero;

      sixth, to the Class M-4 Certificates, up to the Class M-4 Principal
Distribution Amount, until the Class Certificate Balance thereof has been
reduced to zero;

      seventh, to the Class M-5 Certificates, up to the Class M-5 Principal
Distribution Amount, until the Class Certificate Balance thereof has been
reduced to zero;

      eighth, to the Class M-6 Certificates, up to the Class M-6 Principal
Distribution Amount, until the Class Certificate Balance thereof has been
reduced to zero;

      ninth, to the Class M-7 Certificates, up to the Class M-7 Principal
Distribution Amount, until the Class Certificate Balance thereof has been
reduced to zero; and

      tenth, any remaining Principal Distribution Amount will be distributed as
described in Section 5.02(c) hereof.

      (c)   Distribution of Monthly Excess Cashflow Amounts

            (i)     On each Distribution Date, any Monthly Excess Cashflow
      Amount shall be distributed, to the extent available, in the following
      order of priority on such Distribution Date:

                    (A)   concurrently, to the Senior Certificates, pro rata,
            any remaining Accrued Certificate Interest for such Class for such
            Distribution Date;

                    (B)   concurrently, to the Senior Certificates, pro rata,
            any Interest Carry Forward Amount for such Class for such
            Distribution Date;

                    (C)   concurrently, to the Class 2-A-5 and Class 3-A-3
            Certificates, any Super Senior Support Realized Loss Amortization
            Amounts for such Distribution Date, pro rata, based upon Unpaid
            Realized Loss Amounts for each such Class of Certificates;

                    (D)   to the Class M-1 Certificates, any remaining Accrued
            Certificate Interest for such Class for such Distribution Date;

                    (E)   to the Class M-1 Certificates, any Interest Carry
            Forward Amount for such Class for such Distribution Date;

                    (F)   to the Class M-1 Certificates, any Class M-1 Realized
            Loss Amortization Amount for such Distribution Date;

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                    (G)   to the Class M-2 Certificates, any remaining Accrued
            Certificate Interest for such Class for such Distribution Date;

                    (H)   to the Class M-2 Certificates, any Interest Carry
            Forward Amount for such Class for such Distribution Date;

                    (I)   to the Class M-2 Certificates, any Class M-2 Realized
            Loss Amortization Amount for such Distribution Date;

                    (J)   to the Class M-3 Certificates, any remaining Accrued
            Certificate Interest for such Class for such Distribution Date;

                    (K)   to the Class M-3 Certificates, any Interest Carry
            Forward Amount for such Class for such Distribution Date;

                    (L)   to the Class M-3 Certificates, any Class M-3 Realized
            Loss Amortization Amount for such Distribution Date;

                    (M)   to the Class M-4 Certificates, any remaining Accrued
            Certificate Interest for such Class for such Distribution Date;

                    (N)   to the Class M-4 Certificates, any Interest Carry
            Forward Amount for such Class for such Distribution Date;

                    (O)   to the Class M-4 Certificates, any Class M-4 Realized
            Loss Amortization Amount for such Distribution Date;

                    (P)   to the Class M-5 Certificates, any remaining Accrued
            Certificate Interest for such Class for such Distribution Date;

                    (Q)   to the Class M-5 Certificates, any Interest Carry
            Forward Amount for such Class for such Distribution Date;

                    (R)   to the Class M-5 Certificates, any Class M-5 Realized
            Loss Amortization Amount for such Distribution Date;

                    (S)   to the Class M-6 Certificates, any remaining Accrued
            Certificate Interest for such Class for such Distribution Date;

                    (T)   to the Class M-6 Certificates, any Interest Carry
            Forward Amount for such Class for such Distribution Date;

                    (U)   to the Class M-6 Certificates, any Class M-6 Realized
            Loss Amortization Amount for such Distribution Date;

                    (V)   to the Class M-7 Certificates, any remaining Accrued
            Certificate Interest for such Class for such Distribution Date;

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                    (W)   to the Class M-7 Certificates, any Interest Carry
            Forward Amount for such Class for such Distribution Date;

                    (X)   to the Class M-7 Certificates, any Class M-7 Realized
            Loss Amortization Amount for such Distribution Date;

                    (Y)   from amounts otherwise distributable to the Class CE
            Certificates, first, concurrently, to the Senior Certificates, pro
            rata, based on Rate Cap Carryover Amounts for each such Class, and
            then sequentially, to the Class M-1, Class M-2, Class M-3, Class
            M-4, Class M-5, Class M-6 and Class M-7 Certificates, in that order,
            any Rate Cap Carryover Amounts for such Classes;

                    (Z)   from amounts otherwise distributable to the Class CE
            Certificates, to the Supplemental Interest Trust to fund any
            Defaulted Swap Termination Payments; and

                    (AA)  to the Class CE Certificates, up to the Class CE
            Distributable Amount.

            (ii)    On each Distribution Date, there shall be distributed to the
      Holder of the Class R Certificate (in respect of the Class UR Interest),
      any amounts remaining in the Certificate Account on such date after the
      application pursuant to Sections 5.02(a), 5.02(b) and 5.02(c).

      (d)   On each Distribution Date, after the Securities Administrator makes
the distributions of the Interest Remittance Amount, Principal Distribution
Amount, Monthly Excess Cashflow Amount and amounts on deposit in the Rate Cap
Carryover Reserve Account as set forth above, the Supplemental Interest Trust
Trustee shall distribute the amount on deposit in the Swap Account as follows:

            (i)     to the Swap Provider, any Net Swap Payment owed to the Swap
Provider pursuant to the Interest Rate Swap Agreement for such Distribution
Date;

            (ii)    to the Swap Provider, any Swap Termination Payment, other
than a Defaulted Swap Termination Payment, pursuant to the Interest Rate Swap
Agreement;

            (iii)   concurrently, to the Senior Certificates, the related
Interest Carry Forward Amount remaining undistributed after the distributions of
the Interest Remittance Amount and the Monthly Excess Cashflow Amount, on a pro
rata basis based on such respective remaining Interest Carry Forward Amount;

            (iv)    sequentially, to the Class M-1, Class M-2, Class M-3, Class
M-4, Class M-5, Class M-6 and Class M-7 Certificates, in that order, the related
Accrued Certificate Interest and Interest Carry Forward Amount, to the extent
remaining undistributed after the distributions of the Interest Remittance
Amount and the Monthly Excess Cashflow Amount;

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            (v)     to the holders of the Class or Classes of Certificates then
      entitled to receive distributions in respect of principal, in an amount
      necessary to maintain the applicable Targeted Overcollateralization Amount
      after taking into account distributions made from the Monthly Excess
      Interest Amount (but only to the extent of cumulative Realized Losses);

            (vi)    to pay concurrently in proportion of their respective Unpaid
      Realized Loss Amounts, to the Class 2-A-5 and Class 3-A-3 Certificates,
      pro rata, any remaining Unpaid Realized Loss Amounts, and then
      sequentially, to the Class M-1, Class M-2, Class M-3, Class M-4, Class
      M-5, Class M-6 and Class M-7 Certificates, in that order, to the extent of
      any remaining related Unpaid Realized Loss Amounts for each such Class;

            (vii)   concurrently, to the Senior Certificates, the related Rate
      Cap Carryover Amounts, to the extent remaining undistributed after
      distributions are made from the Rate Cap Carryover Reserve Account
      pursuant to Section 5.02(c)(i)(Y), on a pro rata basis based on such
      respective Rate Cap Carryover Amounts remaining;

            (viii)  sequentially, to the Class M-1, Class M-2, Class M-3, Class
      M-4, Class M-5, Class M-6 and Class M-7 Certificates, in that order, the
      related Rate Cap Carryover Amounts, to the extent remaining undistributed
      after distributions are made from the Rate Cap Carryover Reserve Account
      pursuant to Section 5.02(c)(i)(Y);

            (ix)    to the Swap Provider, any Defaulted Swap Termination
      Payment, to the extent not already paid; and

            (x)     to the Class CE Certificates, any remaining amounts.

      (e)   Distributions on the Uncertificated Lower-Tier Interests. On each
Distribution Date, the Securities Administrator shall be deemed to cause in the
following order of priority, the following amounts to be distributed to the
Middle-Tier REMIC on account of the Uncertificated Lower-Tier Interests (such
amount, the "Lower-Tier Distribution Amount") or withdrawn from the Certificate
Account and distributed to the Holders of the Class R Certificates (in respect
of the Class LR Interest), as the case may be:

            (i)     With respect to Loan Group 1:

                    (a)   to Holders of the Class ILR-I Interest and each of the
            Class ILR-1-A Interest through the Class ILR-60-B Interest, pro
            rata, in an amount equal to (A) Uncertificated Accrued Interest for
            such Uncertificated Lower-Tier Interest for such Distribution Date,
            plus (B) any amounts payable in respect thereof remaining unpaid
            from previous Distribution Dates;

                    (b)   to the extent of amounts remaining after the
            distributions made pursuant to clause (i) above, payments of
            principal shall be allocated as follows: first, to the Class ILR-I
            Interest, then to the Class I-LR-1-A Interest through the Class
            ILR-60-B Interest starting with the lowest numerical denomination
            until the Uncertificated Balance of each such Uncertificated
            Lower-Tier Interest is reduced to zero, provided that, for
            Uncertificated Lower-Tier Interests with the same

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            numerical denomination, such payments of principal shall be
            allocated pro rata between such Uncertificated Lower-Tier Interests,
            and second, to the extent of any Overcollateralization Release
            Amounts to the Class ILR-I Interest until the Uncertificated Balance
            of such Uncertificated Lower-Tier Interest is reduced to zero, then
            to the Class ILR-1-A Interest through the Class ILR-60-B Interest
            starting with the lowest numerical denomination until the
            Uncertificated Balance of each such Uncertificated Lower-Tier
            Interest is reduced to zero;

            (ii)    With respect to Loan Group 2:

                    (a)   to Holders of the Class IILR-I Interest and each of
            the Class IILR-1-A Interest through the Class IILR-60-B Interest,
            pro rata, in an amount equal to (A) Uncertificated Accrued Interest
            for such Uncertificated Lower-Tier Interest for such Distribution
            Date, plus (B) any amounts payable in respect thereof remaining
            unpaid from previous Distribution Dates;

                    (b)   to the extent of amounts remaining after the
            distributions made pursuant to clause (i) above, payments of
            principal shall be allocated as follows: first, to the Class IILR-I
            Interest, then to the Class IILR-1-A Interest through the Class
            IILR-60-B Interest starting with the lowest numerical denomination
            until the Uncertificated Balance of each such Uncertificated
            Lower-Tier Interest is reduced to zero, provided that, for
            Uncertificated Lower-Tier Interests with the same numerical
            denomination, such payments of principal shall be allocated pro rata
            between such Uncertificated Lower-Tier Interests, and second, to the
            extent of any Overcollateralization Release Amounts to the Class
            IILR-I Interest until the Uncertificated Balance of such
            Uncertificated Lower-Tier Interest is reduced to zero, then to the
            Class IILR-1-A Interest through the Class IILR-60-B Interest
            starting with the lowest numerical denomination until the
            Uncertificated Balance of each such Uncertificated Lower-Tier
            Interest is reduced to zero; and

            (iii)   With respect to Loan Group 3:

                    (a)   to Holders of the Class IIILR-I Interest and each of
            the Class IIILR-1-A Interest through the Class IIILR-60-B Interest,
            pro rata, in an amount equal to (A) Uncertificated Accrued Interest
            for such Uncertificated Lower-Tier Interest for such Distribution
            Date, plus (B) any amounts payable in respect thereof remaining
            unpaid from previous Distribution Dates;

                    (b)   to the extent of amounts remaining after the
            distributions made pursuant to clause (i) above, payments of
            principal shall be allocated as follows: first, to the Class IIILR-I
            Interest, then to the Class IIILR-1-A Interest through the Class
            LRIII-60-B Interest starting with the lowest numerical denomination
            until the Uncertificated Balance of each such Uncertificated
            Lower-Tier Interest is reduced to zero, provided that, for
            Uncertificated Lower-Tier Interests with the same numerical
            denomination, such payments of principal shall be allocated pro rata
            between such Uncertificated Lower-Tier Interests, and second, to the
            extent of any Overcollateralization Release Amounts to the Class
            IIILR-I Interest until

                                      126

            the Uncertificated Balance of such Uncertificated Lower-Tier
            Interest is reduced to zero, then to the Class IIILR-1-A Interest
            through the Class IIILR-60-B Interest starting with the lowest
            numerical denomination until the Uncertificated Balance of each such
            Uncertificated Lower-Tier Interest is reduced to zero; and

            (iv)    any remaining amount to the Holders of the Class R
      Certificates (in respect of the Class LR Interest).

      (f)   Distributions on the Uncertificated Middle-Tier Interests. On each
Distribution Date, the Securities Administrator shall be deemed to cause in the
following order of priority, the following amounts to be distributed by the
Middle-Tier REMIC to the Upper-Tier REMIC on account of the Middle-Tier
Interests (such amount, the "Middle-Tier Distribution Amount") or withdrawn from
the Certificate Account and distributed to the Holders of the Class 2-A-R
Certificates (in respect of the Class MR Interest), as the case may be:

            (i)     first, to the Holders of the Class MRIO Interest, in an
      amount equal to (A) Uncertificated Accrued Interest for such
      Uncertificated Middle-Tier Interest for such Distribution Date, plus (B)
      any amounts in respect thereof remaining unpaid from previous Distribution
      Dates and second, to Holders of the Class MRAA Interest, the Class MR1A1
      Interest, the Class MR2A1 Interest, the Class MR2A2 Interest, the Class
      MR2A3 Interest, the Class MR2A4 Interest, the Class MR2A5 Interest, the
      Class MR3A1 Interest, the Class MR3A2 Interest, the Class MR3A3 Interest,
      the Class MRM1 Interest, the Class MRM2 Interest, the Class MRM3 Interest,
      the Class MRM4 Interest, the Class MRM5 Interest, the Class MRM6 Interest,
      the Class MRM7 Interest and the Class MRZZ Interest, pro rata, in an
      amount equal to (A) the Uncertificated Accrued Interest for such
      Distribution Date, plus (B) any amounts in respect thereof remaining
      unpaid from previous Distribution Dates. Amounts payable as Uncertificated
      Accrued Interest in respect of the Class MRZZ Interest shall be reduced
      and deferred when the Middle-Tier REMIC Overcollateralized Amount is less
      than the Middle-Tier REMIC Overcollateralization Target Amount, by the
      lesser of (x) the amount of such difference and (y) the Maximum MRZZ
      Uncertificated Accrued Interest Deferral Amount and such amount will be
      payable to the Holders of the Class MR1A1 Interest, the Class MR2A1
      Interest, the Class MR2A2 Interest, the Class MR2A3 Interest, the Class
      MR2A4 Interest, the Class MR2A5 Interest, the Class MR3A1 Interest, the
      Class MR3A2 Interest, the Class MR3A3 Interest, the Class MRM1 Interest,
      the Class MRM2 Interest, the Class MRM3 Interest, the Class MRM4 Interest,
      the Class MRM5 Interest, the Class MRM6 Interest and the Class MRM7
      Interest, in the same proportion as the Overcollateralization Deficiency
      is allocated to the Corresponding Classes and the Uncertificated Balance
      of the Class MRZZ Interest shall be increased by such amount;

            (ii)    to the extent of the Middle-Tier Sub WAC Allocation
      Percentage of the Interest Remittance Amount remaining after the
      distribution pursuant to clause (i)(A) and (B), to the Holders of the
      MR1SUB Interest, the MR1GRP Interest, MR2SUB Interest, the MR2GRP
      Interest, MR3SUB Interest, the MR3GRP Interest, the MRXX Interest, pro
      rata, in an amount equal to (A) the Uncertificated Interest for such
      Distribution Date, plus (B) any amounts in respect thereof remaining
      unpaid from previous Distribution Dates;

                                      127

            (iii)   to the Holders of the Uncertificated Middle-Tier Interests,
      in an amount equal to the remainder of the Middle REMIC Marker Allocation
      Percentage Available Funds for such Distribution Date after the
      distributions made pursuant to clause (i) and (ii) above, allocated as
      follows:

                    (1)   to the Class MR1A1 Interest, the Class MR2A1 Interest,
            the Class MR2A2 Interest, the Class MR2A3 Interest, the Class MR2A4
            Interest, the Class MR2A5 Interest, the Class MR3A1 Interest, the
            Class MR3A2 Interest, the Class MR3A3 Interest, the Class MRM1
            Interest, the Class MRM2 Interest, the Class MRM3 Interest, the
            Class MRM4 Interest, the Class MRM5 Interest, the Class MRM6
            Interest and the Class MRM7 Interest, 1.00% of such remainder, in
            the same proportion as principal payments are allocated to the
            Corresponding Classes, until the Uncertificated Balances of such
            Uncertificated Middle-Tier Interests are reduced to zero; then

                    (2)   to the Class MRZZ Interest, 1.00% of such remainder,
            until the Uncertificated Balance of such Uncertificated Middle-Tier
            Interest is reduced to zero;

                    (3)   any remaining amount to the Holders of the Class R
            Certificates (in respect of the Class MR Interest);

      provided, however, that (i) 98.00% and (ii) 2.00% of any principal
payments that are attributable to an Overcollateralization Release Amount shall
be allocated to (i) the Class MRAA Interest and (ii) the Class MRZZ Interest.

            (iv)    to the Holders of Uncertificated Lower-Tier Interests, in an
      amount equal to the Middle-Tier Sub WAC Allocation Percentage of Available
      Funds for such Distribution Date after the distributions made pursuant to
      clause (i), (ii) and (iii) above, such that distributions of principal
      shall be deemed to be made to the Uncertificated Lower-Tier Interests
      first, so as to keep the Uncertificated Principal Balance of each
      Uncertificated Lower-Tier Interest ending with the designation "GRP" equal
      to 0.01% of the aggregate Stated Principal Balance of the Mortgage Loans
      in the related group of Mortgage Loans; second, to each Uncertificated
      Lower-Tier Interest ending with the designation "SUB," so that the
      Uncertificated Principal Balance of each such Uncertificated Lower-Tier
      Interest is equal to 0.01% of the excess of (x) the aggregate Stated
      Principal Balance of the Mortgage Loans in the related group of Mortgage
      Loans over (y) the aggregate current Class Certificate Balance of the
      Senior Certificates in the related group of Mortgage Loans (except that if
      any such excess is a larger number than in the preceding distribution
      period, the least amount of principal shall be distributed to such
      Uncertificated Lower-Tier Interests such that the Lower-Tier REMIC
      Subordinated Balance Ratio is maintained); and third, any remaining
      principal to Uncertificated Lower-Tier Interest MRXX.

      (g)   Distributions on the Upper-Tier Interests. On each Distribution
Date, 100% of the amounts deemed distributed on the Class MRIO Interest shall be
deemed distributed by the Upper-Tier REMIC in respect of the Class Swap-IO
Interest. Such amounts shall be deemed

                                      128

distributed by the Upper-Tier REMIC to the Supplemental Interest Trust for
deposit into the Swap Account. Other amounts deemed distributed by the
Middle-Tier REMIC to the Upper-Tier REMIC shall be deemed distributed with
respect to Upper-Tier Interests (other than the Class Swap-IO Interest) so as to
(i) pay the Uncertificated Accrued Interest on such Upper-Tier Interest plus any
amounts in respect thereof remaining unpaid from previous Distribution Dates and
(ii) reduce the Class Certificate Balance or Notional Amount of each such
Upper-Tier Interest to the extent necessary so that it equals the Class
Certificate Balance or Notional Amount of the corresponding Class of
Certificates. Any remaining amounts will be deemed distributed with respect to
the Class UR Interest.

      (h)   Allocation of Losses on the Uncertificated Lower-Tier Interests, the
Uncertificated Middle-Tier Interests and the Upper-Tier Interests. The
Securities Administrator shall be deemed to cause the following allocation of
losses:

            (i)     (a)   For purposes of calculating the amount of
      Uncertificated Accrued Interest for the Uncertificated Lower-Tier
      Interests, the aggregate amount of any Relief Act Reductions shall be
      allocated first, to the Class LR-I Interest and to the Uncertificated
      Lower-Tier Interests ending with the designation "B" of the related Loan
      Group, pro rata based on, and to the extent of, one month's interest at
      the then applicable respective Uncertificated Lower-Tier REMIC
      Pass-Through Rates on the respective Uncertificated Balances of each such
      Uncertificated Lower-Tier Interest, and then, to Uncertificated Lower-Tier
      Interests ending with the designation "A" of the related Loan Group, pro
      rata based on, and to the extent of, one month's interest at the then
      applicable respective Uncertificated Lower-Tier REMIC Pass-Through Rates
      on the respective Uncertificated Balances of each such Uncertificated
      Lower-Tier Interest.

                    (b)   (I)   The Middle-Tier Marker Allocation Percentage
      aggregate amount of any Relief Act Reductions incurred in respect of the
      Mortgage Loans for any Distribution Date shall be allocated first, to
      Uncertificated Accrued Interest payable to (i) the Class MRAA Interest and
      (ii) the Class MRZZ Interest up to an aggregate amount equal to the
      Middle-Tier REMIC Interest Loss Allocation Amount, 98% and 2%,
      respectively, and thereafter among the Class MR1A1 Interest, the Class
      MR2A1 Interest, the Class MR2A2 Interest, the Class MR2A3 Interest, the
      Class MR2A4 Interest, the Class MR2A5 Interest, the Class MR3A1 Interest,
      the Class MR3A2 Interest, the Class MR3A3 Interest, the Class MRM1
      Interest, the Class MRM2 Interest, the Class MRM3 Interest, the Class MRM4
      Interest, the Class MRM5 Interest, the Class MRM6 Interest, the Class MRM7
      Interest and the Class MRZZ Interest, pro rata, based on, and to the
      extent of, one month's interest at the then applicable respective
      Uncertificated Middle-Tier REMIC Pass-Through Rate on the respective
      Uncertificated Balance of each such Uncertificated Middle-Tier Interest;

                          (II)  The Middle-Tier Sub WAC Allocation Percentage of
      the aggregate amount of any Relief Act Reduction incurred in respect of
      the Mortgage Loans for any Distribution Date shall be allocated first, to
      the MR1SUB Interest, the MR1GRP Interest, MR2SUB Interest, the MR2GRP
      Interest, MR3SUB Interest, the MR3GRP Interest, the MRXX Interest, pro
      rata, based on, and to the extent of, one month's interest

                                      129

      at the then applicable respective Uncertificated Lower-Tier REMIC
      Pass-Through Rate on the respective Uncertificated Balance of each such
      Uncertificated Lower-Tier Interest;

                    (c)   The aggregate amount of any Relief Act Reductions
      incurred in respect of the Mortgage Loans for any Distribution Date shall
      be allocated to the Upper-Tier Interests (other than the Class Swap-IO
      Interest) pro rata based on, and to the extent of, the Uncertificated
      Accrued Interest for such Upper-Tier Interest for such Distribution Date.

            (ii)    (a)   All Realized Losses on the Mortgage Loans shall be
      allocated on each Distribution Date first, from each Loan Group to the
      Class LR-I Interest of the related Loan Group until the Uncertificated
      Balance of such Uncertificated Lower-Tier Interest of the related Loan
      Group has been reduced to zero and second, from each Loan Group to the
      Class LR-1-A Interest through the Class LR-60-B Interest of the related
      Loan Group, starting with the lowest numerical denomination until such
      Uncertificated Lower-Tier Interest has been reduced to zero, provided
      that, for Uncertificated Lower-Tier Interests with the same numerical
      denomination, such Realized Losses shall be allocated pro rata between
      such Uncertificated Lower-Tier Interests.

                    (b)   (I)   The Middle-Tier Marker Allocation Percentage of
      all Realized Losses on the Mortgage Loans shall be allocated by the
      Trustee on each Distribution Date to the following Uncertificated
      Middle-Tier Interests in the specified percentages, as follows: first, to
      Uncertificated Accrued Interest payable to (i) the Class MRAA Interest and
      (ii) the Class MRZZ Interest up to an aggregate amount equal to the
      Middle-Tier REMIC Interest Loss Allocation Amount, 98% and 2%,
      respectively; second, to the Uncertificated Balances of the Class MRAA
      Interest and the Class MRZZ Interest up to an aggregate amount equal to
      the Middle-Tier REMIC Principal Loss Allocation Amount, 98% and 2%,
      respectively; third, to the Uncertificated Balances of the Class MRAA
      Interest, the Class MRM7 Interest and the Class MRZZ Interest, 98%, 1% and
      1%, respectively, until the Uncertificated Balance of the Class MRM7 has
      been reduced to zero; fourth, to the Uncertificated Balances of the Class
      MRAA Interest, the Class MRM6 Interest and the Class MRZZ Interest, 98%,
      1% and 1%, respectively, until the Uncertificated Balance of the Class
      MRM6 has been reduced to zero; fifth, to the Uncertificated Balances of
      the Class MRAA Interest, the Class MRM5 Interest and the Class MRZZ
      Interest, 98%, 1% and 1%, respectively, until the Uncertificated Balance
      of the Class MRM5 has been reduced to zero; sixth, to the Uncertificated
      Balances of the Class MRAA Interest, the Class MRM4 Interest and the Class
      MRZZ Interest, 98%, 1% and 1%, respectively, until the Uncertificated
      Balance of the Class MRM4 Interest has been reduced to zero; seventh, to
      the Uncertificated Balances of the Class MRAA Interest, the Class MRM3
      Interest and the Class MRZZ Interest, 98%, 1% and 1%, respectively, until
      the Uncertificated Balance of the Class MRM3 Interest has been reduced to
      zero; eighth, to the Uncertificated Balances of the Class MRAA Interest,
      the Class MRM2 Interest and the Class MRZZ Interest, 98%, 1% and 1%,
      respectively, until the Uncertificated Balance of the Class MRM2 Interest
      has been reduced to zero; ninth, to the Uncertificated Balances of the
      Class MRAA Interest, the Class MRM1 Interest and the Class MRZZ Interest,
      98%, 1% and 1%, respectively, until the Uncertificated Balance of the
      Class MRM1 Interest has been reduced to zero; and tenth, to the
      Uncertificated

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      Balances of the Class MRAA Interest, the Class MR2A5 Interest and the
      Class MR3A3 Interest, pro rata, and the Class MRZZ Interest, 98%, 1% and
      1%, respectively, until the Uncertificated Balances of the Class MR2A5
      Interest and the Class MR3A3 Interest have been reduced to zero.

                          (II)  The REMIC 1 Sub WAC Allocation Percentage of all
      Realized Losses shall be applied after all distributions have been made on
      each Distribution Date first, so as to keep the Uncertificated Balance of
      each Uncertificated Lower-Tier Interest ending with the designation "GRP"
      equal to 0.01% of the aggregate Stated Principal Balance of the Mortgage
      Loans in the related Loan Group; second, to each Uncertificated Lower-Tier
      Interest ending with the designation "SUB," so that the Uncertificated
      Principal Balance of each such Uncertificated Lower-Tier Interest is equal
      to 0.01% of the excess of (x) the aggregate Stated Principal Balance of
      the Mortgage Loans in the related Loan Group over (y) the aggregate
      current Class Certificate Balances of the Senior in the related Loan Group
      (except that if any such excess is a larger number than in the preceding
      distribution period, the least amount of Realized Losses shall be applied
      to such Uncertificated Lower-Tier Interests such that the Middle-Tier
      Subordinated Balance Ratio is maintained); and third, any remaining
      Realized Losses shall be allocated to Uncertificated Lower-Tier Interest
      MRXX.

                    (c)   All Realized Losses on the Mortgage Loans shall be
      allocated by the Securities Administrator on each Distribution Date to the
      Upper-Tier Interests such that the Class Certificate Balance or Notional
      Amount of each such Upper-Tier Interest equals the Class Certificate
      Balance or Notional Amount of the corresponding Class of Certificates.

      (i)   Notwithstanding anything to the contrary contained herein, the above
distributions in Sections 5.02(h) through (l) (other than on the Certificates)
are deemed distributions, and distributions of funds from the Certificate
Account shall be made only in accordance with Sections 5.02(a) through (f)
hereof.

      Section 5.03  Allocation of Losses.

      (a)   On or prior to each Determination Date, the Servicer shall inform
the Securities Administrator in writing with respect to each Mortgage Loan: (1)
whether any Realized Loss is a Deficient Valuation or a Debt Service Reduction,
(2) of the amount of such loss or Deficient Valuation, or of the terms of such
Debt Service Reduction and (3) of the total amount of Realized Losses on the
Mortgage Loans in each Loan Group. Based on such information, the Securities
Administrator shall determine the total amount of Realized Losses on the
Mortgage Loans in each Loan Group with respect to the related Distribution Date.
Realized Losses shall be allocated to the Certificates by a reduction in the
Class Certificate Balances of the designated Classes pursuant to the operation
of Section 5.03(b).

      (b)   Allocation of Losses on the Certificates. Any Applied Realized Loss
Amount for a Distribution Date will be allocated in reduction of the Class
Certificate Balances of the Class M-7, Class M-6, Class M-5, Class M-4, Class
M-3, Class M-2, Class M-1 Certificates, in that order, and until the respective
Class Certificate Balances thereof are reduced to zero.

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      On any Distribution Date on which the Subordinated Applied Realized Loss
Amount exceeds the Class Certificate Balance of the Class M-1 Certificates,
Realized Losses with respect to (i) the Group 1 Mortgage Loans shall be applied
to reduce the Class Certificate Balance of the Class M-1 Certificates in an
amount up to the product of (a) the amount of Realized Losses with respect to
the Group 1 Mortgage Loans divided by the amount of Realized Losses with respect
to all the Mortgage Loans and (b) the Class Certificate Balance of Class M-1
Certificates, (ii) the Group 2 Mortgage Loans shall be applied to reduce the
Class Certificate Balance of the Class M-1 Certificates in an amount up to the
product of (a) the amount of Realized Losses with respect to the Group 2
Mortgage Loans divided by the amount of Realized Losses with respect to all the
Mortgage Loans and (b) the Class Certificate Balance of Class M-1 Certificates
and (iii) the Group 3 Mortgage Loans shall be applied to reduce the Class
Certificate Balance of the Class M-1 Certificates in an amount up to the product
of (a) the amount of Realized Losses with respect to the Group 3 Mortgage Loans
divided by the amount of Realized Losses with respect to all the Mortgage Loans
and (b) the Class Certificate Balance of Class M-1 Certificates. To the extent
of any remaining Class 2-A-5 Applied Realized Loss Amount for such Distribution
Date, any remaining Realized Losses with respect to the Group 2 Mortgage Loans
will be allocated against the Class 2-A-5 Certificates until their Class
Certificate Balance has been reduced to zero. To the extent of any remaining
Class 3-A-3 Applied Realized Loss Amount for such Distribution Date, any
remaining Realized Losses with respect to the Group 3 Mortgage Loans will be
allocated against the Class 3-A-3 Certificates until their Class Certificate
Balance has been reduced to zero.

      After the Distribution Date on which the Class Certificate Balance of the
Class M-1 Certificates has been reduced to zero, any Class 2-A-5 Applied
Realized Loss Amount for a Distribution Date will be allocated in reduction of
the Class Certificate Balance of the Class 2-A-5 Certificates and any Class
3-A-3 Applied Realized Loss Amount for a Distribution Date will be allocated in
reduction of the Class Certificate Balance of the Class 3-A-3 Certificates.

      No Realized Losses shall be allocated in reduction of the Class
Certificate Balances of the Class 1-A-1, Class 2-A-1, Class 2-A-2, Class 2-A-3,
Class 2-A-4, Class 3-A-1 and Class 3-A-2 Certificates.

      Section 5.04  Statements to Certificateholders.

      (a)   Prior to the Distribution Date in each month, based upon the
information provided to the Securities Administrator on the Servicer's
Certificate delivered to the Securities Administrator pursuant to Section 4.01,
the Securities Administrator shall determine the following information with
respect to such Distribution Date:

            (i)     the actual Distribution Date, the related Record Date, the
      LIBOR Determination Date and the Interest Accrual Period for each Class
      for such Distribution Date;

            (ii)    if the distribution to the Holders of such Class of
      Certificates is less than the full amount that would be distributable to
      such Holders if there were sufficient funds available therefor, the amount
      of the shortfall and the allocation thereof as between principal and
      interest;

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            (iii)   the Class Certificate Balance of each Class of Certificates
      before and after giving effect to the distribution of principal on such
      Distribution Date;

            (iv)    the amount of the Servicing Fee paid to or retained by the
      Servicer with respect to each Loan Group and such Distribution Date;

            (v)     the Pass-Through Rate and Certificate Interest Rate for each
      such Class of Certificates with respect to such Distribution Date;

            (vi)    the amount of Periodic Advances included in the distribution
      on such Distribution Date and the aggregate amount of Periodic Advances
      outstanding as of the close of business on the Determination Date
      immediately preceding such Distribution Date;

            (vii)   for each Loan Group, the number and aggregate principal
      amounts of Mortgage Loans (A) delinquent (exclusive of Mortgage Loans in
      foreclosure or bankruptcy) 1 to 30 days, 31 to 60 days, 61 to 90 days and
      91 or more days, (B) in foreclosure, as of the close of business on the
      last day of the calendar month preceding such Distribution Date and (C) in
      bankruptcy, as of the close of business on the last day of the calendar
      month preceding such Distribution Date;

            (viii)  for each Loan Group, with respect to any Mortgage Loans that
      became REO Properties during the preceding calendar month, the aggregate
      number of such Mortgage Loans and the aggregated Stated Principal Balance
      of such Mortgage Loans as of the close of business on the Determination
      Date preceding such Distribution Date and the date of acquisition of the
      REO Properties;

            (ix)    for each Loan Group, the total number and principal balance
      of any REO Properties (and market value, if available) as of the close of
      business on the Determination Date preceding such Distribution Date;

            (x)     for each Loan Group, the aggregate amount of Realized Losses
      and Applied Realized Loss Amounts incurred during the related Collection
      Period separately identifying any reduction thereof due to the allocations
      of Applied Realized Loss Amounts;

            (xi)    for each Loan Group, the Reimbursement Amount;

            (xii)   for each Loan Group, the amount of Recoveries;

            (xiii)  any expenses or indemnification amounts paid by the Trust,
      the specific purpose of each payment and the parties to whom such payments
      were made;

            (xiv)   any material modifications, extensions or waivers to
      Mortgage Loan terms, fees, penalties or payments since the previous
      Distribution Date and cumulatively since the Cut-off Date

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            (xv)    for each Loan Group, the number of Mortgage Loans at the
      beginning and end of the related Collection Period, the weighted average
      Mortgage Interest Rate of the Mortgage Loans as of the last day of the
      related Collection Period and the weighted average remaining term of the
      Mortgage Loans;

            (xvi)   unless such information is otherwise set forth in the Form
      10-D relating to such Distribution Date and provided that the Securities
      Administrator is reasonably able to include such information in the
      statement, material breaches of Mortgage Loan representations and
      warranties of which the Securities Administrator has knowledge or has
      received written notice;

            (xvii)  unless such information is otherwise set forth in the Form
      10-D relating to such Distribution Date and provided that the Securities
      Administrator is reasonably able to include such information in the
      statement, material breaches of any covenants under this Agreement of
      which the Securities Administrator has knowledge or has received written
      notice;

            (xviii) the Accrued Certificate Interest in respect of each Class of
      Certificates for such Distribution Date and any related Cap Carryover
      Amounts, and the respective portions thereof, if any, remaining unpaid
      following the distributions made in respect of such Certificates on such
      Distribution Date;

            (xix)   the Rate Cap Carryover Amounts distributed on such
      Distribution Date, the amounts remaining after giving effect to
      distributions thereof on such Distribution Date, the amount of all Rate
      Cap Carryover Amounts covered by withdrawals from the Rate Cap Carryover
      Reserve Account and the Swap Account on such Distribution Date;

            (xx)    whether a Trigger Event has occurred and is continuing, and
      the cumulative Realized Losses as a percentage of the Cut-off Date Pool
      Principal Balance;

            (xxi)   the Overcollateralization Amount, the Overcollateralization
      Release Amount, the Overcollateralization Deficiency and the Targeted
      Overcollateralization Amount as of such Distribution Date and the Monthly
      Excess Interest Amount and Monthly Excess Cashflow Amount for such
      Distribution Date;

            (xxii)  the Principal Remittance Amount and the Interest Remittance
      Amount;

            (xxiii) only for so long as the Trust is subject to the Exchange Act
      reporting requirements, the aggregate "significance percentage" of the
      Interest Rate Agreements;

            (xxiv)  the amount of any Net Swap Payments or Swap Termination
      Payments; and

            (xxv)   the amounts received under the Interest Rate Cap Agreements
      and the Interest Rate Floor Agreement.

      For all purposes of this Agreement, with respect to any Mortgage Loan,
delinquencies shall be determined and reported based on the so-called "MBA"
methodology for determining

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delinquencies on mortgage loans similar to the Mortgage Loans. By way of
example, a Mortgage Loan would be delinquent with respect to a Monthly Payment
due on a Due Date if such Monthly Payment is not made by the close of business
on the Mortgage Loan's next succeeding Due Date, and a Mortgage Loan would be
more than 30-days Delinquent with respect to such Monthly Payment if such
Monthly Payment were not made by the close of business on the Mortgage Loan's
second succeeding Due Date.

      (b)   No later than each Distribution Date, the Securities Administrator,
based upon information supplied to it on the Servicer's Certificate, shall make
available to each Holder of a Certificate, each Rating Agency and the Servicer,
a statement setting forth the information set forth in Section 5.04 (a "Monthly
Statement").

      In the case of information furnished pursuant to clauses (iii) and (iv) of
Section 5.04, the amounts shall be expressed as a dollar amount per Certificate
with a $1,000 denomination.

      On each Distribution Date, the Securities Administrator shall prepare and
make available to each Financial Market Service, in electronic or such other
format and media mutually agreed upon by the Securities Administrator, the
Financial Market Service and the Depositor, the information contained in the
Servicer's Certificate described in Section 4.01 for such Distribution Date.

      The Securities Administrator will make the Monthly Statement to
Certificateholders (and, at its option, any additional files containing the same
or additional information in an alternative format) available each month to
Certificateholders, the NIMS Insurer and other parties to this Agreement via the
Securities Administrator's Internet website. The Securities Administrator's
Internet website shall initially be located at "www.ctslink.com." Assistance in
using the website can be obtained by calling the Securities Administrator's
customer service desk at (301) 815-6600. Parties that are unable to use the
website are entitled to have a paper copy mailed to them via first class mail by
calling the customer service desk and indicating such. The Securities
Administrator shall have the right to change the way the Monthly Statements to
Certificateholders are distributed in order to make such distribution more
convenient and/or more accessible to the above parties and the Securities
Administrator shall provide timely and adequate notification to all above
parties regarding any such changes.

      Within a reasonable period of time after the end of each calendar year,
the Securities Administrator shall furnish to the NIMS Insurer and each Person
who at any time during the calendar year was the Holder of a Certificate, if
requested in writing by such Person, a statement containing the information set
forth in clauses (iii) and (iv) of Section 5.04, in each case aggregated for
such calendar year or applicable portion thereof during which such Person was a
Certificateholder. Such obligation of the Securities Administrator shall be
deemed to have been satisfied to the extent that substantially comparable
information shall be provided by the Securities Administrator pursuant to any
requirements of the Code as from time to time in force.

      The Securities Administrator shall deliver to the Holders of Certificates
any reports or information the Securities Administrator is required by this
Agreement or the Code, Treasury Regulations or REMIC Provisions to deliver to
the Holders of Certificates, and the Securities Administrator shall prepare and
provide to the Certificateholders (by mail, telephone, or

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publication as may be permitted by applicable Treasury Regulations) such other
reasonable information as the Securities Administrator deems necessary or
appropriate or is required by the Code, Treasury Regulations, and the REMIC
Provisions including, but not limited to, (i) information to be reported to the
Holder of the Residual Certificate for quarterly notices on Schedule Q (Form
1066) (which information shall be forwarded to the Holder of the Residual
Certificate by the Securities Administrator), (ii) information to be provided to
the Holders of Certificates with respect to amounts which should be included as
interest and original issue discount in such Holders' gross income and (iii)
information to be provided to all Holders of Certificates setting forth the
percentage of each REMIC's assets, determined in accordance with Treasury
Regulations using a convention, not inconsistent with Treasury Regulations,
selected by the Securities Administrator in its absolute discretion, that
constitute real estate assets under Section 856 of the Code, and assets
described in Section 7701(a)(19)(C) of the Code; provided, however, that in
setting forth the percentage of such assets of each REMIC, nothing contained in
this Agreement, including without limitation Section 7.03 hereof, shall be
interpreted to require the Securities Administrator periodically to appraise the
fair market values of the assets of the Trust Estate or to indemnify the Trust
Estate or any Certificateholders from any adverse federal, state or local tax
consequences associated with a change subsequently required to be made in the
Depositor's initial good faith determinations of such fair market values (if
subsequent determinations are required pursuant to the REMIC Provisions) made
from time to time.

      Section 5.05  Tax Returns and Reports to Certificateholders.

      (a)   For federal income tax purposes, each REMIC shall have a taxable
year ending on December 31st and shall maintain its books on the accrual method
of accounting.

      (b)   The Securities Administrator shall prepare or cause to be prepared,
shall cause to be timely signed by the Trustee, and shall file or cause to be
filed with the Internal Revenue Service and applicable state or local tax
authorities income tax and information returns for each taxable year with
respect to each REMIC created hereunder containing such information at the times
and in the manner as may be required by the Code, the Treasury Regulations or
state or local tax laws, regulations, or rules, and shall furnish or cause to be
furnished to each REMIC created hereunder and the Certificateholders the
schedules, statements or information at such times and in such manner as may be
required thereby. The Servicer shall provide on a timely basis to the Securities
Administrator or its designee such information with respect to the assets of the
Trust Estate as is in its possession and reasonably required by the Securities
Administrator to enable it to perform its obligations under this Article V.
Within 30 days of the Closing Date, the Securities Administrator shall obtain
for each legal entity created hereunder a taxpayer identification number on Form
SS-4 and any similarly required state or local forms or as otherwise permitted
by the Internal Revenue Service, and shall furnish or cause to be furnished to
the Internal Revenue Service, on Form 8811 and any similarly required state or
local forms or as otherwise required by the Code or the Treasury Regulations,
the name, title, address and telephone number of the person that Holders of the
Certificates may contact for tax information relating thereto, together with
such additional information at the time or times and in the manner required by
the Code or the Treasury Regulations. Such federal, state, or local income tax
and information returns shall be signed by the Trustee, or such other Person as
may be required to sign such returns by the Code, the Treasury Regulations or
state or local tax laws, regulations, or rules.

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      (c)   In the first federal income tax return (and any similar required
state or local income tax returns) of each REMIC created hereunder for its short
taxable year ending December 31, 2006, REMIC status shall be elected for such
taxable year and all succeeding taxable years.

      (d)   The Securities Administrator will maintain or cause to be maintained
such records relating to each REMIC created hereunder, including but not limited
to records relating to the income, expenses, assets and liabilities of the Trust
Estate, and the initial fair market value and adjusted basis of the Trust Estate
property and assets determined at such intervals as may be required by the Code
or the Treasury Regulations, as may be necessary to prepare the foregoing
returns, schedules, statements or information.

      Section 5.06  Tax Matters Person.

      The Tax Matters Person shall have the same duties with respect to the
applicable REMIC as those of a "tax matters partner" under Subchapter C of
Chapter 63 of Subtitle F of the Code. The Holder of the Class R Certificate is
hereby designated as the Tax Matters Person for the Upper-Tier REMIC, the
Middle-Tier REMIC and the Lower-Tier REMIC, . By its acceptance of the Class R
Certificate, such Holder irrevocably appoints the Securities Administrator as
its agent to perform all of the duties of the Tax Matters Person for the
Upper-Tier REMIC, the Middle-Tier REMIC and the Lower-Tier REMIC.

      Section 5.07  Rights of the Tax Matters Person in Respect of the
Securities Administrator.

      The Securities Administrator shall afford the Tax Matters Person, upon
reasonable notice during normal business hours, access to all records maintained
by the Securities Administrator in respect of its duties hereunder and access to
officers of the Securities Administrator responsible for performing such duties.
Upon request, the Securities Administrator shall furnish the Tax Matters Person
with its most recent report of condition published pursuant to law or to the
requirements of its supervisory or examining authority publicly available. The
Securities Administrator shall make available to the Tax Matters Person such
books, documents or records relating to the Securities Administrator's services
hereunder as the Tax Matters Person shall reasonably request. The Tax Matters
Person shall not have any responsibility or liability for any action or failure
to act by the Securities Administrator and is not obligated to supervise the
performance of the Securities Administrator under this Agreement or otherwise.

      Section 5.08  REMIC Related Covenants.

      For as long as any REMIC created hereunder shall exist, the Trustee, the
Securities Administrator, the Depositor and the Servicer shall act in accordance
herewith to assure continuing treatment of each REMIC created hereunder as a
REMIC and avoid the imposition of tax on any REMIC created hereunder. In
particular:

      (a)   Neither the Securities Administrator nor the Trustee shall create,
or permit the creation of, any "interests" in any REMIC created hereunder within
the meaning of Code Section 860D(a)(2) other than the interests represented by
the Regular Certificates, the Residual

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Certificate, the Class Swap-IO Interest, the Uncertificated Middle-Tier
Interests and the Uncertificated Lower-Tier Interests.

      (b)   Except as otherwise provided in the Code, (i) the Depositor and the
Servicer shall not contribute or allow to be contributed to the Trust Estate and
the Trustee shall not accept property unless substantially all of the property
held in each REMIC constitutes either "qualified mortgages" or "permitted
investments" as defined in Code Sections 860G(a)(3) and (5), respectively, and
(ii) no property shall be contributed, or deemed contributed, to any REMIC
created hereunder after the start-up day unless such contribution would not
subject the Trust Estate to the 100% tax on contributions to a REMIC created
hereunder after the start-up day of such REMIC imposed by Code Section 860G(d).

      (c)   Neither the Securities Administrator, on behalf of the Trustee, nor
the Trustee, shall accept on behalf of any REMIC any fee or other compensation
for services and none of the Securities Administrator, the Trustee or the
Servicer shall knowingly accept, on behalf of the Trust Estate any income from
assets other than those permitted to be held by a REMIC.

      (d)   Neither the Securities Administrator, on behalf the Trustee, nor the
Trustee shall sell or permit the sale of all or any portion of the Mortgage
Loans (other than in accordance with Sections 2.02 or 2.04), unless such sale is
pursuant to a "qualified liquidation" of the applicable REMIC as defined in Code
Section 860F(a)(4)(A) and in accordance with Article X.

      (e)   The Securities Administrator shall maintain books with respect to
the Trust and each REMIC on a calendar year taxable year and on an accrual
basis.

None of the Servicer, the Securities Administrator or the Trustee shall engage
in a "prohibited transaction" (as defined in Code Section 860F(a)(2)), except
that, with the prior written consent of the Servicer and the Depositor, the
Securities Administrator may engage in the activities otherwise prohibited by
the foregoing paragraphs (b), (c) and (d); provided that the Servicer shall have
delivered to the Securities Administrator an Opinion of Counsel to the effect
that such transaction will not result in the imposition of a tax on any REMIC
created hereunder and will not disqualify any such REMIC from treatment as a
REMIC; and, provided further, that the Servicer shall have demonstrated to the
satisfaction of the Securities Administrator that such action will not adversely
affect the rights of the Holders of the Certificates and the Securities
Administrator and that such action will not adversely impact the rating of the
Certificates. None of the Servicer, the Securities Administrator or the Trustee
shall, unless the Mortgagor is in default with respect to the Mortgage Loan or
such default is, in the judgment of the Servicer, reasonably foreseeable, permit
any modification with respect to any Mortgage Loan that would (i) change the
Mortgage Rate, defer or forgive the payment thereof of any principal or interest
payments, reduce the Scheduled Principal Balance (except for actual payments of
principal) or extend the final maturity date with respect to such Mortgage Loan,
(ii) affect adversely the status of any REMIC as a REMIC or (iii) cause any
REMIC to be subject to a tax on "prohibited transactions" or "contributions"
pursuant to the REMIC Provisions. Further, none of the Servicer, the Securities
Administrator or the Trustee shall permit any modification with respect to any
Mortgage Loan that would both (x) effect an exchange or reissuance of such
Mortgage Loan under Section 1.860G 2(b) of the Treasury regulations and (y)
cause any REMIC constituting part of the Trust Estate to fail to qualify as a
REMIC under the Code or the

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imposition of any tax on "prohibited transactions" or "contributions" after the
Startup Day under the REMIC Provisions.

      Section 5.09  Determination of One-Month LIBOR and Certificate One-Year
LIBOR.

      On each LIBOR Determination Date for a Class of Offered Certificates, the
Securities Administrator shall determine One-Month LIBOR and Certificate
One-Year LIBOR for the applicable Distribution Date on the basis of the British
Bankers' Association ("BBA") "Interest Settlement Rate" for one-month or
one-year (as the case may be) deposits in U.S. Dollars, as found on Telerate
page 3750 as of 11:00 A.M. London time on such LIBOR Determination Date. As used
herein, "Telerate page 3750" means the display designated as page 3750 on the
Reuters Telerate Service.

      If on any LIBOR Determination Date for a Class of Offered Certificates,
the Securities Administrator is unable to determine One-Month LIBOR or
Certificate One-Year LIBOR on the basis of the method set forth in the preceding
paragraph, One-Month LIBOR or Certificate One-Year LIBOR for the applicable
Distribution Date will be whichever is higher of (x) One-Month LIBOR or
Certificate One-Year LIBOR as determined on the previous LIBOR Determination
Date for such Class of Offered Certificates or (y) the Reserve Interest Rate.
The "Reserve Interest Rate" will be the rate per annum which the Securities
Administrator determines to be either (A) the arithmetic mean (rounding such
arithmetic mean upwards if necessary to the nearest whole multiple of 1/16%) of
the one-month or one-year (as the case may be) U.S. Dollar lending rates that
New York City banks selected by the Securities Administrator are quoting, on the
relevant LIBOR Determination Date, to the principal London offices of at least
two leading banks in the London interbank market or (B) in the event that the
Securities Administrator can determine no such arithmetic mean, the lowest
one-month or one-year (as the case may be) U.S. Dollar lending rate that the New
York City banks selected by the Securities Administrator are quoting on such
LIBOR Determination Date to leading European banks.

      If on any LIBOR Determination Date for a Class of Offered Certificates,
the Securities Administrator is required but is unable to determine the Reserve
Interest Rate in the manner provided in the preceding paragraph, One-Month LIBOR
or Certificate One-Year LIBOR for the applicable Distribution Date will be
One-Month LIBOR or Certificate One-Year LIBOR, as the case may be, as determined
on the previous LIBOR Determination Date for such Class of Offered Certificates,
or, in the case of the first LIBOR Determination Date for which the Securities
Administrator is required to determine One-Month LIBOR, 5.369%.

      The establishment of One-Month LIBOR or Certificate One-Year LIBOR by the
Securities Administrator and the Securities Administrator's subsequent
calculation of the rates of interest applicable to each of the Offered
Certificates in the absence of manifest error, will be final and binding. After
a LIBOR Determination Date, the Securities Administrator shall provide the
Certificate Interest Rates of the Offered Certificates for the related
Distribution Date to Beneficial Owners or Holders of Offered Certificates who
place a telephone call to the Securities Administrator at (301) 815-6600 and
make a request therefor.

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      Section 5.10  Servicer, Securities Administrator and Trustee
Indemnification.

      (a)   In the event that any REMIC created hereunder fails to qualify as a
REMIC, loses its status as a REMIC, or incurs federal, state or local taxes as a
result of a prohibited transaction or prohibited contribution under the REMIC
Provisions due solely to (i) the negligent performance by the Trustee of its
duties and obligations set forth herein or (ii) any state, local or franchise
taxes imposed upon the Trust Estate as a result of the location of the Trustee
or any co-trustee, the Trustee shall indemnify the Trust Estate against any and
all losses, claims, damages, liabilities or expenses ("Losses") resulting from
such negligence, including, without limitation, any reasonable attorneys' fees
imposed on or incurred as a result of a breach of the Trustee's or any
co-trustee's covenants.

      (b)   In the event that any REMIC created hereunder fails to qualify as a
REMIC, loses its status as a REMIC, or incurs federal, state or local taxes as a
result of a prohibited transaction or prohibited contribution under the REMIC
Provisions due solely to (i) the negligent performance by the Servicer of its
duties and obligations set forth herein or (ii) any state, local or franchise
taxes imposed upon the Trust Estate as a result of the location of the Servicer,
the Servicer shall indemnify the Trust Estate against any and all Losses
resulting from such negligence, including, without limitation, any reasonable
attorneys' fees imposed on or incurred as a result of a breach of the Servicer's
covenants.

      (c)   In the event that any REMIC created hereunder fails to qualify as a
REMIC, loses its status as a REMIC, or incurs federal, state or local taxes as a
result of a prohibited transaction or prohibited contribution under the REMIC
Provisions due solely to (i) the negligent performance by the Securities
Administrator of its duties and obligations set forth herein or (ii) any state,
local or franchise taxes imposed upon the Trust Estate as a result of the
location of the Securities Administrator, the Securities Administrator shall
indemnify the Trust Estate against any and all Losses resulting from such
negligence, including, without limitation, any reasonable attorneys' fees
imposed on or incurred as a result of a breach of the Securities Administrator's
covenants.

      Section 5.11  Supplemental Interest Trust.

      A separate trust is hereby established (the "Supplemental Interest
Trust"), into which the Depositor shall deposit the Interest Rate Agreements.
The Supplemental Interest Trust shall be maintained by the Supplemental Interest
Trust Trustee. No later than the Closing Date, the Supplemental Interest Trust
Trustee shall establish and maintain a separate, segregated trust account to be
held in the Supplemental Interest Trust, titled, "Wells Fargo Bank, N.A., as
Supplemental Interest Trust Trustee for U.S. Bank National Association, as
Trustee, in trust for registered holders of Banc of America Funding Corporation
Mortgage Pass-Through Certificates, Series 2006-G--Swap Account." Such account
shall be an Eligible Account and funds on deposit therein shall be held separate
and apart from, and shall not be commingled with, any other moneys, including,
without limitation, other moneys of the Securities Administrator held pursuant
to this Agreement. Amounts therein shall be held uninvested.

      On each Distribution Date, prior to any distribution to any Certificate,
the Supplemental Interest Trust Trustee shall deposit into the Swap Account: (i)
the amount of any Net Swap

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Payment or Swap Termination Payment (other than any Swap Termination Payment
resulting from a Swap Provider Trigger Event (as defined in the Interest Rate
Swap Agreement)) owed to the Swap Provider (after taking into account any
upfront payment received from the counterparty to a replacement interest rate
swap agreement) from funds transferred from the Trust that were collected and
received with respect to the Mortgage Loans prior to the determination of
Available Funds and (ii) any Net Swap Receipts received by the Supplemental
Interest Trust Trustee and any payments from the Cap Provider with respect to
Interest Rate Cap Agreement A. For federal income tax purposes, any amounts paid
to the Swap Provider on each Distribution Date shall first be deemed paid to the
Supplemental Interest Trust in respect of the Class Swap-IO Interest to the
extent of the amount distributable on the Class Swap-IO Interest on such
Distribution Date, and any remaining amount shall be deemed paid to the
Supplemental Interest Trust for the benefit of the Swap Provider in respect of a
Class IO Distribution Amount (as defined below). Any Swap Termination Payment
triggered by a Swap Provider Trigger Event (as defined in the Interest Rate Swap
Agreement) owed to the Swap Provider pursuant to the Interest Rate Swap
Agreement will be subordinated to distributions to the Holders of the
Certificates and shall be paid as set forth under Section 5.02(c)(i)(Z).

      (a)   For federal income tax purposes, the Supplemental Interest Trust
shall be owned by the majority Holder of the Class CE Certificates. The
Supplemental Interest Trust constitutes an "outside reserve fund" within the
meaning of Treasury Regulation ss. 1.860G-2(h) and is not an asset of any REMIC
created hereunder.

      (b)   To the extent that the Supplemental Interest Trust is determined to
be a separate legal entity from the Supplemental Interest Trust Trustee, any
obligation of the Supplemental Interest Trust Trustee under the Interest Rate
Swap Agreement shall be deemed to be an obligation of the Supplemental Interest
Trust.

      (c)   The Securities Administrator and the Supplemental Interest Trust
Trustee shall treat the Holders of the Offered Certificates as having entered
into a notional principal contract with respect to the Holders of the Class CE
Certificates. Pursuant to each such notional principal contract, all Holders of
Offered Certificates shall be treated as having agreed to pay, on each
Distribution Date, to the Holder of the Class CE Certificates an aggregate
amount equal to the excess, if any, of (i) the amount payable on such
Distribution Date on the Upper-Tier Interest corresponding to such Class of
Certificates over (ii) the amount payable on such Class of Certificates on such
Distribution Date (such excess, a "Class IO Distribution Amount"). A Class IO
Distribution Amount payable from interest collections shall be allocated pro
rata among such Certificates based on the excess of (a) the amount of interest
otherwise payable to such Certificates over (ii) the amount of interest payable
to such Certificates at a per annum rate equal to the Upper-Tier REMIC WAC Rate,
and a Class IO Distribution Amount payable from principal collections shall be
allocated to the most subordinate Class of Certificates with an outstanding
principal balance to the extent of such balance. In addition, pursuant to such
notional principal contract, the Holder of the Class CE Certificates shall be
treated as having agreed to pay Rate Cap Carryover Amounts to the Holders of the
Offered Certificates in accordance with the terms of this Agreement. Any
payments to the Certificates from amounts deemed received in respect of this
notional principal contract shall not be payments with respect to a regular
interest in a REMIC within the meaning of Code Section 860G(a)(1). However, any
payment from the Offered Certificates of a Class IO Distribution Amount shall be
treated for tax purposes as

                                      141

having been received by the Holders of such Certificates in respect of the
corresponding Upper-Tier Interest and as having been paid by such Holders to the
Supplemental Interest Trust Trustee pursuant to the notional principal contract.
Thus, each Offered Certificate shall be treated as representing not only
ownership of a Upper-Tier Interest, but also ownership of an interest in, and
obligations with respect to, a notional principal contract.

      Section 5.12  Tax Treatment of Swap Payments and Swap Termination
Payments.

      For federal income tax purposes, each Holder of a Certificate is deemed to
own an undivided beneficial ownership interest in a Upper-Tier Interest and the
right to receive payments from either the Rate Cap Carryover Reserve Account or
the Swap Account in respect of the Rate Cap Carryover Amount or the obligation
to make payments to Supplemental Interest Trust for deposit to the Swap Account.
For federal income tax purposes, the Supplemental Interest Trust Trustee will
account for payments to each Certificate as follows: each Offered Certificate
will be treated as receiving its entire payment from the corresponding
Upper-Tier Interest (regardless of any Swap Termination Payment or obligation
under the Interest Rate Swap Agreement) and subsequently paying their portion of
any Swap Termination Payment in respect of each such Class' obligation under the
Interest Rate Swap Agreement. In the event that any such Class is resecuritized
in a REMIC, the obligation under the Interest Rate Swap Agreement to pay any
such Swap Termination Payment (or any shortfall in the Net Swap Payment), will
be made by one or more of the REMIC regular interests issued by the
resecuritization REMIC subsequent to such REMIC regular interest receiving its
full payment from any such Offered Certificate. Resecuritization of any
Certificate in a REMIC will be permissible only if the Securities Administrator
hereunder is the trustee in such resecuritization.

      (a)   The Upper-Tier Interest corresponding to a Certificate will be
entitled to receive interest and principal payments at the times and in the
amounts equal to those made on the Certificate to which it corresponds, except
that the maximum interest rate payable on that Upper-Tier Interest will equal
the "Certificate Interest Rate" designated in the Preliminary Statement. As a
result of the foregoing, the amount of distributions and taxable income on the
Upper-Tier Interest corresponding to a Certificate may exceed the actual amount
of distributions on the Offered Certificates.

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                                   ARTICLE VI

                                THE CERTIFICATES

      Section 6.01  The Certificates.

      The Classes of Senior Certificates and the Subordinate Certificates shall
be substantially in the forms attached hereto as Exhibits 1-A-1, 2-A-1, 2-A-2,
2-A-3, 2-A-4, 2-A-5, 3-A-1, 3-A-2, 3-A-3, B-M-1, B-M-2, B-M-3, B-M-4, B-M-5,
B-M-6, B-M-7, B-CE, B-R and C (reverse of all Certificates) and shall, on
original issue, be executed by the Securities Administrator and shall be
authenticated and delivered by the Securities Administrator to or upon the order
of the Depositor upon receipt by the Trustee of the documents specified in
Section 2.01. The Classes of Certificates shall be available to investors in
minimum denominations of initial Certificate Balance and integral multiples in
excess thereof set forth in the Preliminary Statement. The minimum denomination
for the Class CE Certificates shall be a 10% Percentage Interest in such Class,
and the minimum denomination for the Class R Certificates shall be 100%
Percentage Interest in such Class. The Offered Certificates shall initially be
issued in book-entry form through the Depository and delivered to the Depository
or, pursuant to the Depository's instructions on behalf of the Depository to,
and deposited with, the Certificate Custodian, and all other Classes of
Certificates shall initially be issued in definitive, fully-registered form.

      The Certificates shall be executed by manual or facsimile signature on
behalf of the Securities Administrator by an authorized officer or signatory.
Certificates bearing the manual or facsimile signatures of individuals who were,
at the time when such signatures were affixed, authorized to sign on behalf of
the Securities Administrator shall bind the Securities Administrator,
notwithstanding that such individuals or any of them have ceased to be so
authorized prior to the execution and delivery of such Certificates or did not
hold such offices or positions at the date of such Certificate. No Certificate
shall be entitled to any benefit under this Agreement, or be valid for any
purpose, unless such Certificate shall have been manually authenticated by the
Securities Administrator substantially in the form provided for herein, and such
authentication upon any Certificate shall be conclusive evidence, and the only
evidence, that such Certificate has been duly authenticated and delivered
hereunder. All Certificates shall be dated the date of their authentication.

      Section 6.02  Registration of Transfer and Exchange of Certificates.

      (a)   The Securities Administrator shall cause to be kept at an office or
agency in the city in which the Corporate Trust Office of the Securities
Administrator is located a Certificate Register in which, subject to such
reasonable regulations as it may prescribe, the Securities Administrator shall
provide for the registration of Certificates and of transfers and exchanges of
Certificates as herein provided. The Securities Administrator shall initially
serve as Certificate Registrar for the purpose of registering Certificates and
transfers and exchanges of Certificates as herein provided.

      (b)   At the option of the Certificateholders, Certificates may be
exchanged for other Certificates of authorized denominations of a like Class,
tenor and aggregate Percentage Interest, upon surrender of the Certificates to
be exchanged at any such office or agency. Whenever any

                                      143

Certificates are so surrendered for exchange, the Securities Administrator shall
execute and the Securities Administrator shall authenticate and deliver the
Certificates that the Certificateholder making the exchange is entitled to
receive. Every Certificate presented or surrendered for transfer or exchange
shall (if so required by the Securities Administrator or the Certificate
Registrar) be duly endorsed by, or be accompanied by a written instrument of
transfer in form satisfactory to the Securities Administrator and the
Certificate Registrar duly executed by, the Holder thereof or its attorney duly
authorized in writing.

            (i)     Except as provided in paragraph (c)(iii) below, the
      Book-Entry Certificates shall at all times remain registered in the name
      of the Depository or its nominee and at all times: (A) registration of the
      Book-Entry Certificates may not be transferred by the Securities
      Administrator except to another Depository; (B) the Depository shall
      maintain book-entry records with respect to the Certificate Owners and
      with respect to ownership and transfers of such Book-Entry Certificates;
      (C) ownership and transfers of registration of the Book-Entry Certificates
      on the books of the Depository shall be governed by applicable rules
      established by the Depository; (D) the Depository may collect its usual
      and customary fees, charges and expenses from its Depository Participants;
      (E) the Securities Administrator shall deal with the Depository as the
      representative of the Certificate Owners of the Book-Entry Certificates
      for purposes of exercising the rights of Holders under this Agreement, and
      requests and directions for and votes of the Depository shall not be
      deemed to be inconsistent if they are made with respect to different
      Certificate Owners; and (F) the Securities Administrator may rely and
      shall be fully protected in relying upon information furnished by the
      Depository with respect to its Depository Participants and furnished by
      the Depository Participants with respect to indirect participating firms
      and persons shown on the books of such indirect participating firms as
      direct or indirect Certificate Owners.

            (ii)    All transfers by Certificate Owners of Book-Entry
      Certificates shall be made in accordance with the procedures established
      by the Depository Participant or brokerage firm representing such
      Certificate Owner. Each Depository Participant shall only transfer
      Book-Entry Certificates of Certificate Owners it represents or of
      brokerage firms for which it acts as agent in accordance with the
      Depository's normal procedures.

            (iii)   If the Depository advises the Securities Administrator in
      writing that the Depository is no longer willing or able to properly
      discharge its responsibilities as Depository and the Securities
      Administrator or the Depositor is unable to locate a qualified successor,
      the Securities Administrator shall notify all Certificate Owners through
      the Depository, of the occurrence of such event and of the availability of
      definitive, fully-registered Certificates (the "Definitive Certificates")
      to such Certificate Owners requesting the same. Upon surrender to the
      Securities Administrator of the related Class of Certificates by the
      Depository (or by the Certificate Custodian, if it holds such Class on
      behalf of the Depository), accompanied by the instructions from the
      Depository for registration, the Securities Administrator shall issue the
      Definitive Certificates. None of the Servicer, the Depositor, the
      Securities Administrator or the Trustee shall be liable for any delay in
      delivery of such instruction and may conclusively rely on, and shall be
      protected in relying on, such instructions. The Depositor shall provide
      the Securities Administrator with an adequate inventory of certificates to

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      facilitate the issuance and transfer of Definitive Certificates. Upon the
      issuance of Definitive Certificates, the Securities Administrator shall
      recognize the Holders of the Definitive Certificates as Certificateholders
      hereunder.

      (c)   No transfer of a Private Certificate shall be made unless such
transfer is exempt from the registration requirements of the 1933 Act and any
applicable state securities laws or is made in accordance with the 1933 Act and
such laws. In the event of any such transfer (other than in connection with (i)
the initial transfer of any such Certificate by the Depositor to an Affiliate of
the Depositor or, in the case of the Class R Certificate, the first transfer by
an Affiliate of the Depositor, (ii) the transfer of any such Class CE
Certificate to the issuer under an Indenture or the indenture trustee under an
Indenture or (iii) a transfer of any such Class CE or Class R Certificate from
the issuer under an Indenture or the indenture trustee under an Indenture to the
Depositor or an Affiliate of the Depositor), (i) unless such transfer is made in
reliance on Rule 144A under the 1933 Act, the Securities Administrator or the
Depositor may require a written Opinion of Counsel (which may be in-house
counsel) acceptable to and in form and substance reasonably satisfactory to the
Securities Administrator and the Depositor that such transfer may be made
pursuant to an exemption, describing the applicable exemption and the basis
therefor, from the 1933 Act and such laws or is being made pursuant to the 1933
Act and such laws, which Opinion of Counsel shall not be an expense of the
Securities Administrator or the Depositor and (ii) the Securities Administrator
shall require a certificate from the Certificateholder desiring to effect such
transfer substantially in the form attached hereto as Exhibit G-1 and a
certificate from such Certificateholder's prospective transferee substantially
in the form attached hereto either as Exhibit G-2A or as Exhibit G-2B, which
certificates shall not be an expense of the Securities Administrator or the
Depositor; provided that the foregoing requirements under clauses (i) and (ii)
shall not apply to a transfer of a Private Certificate between or among the
Depositor, the Sponsor, their affiliates or both. The Depositor shall provide to
any Holder of a Private Certificate and any prospective transferees designated
by any such Holder, information regarding the related Certificates and the
Mortgage Loans and such other information as shall be necessary to satisfy the
condition to eligibility set forth in Rule 144A(d)(4) for transfer of any such
certificate without registration thereof under the 1933 Act pursuant to the
registration exemption provided by Rule 144A. The Holder of a Private
Certificate desiring to effect such transfer shall, and does hereby agree to,
indemnify the Securities Administrator and the Depositor against any liability
that may result if the transfer is not so exempt or is not made in accordance
with such federal and state laws.

      (d)   No transfer of an ERISA Restricted Certificate (other than (i) a
transfer to the indenture trustee under an Indenture with respect to a related
net interest margin trust or (ii) a transfer from the indenture trustee under an
Indenture with respect to a related net interest margin trust to the Depositor
or an Affiliate of the Depositor) shall be made unless the transferee delivers
to the Securities Administrator either (i) a representation letter substantially
in the form attached hereto as Exhibit H from the transferee of such
Certificate, which representation letter shall not be an expense of the
Depositor, the Trustee, the Securities Administrator or the Servicer, or (ii) in
the case of any ERISA Restricted Certificate presented for registration in the
name of an employee benefit plan or arrangement, including an individual
retirement account, subject to ERISA, the Code, or any federal, state or local
law ("Similar Law") which is similar to ERISA or the Code (collectively, a
"Plan"), or a trustee or custodian of any of the foregoing, an Opinion of
Counsel in form and substance satisfactory to the Securities Administrator to
the

                                      145

effect that the purchase or holding of such ERISA Restricted Certificate by or
on behalf of such Plan will not constitute or result in a non-exempt prohibited
transaction within the meaning of ERISA, Section 4975 of the Code or Similar Law
and will not subject the Trustee, the Depositor, the Securities Administrator or
the Servicer to any obligation in addition to those undertaken in this
Agreement, which Opinion of Counsel shall not be an expense of the Securities
Administrator, the Trustee or the Servicer. Any transferee of an ERISA
Restricted Certificate that does not comply with either clause (i) or (ii) of
the preceding sentence will be deemed to have made one of the representations
set forth in Exhibit H. For purposes of clause (i) of the second preceding
sentence, such representation shall be deemed to have been made to the
Certificate Registrar by the acceptance by a Certificate Owner of a Book-Entry
Certificate of the beneficial interest in any such Class of ERISA-Restricted
Certificates, unless the Certificate Registrar shall have received from the
transferee an alternative representation or Opinion of Counsel acceptable in
form and substance to the Depositor. Notwithstanding anything else to the
contrary herein, any purported transfer of an ERISA Restricted Certificate to or
on behalf of a Plan without the delivery to the Securities Administrator of an
Opinion of Counsel satisfactory to the Securities Administrator as described
above shall be void and of no effect.

      Neither the Securities Administrator nor the Certificate Registrar shall
have any liability for transfers of Book-Entry Certificates made through the
book-entry facilities of the Depository or between or among any Depository
Participants or Certificate Owners, made in violation of applicable
restrictions. The Securities Administrator may rely and shall be fully protected
in relying upon information furnished by the Depository with respect to its
Depository Participants and furnished by the Depository Participants with
respect to indirect participating firms and Persons shown on the books of such
indirect participating firms as direct or indirect Certificate Owners.

      To the extent permitted under applicable law (including, but not limited
to, ERISA), the Securities Administrator shall be under no liability to any
Person for any registration of transfer of any ERISA Restricted Certificate that
is in fact not permitted by this Section 6.02 or for making any payments due on
such Certificate to the Holder thereof or taking any other action with respect
to such Holder under the provisions of this Agreement so long as the transfer
was registered by the Securities Administrator in accordance with the foregoing
requirements.

      For so long as the Supplemental Interest Trust is in existence, each
beneficial owner of an Offered Certificate or any interest therein, shall be
deemed to have represented, by virtue of its acquisition or holding of such
Certificate, or interest therein, that either (i) it is not a Plan nor a person
acting on behalf of any such Plan or using the assets of any such Plan or (ii)
(A) it is an accredited investor within the meaning of the Underwriter's
Exemption and (B) the acquisition and holding of such Certificate and the
separate right to receive payments from the Supplemental Interest Trust are
eligible for the exemptive relief available under Department of Labor Prohibited
Transaction Class Exemption 84-14 (for transactions by independent "qualified
professional asset managers"), 91-38 (for transactions by bank collective
investment funds), 90-1 (for transactions by insurance company pooled separate
accounts), 95-60 (for transactions by insurance company general accounts) or
96-23 (for transactions effected by "in-house asset managers").

                                      146

      (e)   Each Person who has or who acquires any Ownership Interest in a
Residual Certificate shall be deemed by the acceptance or acquisition of such
Ownership Interest to have agreed to be bound by the following provisions, and
the rights of each Person acquiring any Ownership Interest in a Residual
Certificate are expressly subject to the following provisions:

            (i)     Each Person holding or acquiring any Ownership Interest in a
      Residual Certificate shall be a Permitted Transferee and shall promptly
      notify the Securities Administrator of any change or impending change in
      its status as a Permitted Transferee.

            (ii)    No Person shall acquire an Ownership Interest in a Residual
      Certificate unless such Ownership Interest is a pro rata undivided
      interest.

            (iii)   In connection with any proposed transfer of any Ownership
      Interest in a Residual Certificate, the Securities Administrator shall
      require delivery to it, in form and substance satisfactory to it, of an
      affidavit substantially in the form attached hereto as Exhibit I from the
      proposed transferee.

            (iv)    Notwithstanding the delivery of an affidavit by a proposed
      transferee under clause (iii) above, if a Responsible Officer of the
      Securities Administrator has actual knowledge that the proposed transferee
      is not a Permitted Transferee, no transfer of any Ownership Interest in a
      Residual Certificate to such proposed transferee shall be effected.

            (v)     No Ownership Interest in a Residual Certificate may be
      purchased by or transferred to any Person that is not a U.S. Person,
      unless (A) such Person holds such Residual Certificate in connection with
      the conduct of a trade or business within the United States and furnishes
      the transferor and the Securities Administrator with an effective Internal
      Revenue Service Form W-8ECI (or successor thereto) or (B) the transferee
      delivers to both the transferor and the Securities Administrator an
      Opinion of Counsel from a nationally-recognized tax counsel to the effect
      that such transfer is in accordance with the requirements of the Code and
      the regulations promulgated thereunder and that such transfer of a
      Residual Certificate will not be disregarded for federal income tax
      purposes.

            (vi)    Any attempted or purported transfer of any Ownership
      Interest in a Residual Certificate in violation of the provisions of this
      Section 6.02 shall be absolutely null and void and shall vest no rights in
      the purported transferee. If any purported transferee shall, in violation
      of the provisions of this Section 6.02, become a Holder of a Residual
      Certificate, then the prior Holder of such Residual Certificate that is a
      Permitted Transferee shall, upon discovery that the registration of
      transfer of such Residual Certificate was not in fact permitted by this
      Section 6.02, be restored to all rights as Holder thereof retroactive to
      the date of registration of transfer of such Residual Certificate. The
      Securities Administrator shall be under no liability to any Person for any
      registration of transfer of a Residual Certificate that is in fact not
      permitted by this Section 6.02 or for making any distributions due on such
      Residual Certificate to the Holder thereof or taking any other action with
      respect to such Holder under the provisions of the Agreement so long as
      the transfer was registered in accordance with this

                                      147

      Section 6.02. The Securities Administrator shall be entitled to recover
      from any Holder of a Residual Certificate that was in fact not a Permitted
      Transferee at the time such distributions were made all distributions made
      on such Residual Certificate. Any such distributions so recovered by the
      Securities Administrator shall be distributed and delivered by the
      Securities Administrator to the prior Holder of such Residual Certificate
      that is a Permitted Transferee.

            (vii)   If any Person other than a Permitted Transferee acquires any
      Ownership Interest in a Residual Certificate in violation of the
      restrictions in this Section 6.02, then the Securities Administrator,
      based on information provided to the Securities Administrator by the
      Servicer, will provide to the Internal Revenue Service, and to the Persons
      specified in Section 860E(e)(3) and (6) of the Code, information needed to
      compute the tax imposed under Section 860E(e) of the Code on transfers of
      residual interests to disqualified organizations. The expenses of the
      Securities Administrator under this clause (vii) shall be reimbursable by
      the Trust.

            (viii)  No Ownership Interest in a Residual Certificate shall be
      acquired by a Plan or any Person acting on behalf of a Plan.

      (f)   No service charge shall be imposed for any transfer or exchange of
Certificates of any Class, but the Securities Administrator may require payment
of a sum sufficient to cover any tax or governmental charge that may be imposed
in connection with any transfer or exchange of Certificates.

      (g)   All Certificates surrendered for transfer and exchange shall be
destroyed by the Certificate Registrar.

      Section 6.03  Mutilated, Destroyed, Lost or Stolen Certificates.

      If (a) any mutilated Certificate is surrendered to the Certificate
Registrar or the Certificate Registrar receives evidence to its satisfaction of
the destruction, loss or theft of any Certificate, and (b) there is delivered to
the Securities Administrator, the Trustee, the Depositor and the Certificate
Registrar such security or indemnity reasonably satisfactory to each, to save
each of them harmless, then, in the absence of actual notice to the Securities
Administrator or the Certificate Registrar that such Certificate has been
acquired by a bona fide purchaser, the Securities Administrator shall
authenticate and deliver, in exchange for or in lieu of any such mutilated,
destroyed, lost or stolen Certificate, a new Certificate of like tenor, Class
and Percentage Interest but bearing a number not contemporaneously outstanding.
Upon the issuance of any new Certificate under this Section, the Securities
Administrator may require the payment of a sum sufficient to cover any tax or
other governmental charge that may be imposed in relation thereto and any other
expenses (including the fees and expenses of the Securities Administrator and
the Certificate Registrar) connected therewith. Any duplicate Certificate issued
pursuant to this Section shall constitute complete and indefeasible evidence of
ownership in the Trust, as if originally issued, whether or not the lost, stolen
or destroyed Certificate shall be found at any time.

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      Section 6.04  Persons Deemed Owners.

      Prior to due presentation of a Certificate for registration of transfer,
the Depositor, the Servicer, the Trustee, the Securities Administrator, the
Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee,
the Securities Administrator or the Certificate Registrar may treat the Person
in whose name any Certificate is registered as the owner of such Certificate for
the purpose of receiving distributions pursuant to Section 5.01 and for all
other purposes whatsoever, and none of the Depositor, the Servicer, the Trustee,
the Securities Administrator, the Certificate Registrar, the NIMS Insurer or any
agent of the Depositor, the Servicer, the Trustee, the Securities Administrator,
the NIMS Insurer or the Certificate Registrar shall be affected by notice to the
contrary.

                                   ARTICLE VII

                         THE DEPOSITOR AND THE SERVICER

      Section 7.01  Respective Liabilities of the Depositor and the Servicer.

      The Depositor and the Servicer shall each be liable in accordance herewith
only to the extent of the obligations specifically and respectively imposed upon
and undertaken by the Depositor and the Servicer herein. By way of illustration
and not limitation, the Depositor is not liable for the servicing and
administration of the Mortgage Loans, nor is it obligated by Section 8.01 to
assume any obligations of the Servicer or to appoint a designee to assume such
obligations, nor is it liable for any other obligation hereunder that it may,
but is not obligated to, assume unless it elects to assume such obligation in
accordance herewith.

      Section 7.02  Merger or Consolidation of the Depositor or the Servicer.

      The Depositor and the Servicer will each keep in full effect its
existence, rights and franchises as a separate entity under the laws governing
its organization, and will each obtain and preserve its qualification to do
business as a foreign corporation in each jurisdiction in which such
qualification is or shall be necessary to protect the validity and
enforceability of this Agreement, the Certificates or any of the Mortgage Loans
and to perform its respective duties under this Agreement.

      Any Person into which the Depositor or the Servicer may be merged or
consolidated, or any corporation resulting from any merger or consolidation to
which the Depositor or the Servicer shall be a party, or any Person succeeding
to the business of the Depositor or the Servicer, shall be the successor of the
Depositor or the Servicer, as the case may be, hereunder, without the execution
or filing of any paper or any further act on the part of any of the parties
hereto, anything herein to the contrary notwithstanding; provided, however, that
the successor or surviving Person to the Servicer shall be qualified to service
mortgage loans on behalf of Fannie Mae or Freddie Mac.

      In connection with the succession to the Servicer under this Agreement by
any Person (i) into which the Servicer may be merged or consolidated, or (ii)
which may be appointed as a successor to the Servicer, the Servicer shall notify
the Depositor of such succession or appointment and shall furnish to the
Depositor and the Securities Administrator in writing and in

                                      149

form and substance reasonably satisfactory to the Depositor and the Securities
Administrator, all information reasonably necessary for the Securities
Administrator to accurately and timely report, pursuant to Section 3.22(d), the
event under Item 6.02 of Form 8-K pursuant to the Exchange Act (if such reports
under the Exchange Act are required to be filed under the Exchange Act).

      Section 7.03  Limitation on Liability of the Depositor, the Servicer and
Others.

      None of the Depositor, the Servicer or any of the directors, officers,
employees or agents of the Depositor or of the Servicer shall be under any
liability to the Trust Estate or the Certificateholders for any action taken or
for refraining from the taking of any action in good faith pursuant to this
Agreement, or for errors in judgment; provided, however, that this provision
shall not protect the Depositor, the Servicer or any such Person against any
breach of warranties or representations made herein or any liability which would
otherwise be imposed by reason of willful misfeasance, bad faith or gross
negligence in the performance of duties or by reason of reckless disregard of
obligations and duties hereunder. The Depositor, the Servicer and any director,
officer, employee or agent of the Depositor or of the Servicer may rely in good
faith on any document of any kind prima facie properly executed and submitted by
any Person respecting any matters arising hereunder. The Depositor, the Servicer
and any director, officer, employee or agent of the Depositor or the Servicer
shall be indemnified by the Trust Estate and held harmless against any loss,
liability or expense incurred in connection with any legal action relating to
this Agreement or the Certificates, other than any loss, liability or expense
related to any specific Mortgage Loan or Mortgage Loans (except as any such
loss, liability or expense shall be otherwise reimbursable pursuant to this
Agreement) and any loss, liability or expense incurred by reason of willful
misfeasance, bad faith or gross negligence in the performance of duties
hereunder or by reason of reckless disregard of obligations and duties
hereunder. Neither of the Depositor nor the Servicer shall be under any
obligation to appear in, prosecute or defend any legal action which is not
incidental to its respective duties under this Agreement and which in its
opinion may involve it in any expense or liability; provided, however, that the
Depositor or the Servicer may in its discretion undertake any such action which
it may deem necessary or desirable in respect to this Agreement and the rights
and duties of the parties hereto and the interests of the Certificateholders
hereunder. In such event, the legal expenses and costs of such action and any
liability resulting therefrom shall be expenses, costs and liabilities of the
Trust Estate (except any expenses, costs or liabilities incurred as a result of
any breach of representations or warranties of the related party or by reason of
willful misfeasance, bad faith or gross negligence in the performance of duties
of such party hereunder or by reason of reckless disregard of obligations and
duties of such party hereunder), and the Depositor and the Servicer shall each
be entitled to be reimbursed therefor out of amounts attributable to the
Mortgage Loans on deposit in the Servicer Custodial Account as provided by
Section 3.11.

      Section 7.04  Depositor and Servicer Not to Resign.

      Subject to the provisions of Section 7.02, neither the Depositor nor the
Servicer shall resign from its respective obligations and duties hereby imposed
on it except upon determination that its duties hereunder are no longer
permissible under applicable law. Any such determination permitting the
resignation of the Depositor or the Servicer shall be evidenced by an Opinion of
Counsel to such effect delivered to the Securities Administrator. No such
resignation by the

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Servicer shall become effective until the Securities Administrator or a
successor Servicer shall have assumed the Servicer's responsibilities and
obligations in accordance with Section 8.05 hereof.

                                  ARTICLE VIII

                                     DEFAULT

      Section 8.01  Events of Default.

      If any one of the following events ("Events of Default") shall occur and
be continuing:

      (a)   any failure by the Servicer to remit amounts to the Securities
Administrator for deposit in the Certificate Account which continues unremedied
for a period of two (2) Business Days after the date upon which written notice
of such failure, requires the same to be remedied, shall have been given to the
Servicer by the Securities Administrator; or

      (b)   failure on the part of the Servicer duly to observe or perform in
any material respect any other covenants or agreements of the Servicer set forth
in the Certificates or in this Agreement, which covenants and agreements
continue unremedied for a period of 30 days after the date on which written
notice of such failure, requiring the same to be remedied, shall have been given
to the Servicer by the Securities Administrator, the Trustee, the NIMS Insurer
or the Depositor, or to the Servicer, the Depositor, the Securities
Administrator, the NIMS Insurer and the Trustee by the Holders of Certificates
evidencing Voting Rights aggregating not less than 25% of all Certificates
affected thereby; or

      (c)   the entry of a decree or order by a court or agency or supervisory
authority having jurisdiction in the premises for the appointment of a
conservator, receiver or liquidator in any insolvency, readjustment of debt,
marshalling of assets and liabilities or similar proceedings against the
Servicer, or for the winding up or liquidation of the Servicer's affairs, and
the continuance of any such decree or order unstayed and in effect for a period
of 60 consecutive days; or

      (d)   the consent by the Servicer to the appointment of a conservator or
receiver or liquidator in any insolvency, readjustment of debt, marshalling of
assets and liabilities or similar proceedings of or relating to the Servicer or
of or relating to substantially all of its property; or the Servicer shall admit
in writing its inability to pay its debts generally as they become due, file a
petition to take advantage of any applicable insolvency or reorganization
statute, make an assignment for the benefit of its creditors, or voluntarily
suspend payment of its obligations; or

      (e)   failure by the Servicer to duly perform, within the required time
period, its obligations under Section 3.20, Section 3.21 or Section 3.22; or

      (f)   failure by the Servicer to make a Periodic Advance required to be
made by it pursuant to Section 3.19 which failure continues unremedied at 3:00
P.M. New York time on the Business Day prior to the related Distribution Date.

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then, (i) in the case of Event of Default described in clauses (a) through (e)
hereof, so long as such Event of Default is actually known by a Responsible
Officer of the Trustee and shall not have been remedied by the Servicer, either
the Trustee or the Depositor may, and at the direction of the Holders of
Certificates evidencing Voting Rights aggregating not less than 51% of all
Certificates affected thereby shall, by notice then given in writing to the
Servicer (and to the Trustee and the Securities Administrator, if given by the
Depositor, and to the Depositor, if given by the Trustee or the Securities
Administrator), terminate all of the rights and obligations of the Servicer
under this Agreement; and (ii) in the case of an Event of Default described in
clause (f) hereof, so long as such event is known by a Responsible Officer of
the Trustee, the Trustee shall, by notice to the Servicer and the Securities
Administrator, terminate all of the rights and obligations of the Servicer under
this Agreement and in and to the Mortgage Loans and proceeds thereof (other than
the Servicer's right to recovery of the aggregate Servicing Fees due prior to
the date of termination and other right to recovery of the aggregate Servicing
Fees due prior to the date of termination and other expenses and amounts
advanced pursuant to the terms of this Agreement, which rights the Servicer will
retain under all circumstances) and the Trustee or a successor Servicer
appointed pursuant to Section 8.05 shall make the Periodic Advance which the
Servicer failed to make. On or after the receipt by the Servicer of such written
notice and subject to Section 8.05, all authority and power of the Servicer
under this Agreement, whether with respect to the Certificates or the Mortgage
Loans or otherwise, shall pass to and be vested in the Trustee pursuant to and
under this Section 8.01 and Section 8.05, unless and until such time as the
Trustee shall appoint a successor Servicer pursuant to Section 8.05, and,
without limitation, the Trustee is hereby authorized and empowered to execute
and deliver, on behalf of the Servicer, as attorney-in-fact or otherwise, any
and all documents and other instruments, and to do or accomplish all other acts
or things necessary or appropriate to effect the purposes of such notice of
termination, whether to complete the transfer and endorsement of the Mortgage
Loans and related documents, or otherwise, including, without limitation, the
recordation of the assignments of the Mortgage Loans to it. The Servicer agrees
to cooperate with the Trustee in effecting the termination of the
responsibilities and rights of the Servicer hereunder, including, without
limitation, the transfer to the Trustee for the administration by it of all cash
amounts that have been deposited by the Servicer in the Servicer Custodial
Account or thereafter received by the Servicer with respect to the Mortgage
Loans. Upon obtaining notice or knowledge of the occurrence of any Event of
Default, the Person obtaining such notice or knowledge shall give prompt written
notice thereof to Certificateholders at their respective addresses appearing in
the Certificate Register and to each Rating Agency. All costs and expenses
(including attorneys' fees) incurred in connection with transferring the
Mortgage Files to the successor Servicer and amending this Agreement to reflect
such succession as Servicer pursuant to this Section 8.01 shall be paid by the
predecessor Servicer (unless the predecessor Servicer is the Trustee, in which
event the previous Servicer shall be responsible for payment of such costs and
expenses so long as the transfer of servicing is not the result of an Event of
Default on the part of the Trustee in its capacity as the predecessor Servicer).
Notwithstanding the termination of the Servicer pursuant hereto, the Servicer
shall remain liable for any causes of action arising out of any Event of Default
occurring prior to such termination, subject to the terms and conditions of this
Agreement.

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      Section 8.02  Remedies of Trustee.

      During the continuance of any Event of Default, so long as such Event of
Default shall not have been remedied, the Trustee, in addition to the rights
specified in Section 8.01, shall have the right, in its own name as trustee of
an express trust, to take all actions now or hereafter existing at law, in
equity or by statute to enforce its rights and remedies and to protect the
interests, and enforce the rights and remedies, of the Certificateholders
(including the institution and prosecution of all judicial, administrative and
other proceedings and the filing of proofs of claim and debt in connection
therewith). Except as otherwise expressly provided in this Agreement, no remedy
provided for by this Agreement shall be exclusive of any other remedy, and each
and every remedy shall be cumulative and in addition to any other remedy and no
delay or omission to exercise any right or remedy shall impair any such right or
remedy or shall be deemed to be a waiver of any Event of Default.

      Section 8.03  Directions by Certificateholders and Duties of Trustee
During Event of Default.

      During the continuance of any Event of Default, Holders of Certificates
evidencing Voting Rights aggregating not less than 25% (or such other percentage
as may be required herein) of each Class of Certificates affected thereby may
direct the time, method and place of conducting any proceeding for any remedy
available to the Trustee, or exercising any trust or power conferred upon the
Trustee under this Agreement; provided, however, that the Trustee shall be under
no obligation to pursue any such remedy, or to exercise any of the trusts or
powers vested in it by this Agreement (including, without limitation, (a) the
conducting or defending of any administrative action or litigation hereunder or
in relation hereto, and (b) the terminating of the Servicer or any successor
Servicer from its rights and duties as servicer hereunder) at the request, order
or direction of any of the Certificateholders, unless such Certificateholders
shall have offered to the Trustee reasonable security or indemnity satisfactory
to it against the costs, expenses and liabilities which may be incurred therein
or thereby and, provided further, that, subject to the provisions of Section
9.01, the Trustee shall have the right to decline to follow any such direction
if the Trustee, based upon an Opinion of Counsel, determines that the action or
proceeding so directed may not lawfully be taken or if the Trustee in good faith
determines that the action or proceeding so directed would subject the Trustee
to a risk of personal liability or be unjustly prejudicial to the non-assenting
Certificateholders.

      Section 8.04  Action upon Certain Failures of the Servicer and upon
Event of Default.

      In the event that a Responsible Officer of the Trustee or the Securities
Administrator shall have actual knowledge of any failure of the Servicer
specified in Section 8.01(a) or (b) which would become an Event of Default upon
such Servicer's failure to remedy the same after notice, the Trustee or the
Securities Administrator, as the case may be, shall give notice thereof to the
Servicer. If a Responsible Officer of the Trustee or the Securities
Administrator shall have knowledge of an Event of Default, the Trustee or the
Securities Administrator, as the case may be, shall give prompt written notice
thereof to the Certificateholders in accordance with Section 8.01.

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      Section 8.05  Trustee to Act; Appointment of Successor.

      (a)   Within ninety (90) days of the time the Servicer receives a notice
of termination pursuant to Section 8.01, the Trustee (or other named successor)
shall, subject to Section 3.07, be the successor in all respects to the Servicer
in its capacity as servicer under this Agreement and the transactions set forth
or provided for herein and shall be subject to all the responsibilities, duties
and liabilities relating thereto placed on the Servicer by the terms and
provisions hereof and thereof, as applicable, or shall appoint a successor
pursuant to Section 3.07. Notwithstanding the foregoing, (i) the parties hereto
agree that the Trustee, in its capacity as successor Servicer, immediately will
assume all of the obligations of the Servicer to make Advances under this
Agreement, (ii) the Trustee, in its capacity as successor Servicer, shall not be
responsible for the lack of information and/or documents that it cannot obtain
through reasonable efforts and (iii) under no circumstances shall any provision
of this Agreement be construed to require the Trustee (a) acting in its capacity
as successor to the Servicer in its obligation to make advances (including
Advances pursuant to Section 3.19) to advance, expend or risk its own funds or
otherwise incur any financial liability in the performance of its duties
hereunder if it shall have reasonable grounds for believing that such funds are
non-recoverable, (b) to be liable for any losses of the Servicer or any acts or
omissions of the predecessor Servicer hereunder, (c) to be obligated to make
Advances if it is prohibited from doing so by applicable law, (d) to be
obligated to effectuate repurchases or substitutions of the Mortgage Loans
hereunder or (e) to be obligated to perform any obligation of the Servicer under
Section 3.20, Section 3.21 or Section 3.22 with respect to any period of time
during which the Trustee was not the Servicer. Subject to Section 8.05(b), as
compensation therefor, the Trustee shall be entitled to such compensation as the
terminated Servicer would have been entitled to hereunder if no such notice of
termination had been given, except for those amounts due to the Servicer as
reimbursement for Advances previously made or amounts previously expended and
are otherwise reimbursable hereunder. Notwithstanding the above, the Trustee
may, if it shall be unwilling so to act, or shall, if it is legally unable so to
act, appoint, or petition a court of competent jurisdiction to appoint, any
established housing and home finance institution having a net worth of not less
than $10,000,000 as the successor to the terminated Servicer hereunder in the
assumption of all or any part of the responsibilities, duties or liabilities of
the Servicer hereunder; provided, however, that any such institution appointed
as successor Servicer shall not, as evidenced in writing by each Rating Agency,
adversely affect the then current rating of any Class of Certificates
immediately prior to the termination of the terminated Servicer. The appointment
of a successor Servicer shall not affect any liability of the predecessor
Servicer which may have arisen under this Agreement prior to its termination as
Servicer, nor shall any successor Servicer be liable for any acts or omissions
of the predecessor Servicer or for any breach by the Servicer of any of its
representations or warranties contained herein or in any related document or
agreement. Pending appointment of a successor to the terminated Servicer
hereunder, unless the Trustee is prohibited by law from so acting, the Trustee
shall act in such capacity as provided above. The Trustee and such successor
shall take such action, consistent with this Agreement, as shall be necessary to
effectuate any such succession. All Servicing Transfer Costs shall be paid by
the predecessor Servicer (unless the predecessor Servicer is the Trustee, in
which event the previous Servicer shall be responsible for payment of such costs
and expenses so long as the transfer of servicing is not the result of an Event
of Default on the part of the Trustee in its capacity as the predecessor
Servicer) upon presentation of reasonable documentation of such costs, and if
such predecessor Servicer defaults in its obligation to pay

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such costs, such costs shall be paid by the successor Servicer or the Trustee
(in which case the successor Servicer or the Trustee shall be entitled to
reimbursement therefor from the assets of the Trust).

      (b)   In connection with the appointment of a successor Servicer or the
assumption of the duties of the Servicer, as specified in Section 8.05(a), the
Trustee may make such arrangements for the compensation of such successor as it
and such successor shall agree not to exceed the Servicer compensation
hereunder.

      (c)   Any successor, including the Trustee, to the Servicer as servicer
shall during the term of its service as servicer maintain in force (i) a policy
or policies of insurance covering errors and omissions in the performance of its
obligations as servicer hereunder and (ii) a fidelity bond in respect of its
officers, employees and agents to the same extent as the Servicer is so required
pursuant to Section 3.03.

      Section 8.06  Notification to Certificateholders.

      Upon any termination or appointment of a successor to the Servicer
pursuant to this Article VIII, the Securities Administrator shall give prompt
written notice thereof to Certificateholders at their respective addresses
appearing in the Certificate Register and to each Rating Agency.

                                   ARTICLE IX

                  THE TRUSTEE AND THE SECURITIES ADMINISTRATOR

      Section 9.01  Duties of Trustee and Securities Administrator.

      (a)   The Trustee and the Securities Administrator, prior to the
occurrence of an Event of Default and after the curing or waiver of all Events
of Default which may have occurred, each undertake to perform such duties and
only such duties as are specifically set forth in this Agreement as duties of
the Trustee and the Securities Administrator, respectively. In case an Event of
Default has occurred of which a Responsible Officer of the Trustee shall have
actual knowledge (which has not been cured or waived), the Trustee shall
exercise such of the rights and powers vested in it by this Agreement, and use
the same degree of care and skill in their exercise as a reasonably prudent
investor would exercise or use under the circumstances in the conduct of such
investor's own affairs. In case an Event of Default has occurred of which a
Responsible Officer of the Securities Administrator shall have actual knowledge
(which has not been cured or waived), the Securities Administrator shall
exercise such of the rights and powers vested in it by this Agreement, and use
the same degree of care and skill in their exercise as a reasonably prudent
investor would exercise or use under the circumstances in the conduct of such
investor's own affairs.

      The Trustee and the Securities Administrator, upon receipt of all
resolutions, certificates, statements, opinions, reports, documents, orders or
other instruments furnished to the Trustee and the Securities Administrator
which are specifically required to be furnished pursuant to any provision of
this Agreement, shall examine them to determine whether they conform to the
requirements of this Agreement; provided, however, that neither the Trustee nor
the Securities

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Administrator shall be responsible for the accuracy of any resolution,
certificate, statement, opinion, report, document, order or other instrument
furnished by the Servicer or the Depositor hereunder.

      (b)   No provision of this Agreement shall be construed to relieve the
Trustee or the Securities Administrator from liability for its own grossly
negligent action, its own grossly negligent failure to act or its own willful
misfeasance; provided, however, that:

            (i)     Prior to the occurrence of an Event of Default, and after
      the curing or waiver of all such Events of Default which may have
      occurred, the duties and obligations of the Trustee and the Securities
      Administrator shall be determined solely by the express provisions of this
      Agreement, the Trustee and the Securities Administrator shall not be
      liable except for the performance of such duties and obligations as are
      specifically set forth in this Agreement, no implied covenants or
      obligations shall be read into this Agreement against the Trustee and the
      Securities Administrator and, in the absence of bad faith on the part of
      the Trustee and the Securities Administrator, the Trustee and the
      Securities Administrator may conclusively rely, as to the truth of the
      statements and the correctness of the opinions expressed therein, upon any
      certificates or opinions furnished to the Trustee and the Securities
      Administrator by the Depositor or the Servicer and which on their face, do
      not contradict the requirements of this Agreement;

            (ii)    The Trustee and the Securities Administrator shall not be
      personally liable for an error of judgment made in good faith by a
      Responsible Officer or Responsible Officers of the Trustee or the
      Securities Administrator, as the case may be, unless it shall be proved
      that such party was grossly negligent in ascertaining the pertinent facts;

            (iii)   The Trustee and the Securities Administrator shall not be
      personally liable with respect to any action taken, suffered or omitted to
      be taken by it in good faith in accordance with the direction of
      Certificateholders as provided in Section 8.03;

            (iv)    The Trustee shall not be charged with knowledge of any
      default or Event of Default under Section 8.01 unless a Responsible
      Officer of the Trustee obtains actual knowledge of such default or Event
      of Default or any Responsible Officer of the Trustee receives written
      notice of such default or Event of Default at its Corporate Trust Office
      from the Servicer, the Depositor, the Securities Administrator or any
      Certificateholder. The Securities Administrator shall not be charged with
      knowledge of any default or Event of Default under Section 8.01 unless a
      Responsible Officer of the Securities Administrator obtains actual
      knowledge of such default or Event of Default or any Responsible Officer
      of the Securities Administrator receives written notice of such default or
      Event of Default at its Corporate Trust Office from the Servicer, the
      Depositor, the Trustee or any Certificateholder; and

            (v)     Except to the extent provided in Section 8.05, no provision
      in this Agreement shall require the Trustee or the Securities
      Administrator to expend or risk its own funds or otherwise incur any
      personal financial liability in the performance of any of its duties as
      Trustee or Securities Administrator hereunder, or in the exercise of any
      of its rights or powers, if the Trustee or the Securities Administrator
      shall have reasonable

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      grounds for believing that repayment of funds or adequate indemnity or
      security satisfactory to it against such risk or liability is not
      reasonably assured to it.

      (c)   Subject to the conditions set forth in this Section 9.01(c), the
Securities Administrator is permitted to utilize one or more Subcontractors to
perform certain of its obligations hereunder. The Securities Administrator shall
promptly upon request provide to the Depositor a written description (in form
and substance satisfactory to the Depositor) of the role and function of each
Subcontractor utilized by the Securities Administrator, specifying (i) the
identity of each such Subcontractor that is a Servicing Function Participant and
(ii) which elements of the Servicing Criteria will be addressed in Assessments
of Compliance provided by each Servicing Function Participant. As a condition to
the utilization by the Securities Administrator of any Servicing Function
Participant, the Securities Administrator shall cause any such Servicing
Function Participant for the benefit of the Depositor to comply with the
provisions of Section 3.21 of this Agreement to the same extent as if such
Servicing Function Participant were the Securities Administrator. The Securities
Administrator shall be responsible for obtaining from each such Servicing
Function Participant and delivering to the applicable Persons any Assessment of
Compliance and related Attestation Report required to be delivered by such
Servicing Function Participant under Section 3.21, in each case as and when
required to be delivered.

      Notwithstanding the foregoing, if the Securities Administrator engages a
Subcontractor in connection with the performance of any of its duties under this
Agreement, the Securities Administrator shall be responsible for determining
whether such Subcontractor is an Additional Servicer.

      The Securities Administrator shall indemnify the Depositor, the Sponsor,
the Trustee, the Custodian, the Servicer and any of their respective directors,
officers, employees or agents and hold them harmless against any and all claims,
losses, damages, penalties, fines, forfeitures, reasonable and necessary legal
fees and related costs, judgments, and any other costs, fees and expenses that
any of them may sustain in any way related to a breach of the Securities
Administrator's obligation set forth in the preceding paragraph or the failure
of the Securities Administrator to perform any of its obligations under Section
3.20, Section 3.21, Section 3.22 or this Section 9.01(c).

      (d)   Wells Fargo Bank, N.A., in its capacity as Supplemental Interest
Trust Trustee, is hereby directed to execute and deliver, on behalf of the
Trust, the Interest Rate Agreements on the Closing Date and to enforce the
obligations of the Cap Provider, Floor Provider and Swap Provider under such
Interest Rate Agreements thereafter, including by exercising any right that the
Supplemental Interest Trust Trustee may have to designate an "Early Termination
Date" under each Interest Rate Agreement upon the occurrence of an "Event of
Default" or a "Termination Event" thereunder. Upon the occurrence of an "Early
Termination Date" under an Interest Rate Agreement, and at the direction of the
Depositor, the Supplemental Interest Trust Trustee shall use reasonable efforts
to replace such Interest Rate Agreement with one that is furnished by a
replacement for the Swap Provider, Cap Provider or Floor Provider, as the case
may be, acceptable to each Rating Agency, and the Supplemental Interest Trust
Trustee shall hold in trust any amount that is paid to it by the Swap Provider,
Cap Provider or Floor Provider, as the case may be, in respect of any such
"Early Termination Date" and apply such amount to

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the purchase of the related replacement. If any portion of such amount cannot be
so used (either because a replacement for such Interest Rate Agreement is not
available or such amount exceeds the amount necessary to purchase such
replacement), the Supplemental Interest Trust Trustee shall deposit such portion
in the Swap Account (with respect to Interest Rate Cap Agreement A and the
Interest Rate Swap Agreement or the Rate Cap Carryover Reserve Account (with
respect to Interest Rate Cap Agreement B or the Interest Rate Floor Agreement.
If such amount is insufficient to purchase a replacement for the applicable
Interest Rate Agreement, the Supplemental Interest Trust Trustee shall apply
such amount to replace so much of such Interest Rate Agreement as it is possible
to replace with such amount. If the Swap Provider, the Cap Provider or the Floor
Provider transfers its rights and obligations under the related Interest Rate
Agreement to another party in accordance therewith or the Supplemental Interest
Trust Trustee replaces an Interest Rate Agreement with one that is furnished by
a replacement for the Swap Provider, the Cap Provider or the Floor Provider, as
the case may be, acceptable to each Rating Agency in accordance with this
Agreement, then the Supplemental Interest Trust Trustee shall execute and
deliver the related replacement for or novation of the related Interest Rate
Agreement.

      In addition, upon its receipt from BANA of each "significance estimate" of
each Interest Rate Agreement pursuant to the Mortgage Loan Purchase Agreement,
the Supplemental Interest Trust Trustee shall, on the basis of such
"significance estimate," calculate the aggregate Interest Rate Agreements'
"significance percentage" of the aggregate Class Certificate Balance of the
Certificates as of the date of such "significance estimate" in accordance with
Item 1115 of Regulation AB. For the avoidance of doubt, such "significance
percentage" shall be a fraction, expressed as a percentage, the numerator of
which is such "significance estimate" and the denominator of which is such
aggregate Class Certificate Balance. The Supplemental Interest Trust Trustee
also shall determine as of such date whether such "significance percentage"
would require disclosure of financial information with respect to Bank of
America, National Association in any report required to be filed with the
Commission pursuant to Section 3.22, and if it does, the Supplemental Interest
Trust Trustee shall make a written request of Bank of America, National
Association for such information in accordance with the applicable Interest Rate
Agreements not later than the third Business Day after it receives the related
"significance estimate." Upon its receipt of such information, the Supplemental
Interest Trust Trustee shall furnish such information to the Depositor and, if
such information is approved by the Depositor, shall include such information in
the related report as provided in Section 3.22.

      To the extent Bank of America, National Association is no longer the Cap
Provider, Floor Provider or Swap Provider, the "significance percentage" shall
be calculated separately for such applicable Interest Rate Agreement (only for
so long as the Trust is subject to the Exchange Act reporting requirements).

      Section 9.02  Certain Matters Affecting the Trustee and the Securities
Administrator.

      Except as otherwise provided in Section 9.01:

            (i)     The Trustee and the Securities Administrator may request and
      rely upon and shall be protected in acting or refraining from acting upon
      any resolution, Officer's Certificate, certificate of auditors or any
      other certificate, statement, instrument, opinion,

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      report, notice, request, consent, order, appraisal, bond or other paper or
      document believed by it to be genuine and to have been signed or presented
      by the proper party or parties and the manner of obtaining consents and of
      evidencing the authorization of the execution thereof by
      Certificateholders shall be subject to the reasonable regulations as the
      Trustee and the Securities Administrator, as applicable, may prescribe;

            (ii)    The Trustee and the Securities Administrator may consult
      with counsel and any Opinion of Counsel shall be full and complete
      authorization and protection in respect of any action taken or suffered or
      omitted by it hereunder in good faith and in accordance with such Opinion
      of Counsel;

            (iii)   Neither the Trustee nor the Securities Administrator shall
      be under any obligation to exercise any of the trusts or powers vested in
      it by this Agreement or to institute, conduct or defend any litigation
      hereunder or in relation hereto at the request, order or direction of any
      of the Certificateholders, pursuant to the provisions of this Agreement,
      unless such Certificateholders shall have offered to the Trustee or the
      Securities Administrator, as the case may be, reasonable security or
      indemnity satisfactory to it against the costs, expenses and liabilities
      which may be incurred therein or thereby; however, subject to Section
      9.01(b)(v), nothing contained herein shall relieve the Trustee or the
      Securities Administrator of the obligation, upon the occurrence of an
      Event of Default (which has not been cured or waived), to exercise such of
      the rights and powers vested in it by this Agreement, and to use the same
      degree of care and skill in their exercise as a prudent investor would
      exercise or use under the circumstances in the conduct of such investor's
      own affairs;

            (iv)    Neither the Trustee nor the Securities Administrator shall
      be personally liable for any action taken, suffered or omitted by it in
      good faith and believed by it to be authorized or within the discretion or
      rights or powers conferred upon it by this Agreement;

            (v)     Prior to the occurrence of an Event of Default hereunder and
      after the curing or waiving of all Events of Default which may have
      occurred, neither the Trustee nor the Securities Administrator shall be
      bound to make any investigation into the facts or matters stated in any
      resolution, certificate, statement, instrument, opinion, report, notice,
      request, consent, order, approval, bond or other paper or document, unless
      requested in writing so to do by Holders of Certificates of any Class
      evidencing, as to such Class, Percentage Interests, aggregating not less
      than 50%; provided, however, that if the payment within a reasonable time
      to the Trustee or the Securities Administrator of the costs, expenses or
      liabilities likely to be incurred by it in the making of such
      investigation is, in the opinion of the Trustee or the Securities
      Administrator, as the case may be, not reasonably assured to the Trustee
      or the Securities Administrator, as applicable, by the security afforded
      to it by the terms of this Agreement, the Trustee or the Securities
      Administrator, as the case may be, may require reasonable indemnity or
      security satisfactory to it against such expense or liability or payment
      of such estimated expenses as a condition to so proceeding;

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            (vi)    The Trustee and the Securities Administrator may execute any
      of the trusts or powers hereunder or perform any duties hereunder either
      directly or by or through agents, attorneys, accountants, custodian or
      independent contractor; and

            (vii)   The right of the Trustee or the Securities Administrator to
      perform any discretionary act enumerated in this Agreement shall not be
      construed as a duty, and neither the Trustee nor the Securities
      Administrator shall be answerable for other than its gross negligence or
      willful misconduct in the performance of any such act.

      Section 9.03  Neither Trustee nor Securities Administrator Liable for
Certificates or Mortgage Loans.

      The recitals contained herein and in the Certificates (other than the
execution of, and the authentication on the Certificates) shall be taken as the
statements of the Depositor or the Servicer, as applicable, and neither the
Trustee nor the Securities Administrator assumes responsibility for their
correctness. Neither the Trustee nor the Securities Administrator makes any
representations as to the validity or sufficiency of this Agreement or of the
Certificates or any Mortgage Loans save that the Trustee and the Securities
Administrator represent that, assuming due execution and delivery by the other
parties hereto, this Agreement has been duly authorized, executed and delivered
by it and constitutes its legal, valid and binding obligation, enforceable
against it in accordance with its terms, subject, as to enforcement of remedies,
to applicable insolvency, receivership, moratorium and other laws affecting the
rights of creditors generally, and to general principles of equity and the
discretion of the court (regardless of whether enforcement of such remedies is
considered in a proceeding in equity or at law). Neither the Trustee nor the
Securities Administrator shall be accountable for the use or application by the
Depositor of funds paid to the Depositor in consideration of the assignment of
the Mortgage Loans hereunder by the Depositor, or for the use or application of
any funds paid to Subservicers or the Servicer in respect of the Mortgage Loans
or deposited into the Servicer Custodial Account, or any other account hereunder
(other than the Certificate Account) by the Servicer.

      Neither the Trustee nor the Securities Administrator shall at any time
have any responsibility or liability for or with respect to the legality,
validity and enforceability of any Mortgage or any Mortgage Loan, or the
perfection and priority of any Mortgage or the maintenance of any such
perfection and priority or for or with respect to the sufficiency of the Trust
or its ability to generate the payments to be distributed to Certificateholders
under this Agreement, including, without limitation: the existence, condition
and ownership of any Mortgaged Property; the existence and enforceability of any
hazard insurance thereon (other than if the Trustee shall assume the duties of
the Servicer pursuant to Section 8.05 and thereupon only for the acts or
omissions of the Trustee as the successor Servicer); the validity of the
assignment of any Mortgage Loan to the Trustee or of any intervening assignment;
the completeness of any Mortgage Loan; the performance or enforcement of any
Mortgage Loan (other than if the Trustee shall assume the duties of the Servicer
pursuant to Section 8.05 and thereupon only for the acts or omissions of the
Trustee as successor Servicer); the compliance by the Depositor or the Servicer
with any warranty or representation made under this Agreement or in any related
document or the accuracy of any such warranty or representation; any investment
of monies by or at the direction of the Servicer or any loss resulting
therefrom, it being understood that the

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Trustee and the Securities Administrator shall remain responsible for any Trust
property that it may hold in its individual capacity; the acts or omissions of
any of the Depositor, the Servicer (other than if the Trustee shall assume the
duties of the Servicer pursuant to Section 8.05 and thereupon only for the acts
or omissions of the Trustee as successor Servicer), or any Mortgagor; any action
of the Servicer (other than if the Trustee shall assume the duties of the
Servicer pursuant to Section 8.05 and thereupon only for the acts or omissions
of the Trustee as successor Servicer) or any Subservicer taken in the name of
the Trust or the Securities Administrator; the failure of the Servicer or any
Subservicer to act or perform any duties required of it as agent of the Trust or
the Securities Administrator hereunder; or any action by the Trustee or the
Securities Administrator taken at the instruction of the Servicer (other than if
the Trustee shall assume the duties of the Servicer pursuant to Section 8.05 and
thereupon only for the acts or omissions of the Trustee as successor Servicer);
provided, however, that the foregoing shall not relieve the Trustee or the
Securities Administrator of its obligation to perform its duties under this
Agreement, including, without limitation, the Trustee's review (or the review of
a Custodian on its behalf) of the Mortgage Files pursuant to Section 2.02. The
Trustee shall file any continuation statement with respect to any financing
statement for which the Trustee is the secured party in any public office at any
time required to maintain the perfection of any security interest or lien
granted to it hereunder.

      Section 9.04  Trustee and Securities Administrator May Own Certificates.

      Each of the Trustee and the Securities Administrator in their individual
or any other capacities may become the owner or pledgee of Certificates with the
same rights it would have if it were not Trustee or the Securities Administrator
and may otherwise deal with the Servicer or any of its affiliates with the same
right it would have if it were not the Trustee or the Securities Administrator.

      Section 9.05  Eligibility Requirements for Trustee and Securities
Administrator.

      The Trustee and the Securities Administrator hereunder shall at all times
be (a) an institution the deposits of which are fully insured by the FDIC and
(b) a corporation or banking association organized and doing business under the
laws of the United States of America or of any State, authorized under such laws
to exercise corporate trust powers, having a combined capital and surplus of not
less than $50,000,000.00 and subject to supervision or examination by Federal or
State authority and (c) with respect to every successor trustee or securities
administrator hereunder either an institution (i) the long-term unsecured debt
obligations of which are rated at least "A" by S&P and "A2" by Moody's or (ii)
whose serving as Trustee or Securities Administrator hereunder would not result
in the lowering of the ratings originally assigned to any Class of Certificates.
The Trustee shall not be an affiliate of the Depositor, the Servicer or any
Servicer. If such corporation or banking association publishes reports of
condition at least annually, pursuant to law or to the requirements of the
aforesaid supervising or examining authority, then for the purposes of this
Section 9.05, the combined capital and surplus of such corporation or banking
association shall be deemed to be its combined capital and surplus as set forth
in its most recent report of condition so published. The principal office of the
Trustee and the Securities Administrator (other than the initial Trustee or
Securities Administrator) shall be in a state with respect to which an Opinion
of Counsel has been delivered to such Trustee at the time such Trustee or
Securities Administrator is appointed Trustee or

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Securities Administrator to the effect that the Trust will not be a taxable
entity under the laws of such state. In case at any time the Trustee or the
Securities Administrator shall cease to be eligible in accordance with the
provision of this Section 9.05, the Trustee or the Securities Administrator, as
the case may be, shall resign immediately in the manner and with the effect
specified in Section 9.06.

      The Securities Administrator (i) may not be an originator, the Servicer,
the Depositor or an affiliate of the Depositor unless the Securities
Administrator is in an institutional trust department, (ii) must be authorized
to exercise corporate trust powers under the laws of its jurisdiction of
organization, and (iii) must be rated at least "P-1" by Moody's and "A-1" by S&P
(or such other rating acceptable to Moody's and S&P pursuant to a ratings
confirmation). If no successor Securities Administrator shall have been
appointed and shall have accepted appointment within 60 days after the
Securities Administrator ceases to be the Securities Administrator pursuant to
this Section 9.05, then the Trustee shall perform the duties of the Securities
Administrator pursuant to this Agreement. Notwithstanding the above, the Trustee
may, if it shall be unwilling so to act, or shall, if it is legally unable so to
act, appoint, or petition a court of competent jurisdiction to appoint, an
institution qualified under Section 9.05 hereof as the successor to the
Securities Administrator hereunder in the assumption of all or any part of the
responsibilities, duties or liabilities of a Securities Administrator hereunder;
provided, however, that any such institution appointed as successor Securities
Administrator shall not, as evidenced in writing by each Rating Agency,
adversely affect the then current rating of any Class of Certificates
immediately prior to the termination of the Securities Administrator. The
Trustee shall notify the Rating Agencies of any change of the Securities
Administrator.

      Section 9.06  Resignation and Removal of Trustee and Securities
Administrator.

      The Trustee or the Securities Administrator may at any time resign and be
discharged from the trust hereby created by giving written notice thereof to the
Servicer, the NIMS Insurer and the Depositor and mailing a copy of such notice
to all Holders of record. The Trustee or the Securities Administrator, as
applicable, shall also mail a copy of such notice of resignation to each Rating
Agency. Upon receiving such notice of resignation, the Servicer shall use its
best efforts to promptly appoint a mutually acceptable successor Trustee or
Securities Administrator, as applicable, by written instrument, in duplicate,
one copy of which instrument shall be delivered to the resigning Trustee or
Securities Administrator, as applicable, and one copy to the successor Trustee
or Securities Administrator, as applicable. If no successor Trustee or
Securities Administrator, as the case may be, shall have been so appointed and
shall have accepted appointment within 30 days after the giving of such notice
of resignation, the resigning Trustee or Securities Administrator may petition
any court of competent jurisdiction for the appointment of a successor Trustee
or Securities Administrator.

      If at any time the Trustee or the Securities Administrator shall cease to
be eligible in accordance with the provisions of Section 9.05 and shall fail to
resign after written request therefor by the Servicer, or if at any time the
Trustee or the Securities Administrator shall become incapable of acting, or
shall be adjudged a bankrupt or insolvent, or a receiver of the Trustee or the
Securities Administrator or of their respective property shall be appointed, or
any public officer shall take charge or control of the Trustee or the Securities
Administrator or of their respective property or affairs for the purpose of
rehabilitation, conservation or liquidation,

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or if at any time the Securities Administrator has failed to duly perform,
within the required time period, its obligations under Section 3.20, Section
3.21 or Section 3.22, then the Servicer may remove the Trustee or the Securities
Administrator, as the case may be, and appoint a successor trustee or securities
administrator by written instrument, in duplicate, one copy of which instrument
shall be delivered to the Trustee or the Securities Administrator, as
applicable, so removed and one copy to the successor.

      The Holders of Certificates evidencing not less than 50% of the Voting
Rights may at any time remove the Trustee or the Securities Administrator by
written instrument or instruments delivered to the Servicer and the Trustee or
the Securities Administrator, as applicable; the Servicer shall thereupon use
its best efforts to appoint a mutually acceptable successor Trustee or
Securities Administrator, as the case may be, in accordance with this Section
9.06.

      Any resignation or removal of the Trustee or the Securities Administrator
and appointment of a successor Trustee pursuant to any of the provisions of this
Section 9.06 shall become effective upon acceptance of appointment by the
successor Trustee or Securities Administrator, as the case may be, as provided
in Section 9.07.

      Section 9.07  Successor Trustee or Securities Administrator.

      Any successor Trustee or successor Securities Administrator appointed as
provided in Section 9.06 shall execute, acknowledge and deliver to the Servicer
and to its predecessor Trustee or Securities Administrator, as applicable, an
instrument accepting such appointment hereunder, and thereupon the resignation
or removal of the predecessor Trustee or Securities Administrator shall become
effective and such successor Trustee or Securities Administrator, as the case
may be, without any further act, deed or conveyance, shall become fully vested
with all the rights, powers, duties and obligations of its predecessor
hereunder, with like effect as if originally named as Trustee or Securities
Administrator, as applicable, herein. The predecessor Trustee or Securities
Administrator shall duly assign, transfer, deliver and pay over to the successor
Trustee or Securities Administrator, as the case may be, the whole of the
Mortgage Files and related documents and statements held by it hereunder (or
direct a Custodian to deliver such Mortgage Files and related documents and
statements), together with all instruments of transfer and assignment or other
documents properly executed as may be reasonably required to effect such
transfer and such of the records or copies thereof maintained by the predecessor
Trustee or Securities Administrator in the administration hereof as may be
reasonably requested by the successor Trustee or Securities Administrator, as
the case may be, and shall thereupon be discharged from all duties and
responsibilities under this Agreement; provided, however, that if the
predecessor Trustee or Securities Administrator has been removed pursuant to the
third paragraph of Section 9.06, all reasonable expenses of the predecessor
Trustee or Securities Administrator incurred in complying with this Section 9.07
shall be reimbursed by the Trust.

      No successor Trustee or Securities Administrator shall accept appointment
as provided in this Section 9.07 unless at the time of such appointment such
successor Trustee or Securities Administrator, as the case may be, shall be
eligible under the provisions of Section 9.05.

      Upon acceptance of appointment by a successor Trustee or Securities
Administrator, as applicable, as provided in this Section 9.07, the Servicer
shall cooperate to mail notice of the

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succession of such Trustee or Securities Administrator, as the case may be,
hereunder to the NIMS Insurer, all Holders of Certificates at their addresses as
shown in the Certificate Register and to each Rating Agency. If the Servicer
fails to mail such notice within ten days after acceptance of appointment by the
successor Trustee or Securities Administrator, the successor Trustee or
Securities Administrator, as the case may be, shall cause such notice to be
mailed at the expense of the Servicer.

      Section 9.08  Merger or Consolidation of Trustee or Securities
Administrator.

      Any corporation or banking association into which either the Trustee or
the Securities Administrator may be merged or converted or with which it may be
consolidated, or any corporation or banking association resulting from any
merger, conversion or consolidation to which the Trustee or the Securities
Administrator shall be a party, or any corporation or banking association
succeeding to all or substantially all of the corporate trust business of the
Trustee or the Securities Administrator, shall be the successor of the Trustee
or the Securities Administrator, as applicable, hereunder, if such corporation
or banking association is eligible under the provisions of Section 9.05, without
the execution or filing of any paper or any further act on the part of any of
the parties hereto, anything herein to the contrary notwithstanding. In
connection with the succession to the Trustee or the Securities Administrator
under this Agreement by any Person (i) into which the Trustee or the Securities
Administrator may be merged or consolidated, or (ii) which may be appointed as a
successor to the Trustee or the Securities Administrator, the Trustee or the
Securities Administrator, as the case may be, shall notify the Depositor of such
succession or appointment and shall furnish to the Depositor in writing and in
form and substance reasonably satisfactory to the Depositor, all information
reasonably necessary for the Securities Administrator to accurately and timely
report, pursuant to Section 3.22(e), the event under Item 6.02 of Form 8-K
pursuant to the Exchange Act (if such reports under the Exchange Act are
required to be filed under the Exchange Act).

      Section 9.09  Appointment of Co-Trustee or Separate Trustee.

      Notwithstanding any of the provisions hereof, at any time, for the purpose
of meeting any legal requirements of any jurisdiction in which any Mortgaged
Property may at the time be located or for any other reason, the Servicer and
the Trustee acting jointly shall have the power and shall execute and deliver
all instruments to appoint one or more Persons approved by the Trustee as
co-trustee or separate trustee of all or any part of the Trust Estate, and to
vest in such Person or Persons, in such capacity, such title to the Trust
Estate, or any part thereof, and, subject to the other provision of this Section
9.09, such powers, duties, obligations, rights and trusts as the Servicer and
the Trustee may consider necessary or desirable. If the Servicer shall not have
joined in such appointment within ten days after the receipt by it of a request
to do so, the Trustee alone shall have the power to make such appointment. No
co-trustee or separate trustee hereunder shall be required to meet the terms of
eligibility as a successor Trustee under Section 9.05 and no notice to Holders
of Certificates of the appointment of co-trustee(s) or separate trustee(s) shall
be required under Section 9.07. The Securities Administrator shall be
responsible for the fees of any co-trustee or separate trustee appointed
hereunder.

      In the case of any appointment of a co-trustee or separate trustee
pursuant to this Section 9.09, all rights, powers, duties and obligations
conferred or imposed upon the Trustee

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shall be conferred or imposed upon and exercised or performed by the Trustee and
such separate trustee or co-trustee jointly, except to the extent that under any
law of any jurisdiction in which any particular act or acts are to be performed
(whether as Trustee hereunder or as successor to the Servicer hereunder), the
Trustee shall be incompetent or unqualified to perform such act or acts, in
which event such rights, powers, duties and obligations (including the holding
of title to the Trust Estate or any portion thereof in any such jurisdiction)
shall be exercised and performed by such separate trustee or co-trustee at the
direction of the Trustee. No trustee hereunder shall be held personally liable
by reason of any act or omission of any other trustee hereunder; provided,
however, that no appointment of a co-trustee or separate trustee hereunder shall
relieve the Trustee of its obligations hereunder.

      Any notice, request or other writing given to the Trustee shall be deemed
to have been given to each of the then separate trustees and co-trustees, as
effectively as if given to each of them. Every instrument appointing any
separate trustee or co-trustee shall refer to this Agreement and the conditions
of this Article IX. Each separate trustee and co-trustee, upon its acceptance of
the trusts conferred, shall be vested with the estates or property specified in
its instrument of appointment, either jointly with the Trustee or separately, as
may be provided therein, subject to all the provisions of this Agreement,
specifically including every provision of this Agreement relating to the conduct
of, affecting the liability of, or affording protection to, the Trustee. Every
such instrument shall be filed with the Trustee.

      Any separate trustee or co-trustee may, at any time, constitute the
Trustee, its agent or attorney-in-fact, with full power and authority, to the
extent not prohibited by law, to do any lawful act under or in respect of this
Agreement on its behalf and in its name. If any separate trustee or co-trustee
shall become incapable of acting, resign or be removed, or shall be adjudged a
bankrupt or insolvent, or a receiver of its property shall be appointed, or any
public officer shall take charge or control of such trustee or co-trustee or of
its property or affairs for the purpose of rehabilitation, conservation or
liquidation, all of its estates, properties, rights, remedies and trusts shall
vest in and be exercised by the Trustee, to the extent permitted by law, without
the appointment of a new or successor trustee.

      Section 9.10  Authenticating Agents.

      The Securities Administrator may appoint one or more authenticating agents
("Authenticating Agents") that shall be authorized to act on behalf of the
Securities Administrator in authenticating or countersigning Certificates.
Initially, the Authenticating Agent shall be Wells Fargo Bank, N.A. Wherever
reference is made in this Agreement to the authentication or countersigning of
Certificates by the Securities Administrator or the Securities Administrator's
certificate of authentication or countersigning, such reference shall be deemed
to include authentication or countersigning on behalf of the Securities
Administrator by an Authenticating Agent and a certificate of authentication or
countersignature executed on behalf of the Securities Administrator by an
Authenticating Agent. Each Authenticating Agent must be acceptable to the
Servicer and must be a corporation or banking association organized and doing
business under the laws of the United States of America or of any State, having
a place of business in New York, New York, having a combined capital and surplus
of at least $15,000,000, authorized under such laws to do a trust business and
subject to supervision or examination by Federal or State authorities.

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      Any corporation or banking association into which any Authenticating Agent
may be merged or converted or with which it may be consolidated, or any
corporation or banking association resulting from any merger, conversion or
consolidation to which any Authenticating Agent shall be a party, or any
corporation or banking association succeeding to the corporate agency business
of any Authenticating Agent, shall continue to be the Authenticating Agent
without the execution or filing of any paper or any further act on the part of
the Securities Administrator or the Authenticating Agent.

      Any Authenticating Agent may at any time resign by giving written notice
of resignation to the Securities Administrator and to the Servicer. The
Securities Administrator may at any time terminate the agency of any
Authenticating Agent by giving written notice of termination to such
Authenticating Agent and to the Servicer. Upon receiving a notice of resignation
or upon such a termination, or in case, at any time any Authenticating Agent
shall cease to be eligible in accordance with the provisions of this Section
9.10, the Securities Administrator may appoint a successor Authenticating Agent,
shall give written notice of such appointment to the Servicer and shall mail
notice of such appointment to all Certificateholders. Any successor
Authenticating Agent upon acceptance of its appointment hereunder shall become
vested with all the rights, powers, duties and responsibilities of its
predecessor hereunder, with like effect as if originally named as Authenticating
Agent.

      Section 9.11  Securities Administrator's Fees and Expenses and Trustee's
Fees and Expenses.

      The Trustee, as compensation for its services hereunder, shall be entitled
to a fee in an amount agreed upon between the Trustee and the Securities
Administrator, payable by the Securities Administrator out of its own funds and
not out of any funds of the Trust Estate. The Securities Administrator shall be
entitled to investment income from amounts on deposit in the Certificate Account
as compensation for its services hereunder. The Trustee and the Securities
Administrator, as the case may be, and any director, officer, employee or agent
of the Trustee or the Securities Administrator, as the case may be, shall be
indemnified and held harmless by the Trust against any claims, damage, loss,
liability or expense (including reasonable attorney's fees) (a) incurred in
connection with or arising from or relating to (i) this Agreement, (ii) the
Certificates, or (iii) the performance of any of the Trustee's or Securities
Administrator's, as the case may be, duties hereunder, other than any claims,
damage, loss, liability or expense incurred by reason of willful misfeasance,
bad faith or gross negligence in the performance of any of the Trustee's or
Securities Administrator's, as the case may be, duties hereunder, (b) resulting
from any tax or information return which was prepared by, or should have been
prepared by, the Servicer and (c) arising out of the transfer of any
ERISA-Restricted Certificate or the Residual Certificate not in compliance with
ERISA. Without limiting the foregoing, except as otherwise agreed upon in
writing by the Depositor and the Trustee or the Securities Administrator, and
except for any such expense, disbursement or advance as may arise from the
Trustee's or the Securities Administrator's gross negligence, bad faith or
willful misconduct, the Trust shall reimburse the Trustee and the Securities
Administrator for all reasonable expenses, disbursements and advances incurred
or made by the Trustee or the Securities Administrator in accordance with any of
the provisions of this Agreement to the extent permitted by Treasury Regulations
Section 1.860G-1(b)(3)(ii) and (iii). Except as otherwise provided herein,
neither the Trustee nor the Securities Administrator shall be entitled to
payment or reimbursement for

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any routine ongoing expenses incurred by the Trustee or the Securities
Administrator, as applicable, in the ordinary course of its duties as Trustee or
Securities Administrator, Certificate Registrar or Paying Agent hereunder or for
any other expenses. The provisions of this Section 9.11 shall survive the
termination of this Agreement or the resignation or removal of the Trustee or
the Securities Administrator, as applicable, hereunder.

      Section 9.12  Appointment of Custodian.

      The Trustee may at any time on or after the Closing Date, with the consent
of the Depositor and the Servicer, appoint one or more Custodians to hold all or
a portion of the Mortgage Files as agent for the Trustee, by entering into a
custodial agreement in a form acceptable to the Depositor and the Servicer.
Subject to this Article IX, the Trustee agrees to comply with the terms of the
Custodial Agreement and to enforce the terms and provisions thereof against the
Custodian for the benefit of the Certificateholders. Each Custodian shall be a
depository institution subject to supervision by federal or state authority,
shall have a combined capital and surplus of at least $10,000,000 and shall be
qualified to do business in the jurisdiction in which it holds any Mortgage
File.

      Each Custodian shall indemnify the Depositor, the Sponsor, the Trustee,
the Securities Administrator and the Servicer and any of their respective
directors, officers, employees or agents and hold them harmless against any and
all claims, losses, damages, penalties, fines, forfeitures, reasonable and
necessary legal fees and related costs, judgments, and any other reasonable
costs, fees and expenses that any of them may sustain in any way related to the
failure of a Custodian to perform any of its obligations under Section 3.21.
Notwithstanding the foregoing, in no event shall a Custodian be liable for any
consequential, indirect or punitive damages pursuant to this Section 9.12.

      Section 9.13  Paying Agents.

      The Securities Administrator may appoint one or more paying agents (each,
a "Paying Agent") that shall be authorized to act on behalf of the Securities
Administrator in making withdrawals from the Certificate Account and
distributions to Certificateholders as provided in Section 3.09 and Section
5.02. Wherever reference is made in this Agreement to the withdrawal from the
Certificate Account by the Securities Administrator, such reference shall be
deemed to include such a withdrawal on behalf of the Securities Administrator by
a Paying Agent. Initially, the Paying Agent shall be Wells Fargo Bank, N.A.
Whenever reference is made in this Agreement to a distribution by the Securities
Administrator or the furnishing of a statement to the Certificateholders by the
Securities Administrator, such reference shall be deemed to include such a
distribution or furnishing on behalf of the Securities Administrator by a Paying
Agent. Each Paying Agent shall provide to the Securities Administrator such
information concerning the Certificate Account as the Securities Administrator
shall request from time to time. Each Paying Agent must be reasonably acceptable
to the Servicer and must be a corporation or banking association organized and
doing business under the laws of the United States of America or of any state,
having (except in the case of the Trustee or the Securities Administrator) a
principal office and place of business in New York, New York, having a combined
capital and surplus of at least $15,000,000, authorized under such laws to do a
trust business and subject to supervision or examination by federal or state
authorities. Any fees and expenses (but not including any

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indemnity payments) of a Paying Agent appointed pursuant to this Agreement shall
be payable by the Securities Administrator out of its own funds and not out of
any funds in the Trust Estate.

      Any corporation into which any Paying Agent may be merged or converted or
with which it may be consolidated, or any corporation resulting from any merger,
conversion or consolidation to which any Paying Agent shall be a party, or any
corporation succeeding to the corporate agency business of any Paying Agent,
shall continue to be the Paying Agent provided that such corporation after the
consummation of such merger, conversion, consolidation or succession meets the
eligibility requirements of this Section 9.13.

      Any Paying Agent may at any time resign by giving written notice of
resignation to the Securities Administrator and to the Servicer; provided that
the Paying Agent has returned to the Certificate Account or otherwise accounted,
to the reasonable satisfaction of the Securities Administrator, for all amounts
it has withdrawn from the Certificate Account. The Securities Administrator may,
upon prior written approval of the Servicer, at any time terminate the agency of
any Paying Agent by giving written notice of termination to such Paying Agent
and to the Servicer. Upon receiving a notice of resignation or upon such a
termination, or in case at any time any Paying Agent shall cease to be eligible
in accordance with the provisions of the first paragraph of this Section 9.13,
the Securities Administrator may appoint, upon prior written approval of the
Servicer, a successor Paying Agent, shall give written notice of such
appointment to the Servicer and shall mail notice of such appointment to all
Certificateholders. Any successor Paying Agent upon acceptance of its
appointment hereunder shall become vested with all rights, powers, duties and
responsibilities of its predecessor hereunder, with like effect as if originally
named as Paying Agent. The Securities Administrator shall remain liable for any
duties and obligations assumed by its appointed Paying Agent.

      Section 9.14  Limitation of Liability.

      The Certificates are executed by the Securities Administrator, not in its
individual capacity but solely as Securities Administrator of the Trust, in the
exercise of the powers and authority conferred and vested in it by this
Agreement. Each of the undertakings and agreements made on the part of the
Securities Administrator in the Certificates is made and intended not as a
personal undertaking or agreement by the Securities Administrator but is made
and intended for the purpose of binding only the Trust.

      Section 9.15  Trustee or Securities Administrator May Enforce Claims
Without Possession of Certificates.

      All rights of action and claims under this Agreement or the Certificates
may be prosecuted and enforced by the Trustee or the Securities Administrator
without the possession of any of the Certificates or the production thereof in
any proceeding relating thereto, and such preceding instituted by the Trustee or
the Securities Administrator shall be brought in its own name or in its capacity
as Trustee or Securities Administrator. Any recovery of judgment shall, after
provision for the payment of the reasonable compensation, expenses, disbursement
and advances of the Trustee, its agents and counsel, be for the ratable benefit
of the Certificateholders in respect of which such judgment has been recovered.

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      Section 9.16  Suits for Enforcement.

      In case an Event of Default or other default by the Servicer or the
Depositor hereunder shall occur and be continuing, the Trustee, in its
discretion, may proceed to protect and enforce its rights and the rights of the
Holders of Certificates under this Agreement by a suit, action or proceeding in
equity or at law or otherwise, whether for the specific performance of any
covenant or agreement contained in this Agreement or in aid of the execution of
any power granted in this Agreement or for the enforcement of any other legal,
equitable or other remedy, as the Trustee, being advised by counsel, shall deem
most effectual to protect and enforce any of the rights of the Trustee and the
Certificateholders.

      Section 9.17  Waiver of Bond Requirement.

      The Trustee shall be relieved of, and each Certificateholder hereby
waives, any requirement of any jurisdiction in which the Trust, or any part
thereof, may be located that the Trustee post a bond or other surety with any
court, agency or body whatsoever.

      Section 9.18  Waiver of Inventory, Accounting and Appraisal Requirement.

      The Trustee shall be relieved of, and each Certificateholder hereby
waives, any requirement of any jurisdiction in which the Trust, or any part
thereof, may be located that the Trustee file any inventory, accounting or
appraisal of the Trust with any court, agency or body at any time or in any
manner whatsoever.

                                    ARTICLE X

                                   TERMINATION

      Section 10.01 Termination upon Purchase or Liquidation of All Mortgage
Loans.

      Subject to Section 10.02, the respective obligations and responsibilities
of the Depositor, the Servicer, the Securities Administrator and the Trustee
created hereby (other than the obligation of the Securities Administrator to
make certain payments to Certificateholders after the Final Distribution Date
and to send certain notices as hereinafter set forth and the obligations of the
Securities Administrator pursuant to Sections 5.04(b) and 5.05(b)) shall
terminate upon the last action required to be taken by the Securities
Administrator on the Final Distribution Date pursuant to this Article X
following the earlier of (a) the purchase by the NIMS Insurer, if there is a
NIMS Insurer, or if there is no NIMS Insurer, the majority Holder of the Class
CE Certificates (or if (i) such Holder fails to purchase on the Optional
Termination Date or (ii) such Holder is the Sponsor, or an affiliate of the
Sponsor, the Servicer of the Mortgage Loans) of all of the Mortgage Loans and
all REO Property remaining in the Trust Estate at a price equal to the sum of
(x) 100% of the unpaid principal balance of each Mortgage Loan (other than any
Mortgage Loan as to which REO Property has been acquired and whose fair market
value is included pursuant to clause (y) below), (y) the fair market value of
such REO Property plus one month's interest at the related Mortgage Interest
Rate on the unpaid principal balance of each Mortgage Loan (including any
Mortgage Loan as to which REO Property has been acquired) and (z) any
Reimbursement Amount owed to the Trust pursuant to Section 2.02 related to a
Mortgage Loan.

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      No party may exercise the purchase option for the Mortgage Loans until all
Reimbursement Amounts for the Mortgage Loans have been paid. The Securities
Administrator shall notify the Originator and the Sponsor, upon notice of a
party's intent to exercise its purchase option of any Reimbursement Amount
outstanding.

      Regardless of the foregoing, in no event shall the Trust created hereby
continue beyond the expiration of 21 years from the death of the last survivor
of the descendants of Joseph P. Kennedy, the late ambassador of the United
States to the Court of St. James, living on the date hereof.

      The right of a party to exercise its purchase option is conditioned upon
(A) the aggregate of the Pool Stated Principal Balance of all of the Loan Groups
being less than 10% of the aggregate unpaid principal balance of the Mortgage
Loans as of the Cut-off Date and (B) the purchase price calculated pursuant to
clause (a) of the third preceding paragraph being less than or equal to the
aggregate fair market value of the Mortgage Loans (other than any Mortgage Loan
as to which REO Property has been acquired) and the REO Properties; provided,
however, that this clause (B) shall not apply to any purchase by the Servicer
if, at the time of the purchase, the Servicer is no longer subject to regulation
by the Office of the Comptroller of the Currency, the FDIC, the Federal Reserve
or the OTS. Fair market value for purposes of this paragraph and the second
preceding paragraph will be determined by the Servicer as of the close of
business on the third Business Day next preceding the date upon which notice of
any such termination is furnished to Certificateholders pursuant to the fourth
paragraph of this Article X. If such right is exercised, the Trustee (or
Custodian on the Trustee's behalf) shall, promptly following payment of the
purchase price, release to the party exercising its purchase option or its
designee the Mortgage Files pertaining to the Mortgage Loans being purchased.

      Notice of any termination, specifying the applicable date upon which the
Certificateholders may surrender their Certificates to the Securities
Administrator for payment of the final distribution and for cancellation, shall
be given promptly by the Securities Administrator by letter to the
Certificateholders mailed not later than the 15th day of the month of such final
distribution specifying (1) the applicable Distribution Date upon which final
payment of the Certificates will be made upon presentation and surrender of such
Certificates at the office or agency of the Securities Administrator therein
designated, (2) the amount of any such final payment and (3) that the Record
Date otherwise applicable to such Distribution Date is not applicable, payments
being made only upon presentation and surrender of the Certificates at the
office or agency of the Securities Administrator therein specified.

      Upon presentation and surrender of the Certificates, the Securities
Administrator shall cause to be distributed to the Certificateholders of each
Class, in the order set forth in Section 5.02 hereof, on the Final Distribution
Date, and in proportion to their respective Percentage Interests, with respect
to Certificateholders of the same Class, all cash on hand in respect of the
related REMIC (other than the amounts retained to meet claims). An amount shall
be distributed in respect of interest and principal, as applicable, to the
Uncertificated Lower-Tier Interests in the same manner as principal and interest
are distributed to the Uncertificated Lower-Tier Interests as provided in
Section 5.02.

                                      170

      If all of the Certificateholders do not surrender their Certificates for
final payment and cancellation on or before the Final Distribution Date, the
Securities Administrator shall on such date cause all funds in the Certificate
Account not distributed in final distribution to Certificateholders to continue
to be held by the Securities Administrator in an Eligible Account for the
benefit of such Certificateholders and the Securities Administrator shall give a
second written notice to the remaining applicable Certificateholders to
surrender their Certificates for cancellation and receive a final distribution
with respect thereto. If within one year after the second notice all the
applicable Certificates shall not have been surrendered for cancellation, the
Securities Administrator may take appropriate steps, or may appoint an agent to
take appropriate steps, to contact the remaining applicable Certificateholders
concerning surrender of their Certificates, and the cost thereof shall be paid
out of the funds on deposit in such Eligible Account.

      Section 10.02 Additional Termination Requirements.

      (a)   If a party exercises its purchase option as provided in Section
10.01, each REMIC shall be terminated in accordance with the following
additional requirements, unless the Securities Administrator and the Trustee
have received an Opinion of Counsel to the effect that the failure of the Trust
to comply with the requirements of this Section 10.02 will not (i) result in the
imposition of taxes on "prohibited transactions" of the Trust as defined in
Section 860F of the Code, or (ii) cause any REMIC created hereunder to fail to
qualify as a REMIC at any time that any related Certificates are outstanding:

            (i)     within ninety (90) days prior to the applicable Final
      Distribution Date set forth in the notice given by the Securities
      Administrator under Section 10.01, the Securities Administrator shall sell
      the related Mortgage Loans and the REO Properties to the Servicer or the
      NIMS Insurer, as the case may be, for cash;

            (ii)    the notice given by the Securities Administrator pursuant to
      Section 10.01 shall provide that such notice constitutes adoption of a
      plan of complete liquidation of each REMIC as of the date of such notice
      (or, if earlier, the date on which such notice was mailed to
      Certificateholders). The Securities Administrator shall also ensure that
      such date is specified in the final tax return of each REMIC; and

            (iii)   the Upper-Tier REMIC will be terminated on the same date
      that the Lower-Tier REMIC is terminated.

      (b)   By its acceptance of the Class R Certificate, the Holder thereof
hereby agrees to take such other action in connection with such plan of complete
liquidation as may be reasonably requested by the Depositor, the NIMS Insurer or
the Securities Administrator and if such action is not requested, is deemed to
adopt such a plan of complete liquidation when the Mortgage Loans are purchased
pursuant to Section 10.01.

                                      171

                                   ARTICLE XI

                            MISCELLANEOUS PROVISIONS

      Section 11.01 Amendment.

      This Agreement may be amended from time to time by the Depositor, the
Servicer, the Securities Administrator and the Trustee with the consent of the
NIMS Insurer, if any, without the consent of any of the Certificateholders, (i)
to cure any ambiguity or mistake, (ii) to correct or supplement any provisions
herein or therein which may be inconsistent with any other provisions of this
Agreement, any amendment to this Agreement or the related Prospectus Supplement,
(iii) to modify, eliminate or add to any of its provisions to such extent as
shall be necessary to maintain the qualification of each REMIC created hereunder
as a REMIC at all times that any related Certificates are outstanding or to
avoid or minimize the risk of the imposition of any tax on any REMIC pursuant to
the Code that would be a claim against the Trust Estate, provided that (a) the
Trustee and the Securities Administrator have received an Opinion of Counsel to
the effect that such action is necessary or desirable to maintain such
qualification or to avoid or minimize the risk of the imposition of any such tax
and (b) such action shall not, as evidenced by such Opinion of Counsel,
adversely affect in any material respect the interests of any Certificateholder,
(iv) to change the timing and/or nature of deposits into the Certificate Account
provided that (a) such change shall not, as evidenced by an Opinion of Counsel,
adversely affect in any material respect the interests of any Certificateholder
and (b) such change shall not adversely affect the then-current rating of the
Offered Certificates as evidenced by a letter from each Rating Agency rating
such Certificates to such effect, (v) to provide for the rights of the NIMS
Insurer, (vi) to comply with Regulation AB and (vii) to make any other
provisions with respect to matters or questions arising under this Agreement
which shall not be materially inconsistent with the provisions of this
Agreement, provided that such action shall not, as evidenced by an Opinion of
Counsel, adversely affect in any material respect the interests of any
Certificateholder, provided that the amendment shall not be deemed to adversely
affect in any material respect the interests of the Certificateholders and no
Opinion of Counsel to that effect shall be required if the Person requesting the
amendment obtains a letter from each Rating Agency stating that the amendment
would not result in the downgrading or withdrawal of the respective ratings then
assigned to the Certificates. Notwithstanding any contrary provision of this
Agreement, the Trustee shall not consent to any amendment to this Agreement
pursuant to clause (i) through (vii) above unless it shall have first received
an Opinion of Counsel to the effect that such amendment shall not cause the
imposition of any tax on any REMIC created hereunder or the Certificateholders
or cause any REMIC created hereunder to fail to qualify as a REMIC at any time
that any Certificates are outstanding.

      This Agreement may also be amended from time to time by the Depositor, the
Servicer, the Securities Administrator and the Trustee, with the consent of the
NIMS Insurer (if the NIMS Insurer is affected by such amendment) and the Holders
of Certificates of each Class of Certificates which is affected by such
amendment, evidencing, as to each such Class of Certificates, Percentage
Interests aggregating not less than 66-2/3%, for the purpose of adding any
provisions to or changing in any manner or eliminating any of the provisions of
this Agreement or of modifying in any manner the rights of the Holders of such
Certificates; provided, however, that no such amendment shall (A) reduce in any
manner the amount of, or

                                      172

delay the timing of, collections of payments on Mortgage Loans or distributions
which are required to be made on any Certificate without the consent of the
Holder of such Certificate or (B) reduce the aforesaid percentage required to
consent to any such amendment, without the consent of the Holders of all
Certificates then Outstanding.

      Prior to the solicitation of consent of Certificateholders in connection
with any such amendment, the party seeking such amendment shall furnish the
Trustee, the NIMS Insurer and the Securities Administrator with an Opinion of
Counsel stating whether such amendment would adversely affect the qualification
of any REMIC created hereunder as a REMIC and notice of the conclusion expressed
in such Opinion of Counsel shall be included with any such solicitation. An
amendment made with the consent of all Certificateholders and executed in
accordance with this Section 11.01 shall be permitted or authorized by this
Agreement notwithstanding that such Opinion of Counsel may conclude that such
amendment would adversely affect the qualification of any REMIC created
hereunder as a REMIC.

      Promptly after the execution of any such amendment or consent the
Securities Administrator shall furnish written notification of the substance of
or a copy of such amendment to each Certificateholder, the NIMS Insurer and to
each Rating Agency.

      It shall not be necessary for the consent of Certificateholders under this
Section 11.01 to approve the particular form of any proposed amendment, but it
shall be sufficient if such consent shall approve the substance thereof. The
manner of obtaining such consents and of evidencing the authorization of the
execution thereof by Certificateholders shall be subject to such reasonable
requirements as the Securities Administrator may prescribe.

      Prior to the execution of any amendment to this Agreement, the Trustee and
the Securities Administrator shall receive and be entitled to conclusively rely
on any Opinion of Counsel (at the expense of the Person seeking such amendment)
stating that such amendment is authorized and permitted by this Agreement. The
Trustee and the Securities Administrator may, but shall not be obligated to,
enter into any such amendment which affects the Trustee's or Securities
Administrator's own rights, duties or immunities under this Agreement.

      Notwithstanding the foregoing, any amendment to this Agreement shall
require the prior written consent of the Swap Provider if such amendment
materially and adversely affects the rights or interests of the Swap Provider.

      Section 11.02 Recordation of Agreement; Counterparts.

      This Agreement is subject to recordation in all appropriate public offices
for real property records in all the counties or other comparable jurisdictions
in which any or all of the properties subject to the Mortgages are situated, and
in any other appropriate public recording office or elsewhere, such recordation
to be effected by the Securities Administrator at its expense at the direction
of Holders of Certificates evidencing not less than 50% of all Voting Rights,
but only upon delivery to the Securities Administrator at the expense of the
requesting Certificateholders of an Opinion of Counsel to the effect that such
recordation materially and beneficially affects the interests of
Certificateholders.

                                      173

      For the purpose of facilitating the recordation of this Agreement as
herein provided and for other purposes, this Agreement may be executed
simultaneously in any number of counterparts, each of which counterparts shall
be deemed to be an original, and such counterparts shall constitute but one and
the same instrument.

      Section 11.03 Limitation on Rights of Certificateholders.

      The death or incapacity of any Certificateholder shall not operate to
terminate this Agreement or the Trust, nor entitle such Certificateholder's
legal representatives or heirs to claim an accounting or to take any action or
commence any proceeding in any court for a partition or winding up of the Trust,
nor otherwise affect the rights, obligations and liabilities of the parties
hereto or any of them.

      No Certificateholder shall have any right to vote (except as provided
herein) or in any manner otherwise control the operation and management of the
Trust, or the obligations of the parties hereto, nor shall anything herein set
forth, or contained in the terms of the Certificates, be construed so as to
constitute the Certificateholders from time to time as partners or members of an
association; nor shall any Certificateholder be under any liability to any third
person by reason of any action taken by the parties to this Agreement pursuant
to any provision hereof.

      No Certificateholder shall have any right by virtue or by availing itself
of any provisions of this Agreement to institute any suit, action or proceeding
in equity or at law upon or under or with respect to this Agreement, unless such
Holder previously shall have given to the Securities Administrator a written
notice of default and of the continuance thereof, as provided herein, and unless
also the Holders of Certificates evidencing Percentage Interests aggregating not
less than 25% of each Class of Certificates affected thereby shall have made
written request upon the Securities Administrator to institute such action, suit
or proceeding in its own name as Securities Administrator hereunder and shall
have offered to the Securities Administrator such reasonable indemnity as it may
require against the costs, expenses and liabilities to be incurred therein or
thereby, and the Securities Administrator, for 60 days after its receipt of such
notice, request and offer of indemnity, shall have neglected or refused to
institute any such action, suit or proceeding; it being understood and intended,
and being expressly covenanted by each Certificateholder with every other
Certificateholder and the Securities Administrator, that no one or more Holders
of Certificates shall have any right in any manner whatever by virtue or by
availing itself or themselves of any provisions of this Agreement to affect,
disturb or prejudice the rights of the Holders of any other of the Certificates,
or to obtain or seek to obtain priority over or preference to any other such
Holder, or to enforce any right under this Agreement, except in the manner
herein provided and for the equal, ratable and common benefit of all
Certificateholders. For the protection and enforcement of the provisions of this
Section 11.03, each and every Certificateholder and the Securities Administrator
shall be entitled to such relief as can be given either at law or in equity.

      Section 11.04 Governing Law.

THIS AGREEMENT SHALL BE CONSTRUED IN ACCORDANCE WITH THE LAWS OF THE STATE OF
NEW YORK, WITHOUT APPLICATION OF THE CONFLICTS OF LAWS PROVISIONS THEREOF
(INCLUDING SECTION 5-1401 OF THE GENERAL

                                      174

OBLIGATIONS LAW), AND THE OBLIGATIONS, RIGHTS AND REMEDIES OF THE PARTIES
HEREUNDER SHALL BE DETERMINED IN ACCORDANCE WITH SUCH LAWS.

      With respect to any claim arising out of this Agreement, each party
irrevocably submits to the exclusive jurisdiction of the courts of the State of
New York and the United States District Court located in the Borough of
Manhattan in The City of New York, and each party irrevocably waives any
objection which it may have at any time to the laying of venue of any suit,
action or proceeding arising out of or relating hereto brought in any such
courts, irrevocably waives any claim that any such suit, action or proceeding
brought in any such court has been brought in any inconvenient forum and further
irrevocably waives the right to object, with respect to such claim, suit, action
or proceeding brought in any such court, that such court does not have
jurisdiction over such party, provided that service of process has been made by
any lawful means.

      Section 11.05 Notices.

      All demands, notices, instructions, directions, requests and
communications required or permitted to be delivered hereunder shall be in
writing and shall be deemed to have been duly given if personally delivered at
or mailed by certified mail, return receipt requested, (provided, however, that
notices to the Securities Administrator may be delivered by facsimile and shall
be deemed effective upon receipt) to (a) in the case of the Depositor, Banc of
America Funding Corporation, 214 North Tryon Street, Charlotte, North Carolina
28255, Attention: General Counsel and Chief Financial Officer, (b) in the case
of the Servicer, Wells Fargo Bank, N.A., 1 Home Campus, Des Moines, Iowa
50328-0001, Attention: General Counsel MAC X2401-06T, (c) in the case of the
Securities Administrator, Wells Fargo Bank, N.A., P.O. Box 98, Columbia,
Maryland 21046, Attention: BAFC, Series 2006-G, and for overnight delivery
purposes, Wells Fargo Bank, N.A., 9062 Old Annapolis Road, Columbia, Maryland
21045-1951, Attention: BAFC, Series 2006-G, with a copy to Wells Fargo Bank,
N.A., Sixth and Marquette Avenue, Minneapolis, Minnesota, 55479, Attention:
BAFC, Series 2006-G, (d) in the case of the Trustee, U.S. Bank National
Association, 209 South LaSalle Street, Suite 300, Chicago, Illinois 60604,
Attention: Corporate Trust Services, BAFC, Series 2006-G, Attention: Structured
Finance Services, BAFC 2006-G, (e) in the case of Standard & Poor's, a division
of The McGraw-Hill Companies, Inc., 55 Water Street, New York, New York 10041,
Attn: Residential Mortgage Surveillance Manager; and (f) in the case of Moody's,
Moody's Investors Service, Inc., 99 Church Street, New York, New York 10004,
Attn: Residential Mortgage Surveillance Manager or, as to each party, at such
other address as shall be designated by such party in a written notice to each
other party. Any notice required or permitted to be mailed to a
Certificateholder shall be given by first class mail, postage prepaid, at the
address of such Holder as shown in the Certificate Register. Any notice to a
Certificateholder so mailed within the time prescribed in this Agreement shall
be conclusively presumed to have been duly given, whether or not the
Certificateholder receives such notice.

      Section 11.06 Severability of Provisions.

      If any one or more of the covenants, agreements, provisions or terms of
this Agreement shall be for any reason whatsoever held invalid, then such
covenants, agreements, provisions or terms shall be deemed severable from the
remaining covenants, agreements, provisions or terms

                                      175

of this Agreement and shall in no way affect the validity or enforceability of
the other provisions of this Agreement or of the Certificates or the rights of
the Holders thereof.

      Section 11.07 Certificates Nonassessable and Fully Paid.

      It is the intention of the Securities Administrator that
Certificateholders shall not be personally liable for obligations of the Trust
Estate, that the beneficial ownership interests represented by the Certificates
shall be nonassessable for any losses or expenses of the Trust Estate or for any
reason whatsoever, and that Certificates upon execution, authentication and
delivery thereof by the Securities Administrator pursuant to Section 6.01 are
and shall be deemed fully paid.

      Section 11.08 Access to List of Certificateholders.

      The Certificate Registrar will furnish or cause to be furnished to the
Trustee and the Securities Administrator, within fifteen (15) days after the
receipt of a request by the Trustee and/or the Securities Administrator in
writing, a list, in such form as the Trustee and/or the Securities Administrator
may reasonably require, of the names and addresses of the Certificateholders as
of the most recent Record Date for payment of distributions to
Certificateholders.

      If three or more Certificateholders apply in writing to the Securities
Administrator, and such application states that the applicants desire to
communicate with other Certificateholders with respect to their rights under
this Agreement or under the Certificates and is accompanied by a copy of the
communication which such applicants propose to transmit, then the Securities
Administrator shall, within five (5) Business Days after the receipt of such
application, afford such applicants access during normal business hours to the
most recent list of Certificateholders held by the Securities Administrator. If
such a list is as of a date more than 90 days prior to the date of receipt of
such applicants' request, the Securities Administrator shall promptly request
from the Certificate Registrar a current list as provided above, and shall
afford such applicants access to such list promptly upon receipt.

      Every Certificateholder, by receiving and holding such list, agrees with
the Certificate Registrar and the Securities Administrator that neither the
Certificate Registrar nor the Securities Administrator shall be held accountable
by reason of the disclosure of any such information as to the names and
addresses of the Certificateholders hereunder, regardless of the source from
which such information was derived.

      Section 11.09 Recharacterization.

      The parties to this Agreement intend the conveyance by the Depositor to
the Trustee of all of its right, title and interest in and to the Mortgage Loans
and the related Mortgage Files, including all interest and principal received on
or with respect to the Mortgage Loans (other than payments of principal and
interest due and payable on the Mortgage Loans on or before the Cut-off Date)
and the Depositor's rights under the Mortgage Loan Purchase Agreement, pursuant
to this Agreement to constitute a purchase and sale and not a loan.
Notwithstanding the foregoing, to the extent that such conveyance is held not to
constitute a sale under applicable law, it is intended that this Agreement shall
constitute a security agreement under applicable law and that

                                      176

the Depositor shall be deemed to have granted to the Trustee a first priority
security interest in all of the Depositor's right, title and interest in and to
the Mortgage Loans.

      Section 11.10 Regulation AB Compliance; Intent of the Parties;
Reasonableness.

      The parties hereto acknowledge that interpretations of the requirements of
Regulation AB may change over time, whether due to interpretive guidance
provided by the Commission or its staff, consensus among participants in the
asset-backed securities markets, advice of counsel, or otherwise, and agree to
use commercially reasonable efforts to comply with requests made by the
Depositor in good faith for delivery of information under these provisions on
the basis of evolving interpretations of Regulation AB. In connection with the
Trust, the Servicer, the Trustee, the Securities Administrator and the Custodian
shall cooperate fully with the Depositor to deliver to the Depositor (including
its assignees or designees), any and all statements, reports, certifications,
records and any other information available to such party and reasonably
necessary in the good faith determination of the Depositor to permit the
Depositor to comply with the provisions of Regulation AB, together with such
disclosures relating to the Servicer, the Trustee, the Securities Administrator
and the Custodian, as applicable, reasonably believed by the Depositor to be
necessary in order to effect such compliance.

      Section 11.11 Third Party Beneficiary.

      Nothing in this Agreement or in the Certificates, expressed or implied,
shall give to any Person, other than the Certificateholders, the parties hereto
and the NIMS Insurer and their successors hereunder, any benefit or any legal or
equitable right, remedy or claim under this Agreement.

      The NIMS Insurer shall be deemed a third-party beneficiary of this
Agreement to the same extent as if it were a party hereto, and shall have the
right to enforce the provisions of this Agreement directly against the parties
to this Agreement.

                                      177

      IN WITNESS WHEREOF, the Depositor, the Servicer, the Securities
Administrator and the Trustee have caused this Agreement to be duly executed by
their respective officers thereunto duly authorized to be hereunto affixed, all
as of the day and year first above written.

                                       BANC OF AMERICA FUNDING
                                       CORPORATION,
                                       as Depositor

                                       By:/s/Scott Evans
                                          --------------------------------
                                       Name:  Scott Evans
                                       Title: Senior Vice President

                                       WELLS FARGO BANK, N.A.,
                                       as Servicer

                                       By:/s/Bradley A. Davis
                                          --------------------------------
                                       Name:  Bradley A. Davis
                                       Title: Vice President

                                       WELLS FARGO BANK, N.A.,
                                       as Securities Administrator

                                       By:/s/Peter A. Gobell
                                          --------------------------------
                                       Name:  Peter A.Gobell
                                       Title: Vice President

                                       U.S. BANK NATIONAL ASSOCIATION,
                                       as Trustee

                                       By:/s/Melissa A. Rosal
                                          --------------------------------
                                       Name:  Melissa A. Rosal
                                       Title: Vice President

STATE OF NORTH CAROLINA     )
                            )     ss.:
COUNTY OF MECKLENBURG       )
                            )

      On the 28th day of July, 2006, before me, a notary public in and for the
State of North Carolina, personally appeared Scott Evans, known to me who, being
by me duly sworn, did depose and say that he is a Senior Vice President of Banc
of America Funding Corporation, a Delaware corporation, one of the parties that
executed the foregoing instrument; and that he signed his name thereto by order
of the Board of Directors of such corporation.

                                      E. Blair Autrey
                                      ---------------
                                      Notary Public

[Notarial Seal]

My commission expires 10/04/2010.

STATE OF MARYLAND                )
                                 )     ss.:
COUNTY OF FREDERICK              )
                                 )

      On the 31st day of July, 2006, before me, a notary public in and for the
State of Maryland, personally appeared Bradley Davis, known to me who, being by
me duly sworn, did depose and say that s/he is a Vice President of Wells Fargo
Bank, N.A., a national banking association, one of the parties that executed the
foregoing instrument; and that s/he signed her/his name thereto by order of the
Board of Directors of such association.

                                      Samanthia Donini
                                      ----------------
                                      Notary Public

[Notarial Seal]

My commission expires 2/1/2010.

STATE OF MARYLAND             )
                              )    ss.:
COUNTY OF BALTIMORE           )
                              )

      On the 31st day of July, 2006, before me, a notary public in and for the
State of Maryland, personally appeared Peter A. Gobell, known to me who, being
by me duly sworn, did depose and say that he is a Vice President of Wells Fargo
Bank, N.A., a national banking association, one of the parties that executed the
foregoing instrument; and that he signed his name thereto by order of the Board
of Directors of such association.

                                      Darron C. Woodus
                                      ----------------
                                      Notary Public

[Notarial Seal]

My commission expires 12/6/08.

STATE OF ILLINOIS              )
                               )    ss.:
COUNTY OF COOK                 )
                               )

      On the 31st day of July, 2006, before me, a notary public in and for the
State of Illinois, personally appeared Melissa A. Rosal, known to me who, being
by me duly sworn, did depose and say that s/he is a Vice President of U.S. Bank
National Association, a national banking association, one of the parties that
executed the foregoing instrument; and that s/he signed her/his name thereto by
order of the Board of Directors of such association.

                                      Patricia M. Shield
                                      ------------------
                                      Notary Public

[Notarial Seal]

      My commission expires 10/20/07.

                                  EXHIBIT 1-A-1

                    [FORM OF FACE OF CLASS 1-A-1 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 1-A-1

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 1-A-1 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     1-A-1-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     1-A-1-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 1-A-1

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[___________]

Initial Class Certificate
Balance of this Class:                  $396,306,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AA 8

ISIN No.:                               US05950MAA80

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-A-1-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator, the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     1-A-1-4

                                  EXHIBIT 2-A-1

                    [FORM OF FACE OF CLASS 2-A-1 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-1

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 2-A-1 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     2-A-1-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     2-A-1-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-1

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[__________]

Initial Class Certificate
Balance of this Class:                  $600,000,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AB 6

ISIN No.:                               US05950MAB63

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     2-A-1-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     2-A-1-4

                                  EXHIBIT 2-A-2

                    [FORM OF FACE OF CLASS 2-A-2 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-2

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 2-A-2 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     2-A-2-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     2-A-2-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-2

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $404,295,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AC 4

ISIN No.:                               US05950MAC47

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     2-A-2-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     2-A-2-4

                                  EXHIBIT 2-A-3

                    [FORM OF FACE OF CLASS 2-A-3 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-3

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 2-A-3 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     2-A-3-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     2-A-3-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-3

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $230,999,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AD 2

ISIN No.:                               US05950MAD20

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     2-A-3-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     2-A-3-4

                                  EXHIBIT 2-A-4

                    [FORM OF FACE OF CLASS 2-A-4 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-4

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 2-A-4 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     2-A-4-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     2-A-4-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-4

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $184,814,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AE 0

ISIN No.:                               US05950MAE03

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     2-A-4-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     2-A-4-4

                                  EXHIBIT 2-A-5

                    [FORM OF FACE OF CLASS 2-A-5 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-5

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 2-A-5 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     2-A-5-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     2-A-5-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 2-A-5

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $157,790,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AF 7

ISIN No.:                               US05950MAF77

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     2-A-5-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     2-A-5-4

                                  EXHIBIT 3-A-1

                    [FORM OF FACE OF CLASS 3-A-1 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 3-A-1

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 3-A-1 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     3-A-1-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     3-A-1-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 3-A-1

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[__________]

Initial Class Certificate
Balance of this Class:                  $274,365,000

Pass-Through Rate:                      Fixed/Floating

CUSIP No.:                              05950M AG 5

ISIN No.:                               US05950MAG50

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     3-A-1-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     3-A-1-4

                                  EXHIBIT 3-A-2

                    [FORM OF FACE OF CLASS 3-A-2 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 3-A-2

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 3-A-2 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

                                     3-A-2-1

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE
AMOUNT SET FORTH BELOW.

                                     3-A-2-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 3-A-2

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[__________]

Initial Class Certificate
Balance of this Class:                  $88,289,000

Pass-Through Rate:                      Fixed/Floating

CUSIP No.:                              05950M AH 3

ISIN No.:                               US05950MAH34

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     3-A-2-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     3-A-2-4

                                  EXHIBIT 3-A-3

                    [FORM OF FACE OF CLASS 3-A-3 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 3-A-3

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS 3-A-3 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     3-A-3-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

                                     3-A-3-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                   Class 3-A-3

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[__________]

Initial Class Certificate
Balance of this Class:                  $67,150,000

Pass-Through Rate:                      Fixed/Floating

CUSIP No.:                              05950M AJ 9

ISIN No.:                               US05950MAJ99

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     3-A-3-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                    *   *   *

                                     3-A-3-4

                                  EXHIBIT B-M-1

                     [FORM OF FACE OF CLASS M-1 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-1

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS M-1 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     1-M-1-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES
AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT.

IF THE RATING OF THIS CERTIFICATE IS NO LONGER AT LEAST BBB- OR Baa3, TRANSFER
OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE
SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER STATING THAT (A) IT
IS NOT, AND IS NOT ACTING ON BEHALF OF, AN EMPLOYEE BENEFIT PLAN OR ARRANGEMENT,
INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT
INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), THE CODE OR ANY FEDERAL,
STATE OR LOCAL LAW ("SIMILAR LAW") WHICH IS SIMILAR TO ERISA OR THE CODE
(COLLECTIVELY, A "PLAN") OR USING THE ASSETS OF A PLAN TO EFFECT SUCH PURCHASE
OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE
THIS CERTIFICATE IS AN "INSURANCE COMPANY GENERAL ACCOUNT" (AS SUCH TERM IS
DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 ("PTE
95-60"), 60 FED. REG. 35925 (JULY 12, 1995)), THAT THERE IS NO PLAN WITH RESPECT
TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT'S RESERVES AND LIABILITIES FOR THE
CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY
THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE
95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL
RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED
UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT
HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES,
OR (II) AN OPINION OF COUNSEL IN FORM AND SUBSTANCE SATISFACTORY TO THE
SECURITIES ADMINISTRATOR TO THE EFFECT THAT THE PURCHASE OR HOLDING OF SUCH
OFFERED CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT
IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975
OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE TRUSTEE, THE DEPOSITOR, THE
SECURITIES ADMINISTRATOR OR THE SERVICER TO ANY OBLIGATION IN ADDITION TO THOSE
UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT, WHICH OPINION OF COUNSEL
SHALL NOT BE AN EXPENSE OF THE SECURITIES ADMINISTRATOR OR THE SERVICER. EACH
PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN WILL BE DEEMED TO
HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO
IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON HAS PROVIDED SUCH REPRESENTATION
LETTER OR OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE
SECURITIES ADMINISTRATOR. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY
ATTEMPTED OR PURPORTED TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL
BE NULL AND VOID AND WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.

                                     1-M-1-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-1

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $32,880,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AK 6

ISIN No.:                               US05950MAK62

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-M-1-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                      *   *   *

                                     1-M-1-4

                                  EXHIBIT B-M-2

                     [FORM OF FACE OF CLASS B-2 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-2

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS M-2 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     1-M-2-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES
AND THE CLASS M-1 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING
AGREEMENT.

IF THE RATING OF THIS CERTIFICATE IS NO LONGER AT LEAST BBB- OR Baa3, TRANSFER
OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE
SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER STATING THAT (A) IT
IS NOT, AND IS NOT ACTING ON BEHALF OF, AN EMPLOYEE BENEFIT PLAN OR ARRANGEMENT,
INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT
INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), THE CODE OR ANY FEDERAL,
STATE OR LOCAL LAW ("SIMILAR LAW") WHICH IS SIMILAR TO ERISA OR THE CODE
(COLLECTIVELY, A "PLAN") OR USING THE ASSETS OF A PLAN TO EFFECT SUCH PURCHASE
OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE
THIS CERTIFICATE IS AN "INSURANCE COMPANY GENERAL ACCOUNT" (AS SUCH TERM IS
DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 ("PTE
95-60"), 60 FED. REG. 35925 (JULY 12, 1995)), THAT THERE IS NO PLAN WITH RESPECT
TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT'S RESERVES AND LIABILITIES FOR THE
CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY
THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE
95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL
RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED
UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT
HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES,
OR (II) AN OPINION OF COUNSEL IN FORM AND SUBSTANCE SATISFACTORY TO THE
SECURITIES ADMINISTRATOR TO THE EFFECT THAT THE PURCHASE OR HOLDING OF SUCH
OFFERED CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT
IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975
OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE TRUSTEE, THE DEPOSITOR, THE
SECURITIES ADMINISTRATOR OR THE SERVICER TO ANY OBLIGATION IN ADDITION TO THOSE
UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT, WHICH OPINION OF COUNSEL
SHALL NOT BE AN EXPENSE OF THE SECURITIES ADMINISTRATOR OR THE SERVICER. EACH
PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN WILL BE DEEMED TO
HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO
IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON HAS PROVIDED SUCH REPRESENTATION
LETTER OR OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE
SECURITIES ADMINISTRATOR. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY
ATTEMPTED OR PURPORTED TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL
BE NULL AND VOID AND WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.

                                     1-M-2-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-2

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $16,440,000

Pass-Through Rate:                      Variable

CUSIP No.:                              05950M AL 4

ISIN No.:                               US05950MAL46

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-M-2-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                      *   *   *

                                     1-M-2-4

                                  EXHIBIT B-M-3

                     [FORM OF FACE OF CLASS M-3 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-3

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS M-3 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     1-M-3-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES,
THE CLASS M-1 CERTIFICATES AND THE CLASS M-2 CERTIFICATES AS DESCRIBED IN THE
POOLING AND SERVICING AGREEMENT.

IF THE RATING OF THIS CERTIFICATE IS NO LONGER AT LEAST BBB- OR Baa3, TRANSFER
OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE
SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER STATING THAT (A) IT
IS NOT, AND IS NOT ACTING ON BEHALF OF, AN EMPLOYEE BENEFIT PLAN OR ARRANGEMENT,
INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT
INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), THE CODE OR ANY FEDERAL,
STATE OR LOCAL LAW ("SIMILAR LAW") WHICH IS SIMILAR TO ERISA OR THE CODE
(COLLECTIVELY, A "PLAN") OR USING THE ASSETS OF A PLAN TO EFFECT SUCH PURCHASE
OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE
THIS CERTIFICATE IS AN "INSURANCE COMPANY GENERAL ACCOUNT" (AS SUCH TERM IS
DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 ("PTE
95-60"), 60 FED. REG. 35925 (JULY 12, 1995)), THAT THERE IS NO PLAN WITH RESPECT
TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT'S RESERVES AND LIABILITIES FOR THE
CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY
THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE
95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL
RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED
UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT
HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES,
OR (II) AN OPINION OF COUNSEL IN FORM AND SUBSTANCE SATISFACTORY TO THE
SECURITIES ADMINISTRATOR TO THE EFFECT THAT THE PURCHASE OR HOLDING OF SUCH
OFFERED CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT
IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975
OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE TRUSTEE, THE DEPOSITOR, THE
SECURITIES ADMINISTRATOR OR THE SERVICER TO ANY OBLIGATION IN ADDITION TO THOSE
UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT, WHICH OPINION OF COUNSEL
SHALL NOT BE AN EXPENSE OF THE SECURITIES ADMINISTRATOR OR THE SERVICER. EACH
PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN WILL BE DEEMED TO
HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO
IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON HAS PROVIDED SUCH REPRESENTATION
LETTER OR OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE
SECURITIES ADMINISTRATOR. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY
ATTEMPTED OR PURPORTED TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL
BE NULL AND VOID AND WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.

                                     1-M-3-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-3

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $12,646,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AM 2

ISIN No.:                               US05950MAM29

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-M-3-3

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      For each Distribution Date, interest will accrue on these Certificates at
a per annum rate specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                      *   *   *

                                     1-M-3-4

                                  EXHIBIT B-M-4

                     [FORM OF FACE OF CLASS M-4 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-4

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS M-4 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     1-M-4-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES,
THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES AND THE CLASS M-3
CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT.

IF THE RATING OF THIS CERTIFICATE IS NO LONGER AT LEAST BBB- OR Baa3, TRANSFER
OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE
SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER STATING THAT (A) IT
IS NOT, AND IS NOT ACTING ON BEHALF OF, AN EMPLOYEE BENEFIT PLAN OR ARRANGEMENT,
INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT
INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), THE CODE OR ANY FEDERAL,
STATE OR LOCAL LAW ("SIMILAR LAW") WHICH IS SIMILAR TO ERISA OR THE CODE
(COLLECTIVELY, A "PLAN") OR USING THE ASSETS OF A PLAN TO EFFECT SUCH PURCHASE
OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE
THIS CERTIFICATE IS AN "INSURANCE COMPANY GENERAL ACCOUNT" (AS SUCH TERM IS
DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 ("PTE
95-60"), 60 FED. REG. 35925 (JULY 12, 1995)), THAT THERE IS NO PLAN WITH RESPECT
TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT'S RESERVES AND LIABILITIES FOR THE
CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY
THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE
95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL
RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED
UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT
HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES,
OR (II) AN OPINION OF COUNSEL IN FORM AND SUBSTANCE SATISFACTORY TO THE
SECURITIES ADMINISTRATOR TO THE EFFECT THAT THE PURCHASE OR HOLDING OF SUCH
OFFERED CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT
IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975
OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE TRUSTEE, THE DEPOSITOR, THE
SECURITIES ADMINISTRATOR OR THE SERVICER TO ANY OBLIGATION IN ADDITION TO THOSE
UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT, WHICH OPINION OF COUNSEL
SHALL NOT BE AN EXPENSE OF THE SECURITIES ADMINISTRATOR OR THE SERVICER. EACH
PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN WILL BE DEEMED TO
HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO
IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON HAS PROVIDED SUCH REPRESENTATION
LETTER OR OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE
SECURITIES ADMINISTRATOR. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY
ATTEMPTED OR PURPORTED

                                     1-M-4-2

TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL BE NULL AND VOID AND
WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.

                                     1-M-4-3

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-4

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       [__________]

Initial Class Certificate
Balance of this Class:                  $12,646,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AN 0

ISIN No.:                               US05950MAN02

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-M-4-4

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      Interest will accrue on these Certificates at a per annum rate specified
in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                      *   *   *

                                     1-M-4-5

                                  EXHIBIT B-M-5

                     [FORM OF FACE OF CLASS M-5 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-5

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS M-5 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     1-M-5-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES,
THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3
CERTIFICATES AND THE CLASS M-4 CERTIFICATES AS DESCRIBED IN THE POOLING AND
SERVICING AGREEMENT.

IF THE RATING OF THIS CERTIFICATE IS NO LONGER AT LEAST BBB- OR Baa3, TRANSFER
OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE
SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER STATING THAT (A) IT
IS NOT, AND IS NOT ACTING ON BEHALF OF, AN EMPLOYEE BENEFIT PLAN OR ARRANGEMENT,
INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT
INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), THE CODE OR ANY FEDERAL,
STATE OR LOCAL LAW ("SIMILAR LAW") WHICH IS SIMILAR TO ERISA OR THE CODE
(COLLECTIVELY, A "PLAN") OR USING THE ASSETS OF A PLAN TO EFFECT SUCH PURCHASE
OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE
THIS CERTIFICATE IS AN "INSURANCE COMPANY GENERAL ACCOUNT" (AS SUCH TERM IS
DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 ("PTE
95-60"), 60 FED. REG. 35925 (JULY 12, 1995)), THAT THERE IS NO PLAN WITH RESPECT
TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT'S RESERVES AND LIABILITIES FOR THE
CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY
THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE
95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL
RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED
UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT
HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES,
OR (II) AN OPINION OF COUNSEL IN FORM AND SUBSTANCE SATISFACTORY TO THE
SECURITIES ADMINISTRATOR TO THE EFFECT THAT THE PURCHASE OR HOLDING OF SUCH
OFFERED CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT
IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975
OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE TRUSTEE, THE DEPOSITOR, THE
SECURITIES ADMINISTRATOR OR THE SERVICER TO ANY OBLIGATION IN ADDITION TO THOSE
UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT, WHICH OPINION OF COUNSEL
SHALL NOT BE AN EXPENSE OF THE SECURITIES ADMINISTRATOR OR THE SERVICER. EACH
PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN WILL BE DEEMED TO
HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO
IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON HAS PROVIDED SUCH REPRESENTATION
LETTER OR OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE
SECURITIES ADMINISTRATOR. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY
ATTEMPTED OR PURPORTED

                                     1-M-5-2

TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL BE NULL AND VOID AND
WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.

                                     1-M-5-3

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-5

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[__________]

Initial Class Certificate
Balance of this Class:                  $16,440,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AP 5

ISIN No.:                               US05950MAP59

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-M-5-4

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      Interest will accrue on these Certificates at a per annum rate specified
in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                      *   *   *

                                     1-M-5-5

                                  EXHIBIT B-M-6

                     [FORM OF FACE OF CLASS M-6 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-6

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE").

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS M-6 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     1-M-6-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES,
THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3
CERTIFICATES, THE CLASS M-4 CERTIFICATES AND THE CLASS M-5 CERTIFICATES AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT.

IF THE RATING OF THIS CERTIFICATE IS NO LONGER AT LEAST BBB- OR Baa3, TRANSFER
OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE
SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER STATING THAT (A) IT
IS NOT, AND IS NOT ACTING ON BEHALF OF, AN EMPLOYEE BENEFIT PLAN OR ARRANGEMENT,
INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT
INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), THE CODE OR ANY FEDERAL,
STATE OR LOCAL LAW ("SIMILAR LAW") WHICH IS SIMILAR TO ERISA OR THE CODE
(COLLECTIVELY, A "PLAN") OR USING THE ASSETS OF A PLAN TO EFFECT SUCH PURCHASE
OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE
THIS CERTIFICATE IS AN "INSURANCE COMPANY GENERAL ACCOUNT" (AS SUCH TERM IS
DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 ("PTE
95-60"), 60 FED. REG. 35925 (JULY 12, 1995)), THAT THERE IS NO PLAN WITH RESPECT
TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT'S RESERVES AND LIABILITIES FOR THE
CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY
THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE
95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL
RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED
UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT
HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES,
OR (II) AN OPINION OF COUNSEL IN FORM AND SUBSTANCE SATISFACTORY TO THE
SECURITIES ADMINISTRATOR TO THE EFFECT THAT THE PURCHASE OR HOLDING OF SUCH
OFFERED CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT
IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975
OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE TRUSTEE, THE DEPOSITOR, THE
SECURITIES ADMINISTRATOR OR THE SERVICER TO ANY OBLIGATION IN ADDITION TO THOSE
UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT, WHICH OPINION OF COUNSEL
SHALL NOT BE AN EXPENSE OF THE SECURITIES ADMINISTRATOR OR THE SERVICER. EACH
PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN WILL BE DEEMED TO
HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO
IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON HAS PROVIDED SUCH REPRESENTATION
LETTER OR OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE
SECURITIES ADMINISTRATOR. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY
ATTEMPTED OR PURPORTED

                                     1-M-6-2

TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL BE NULL AND VOID AND
WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.

                                     1-M-6-3

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-6

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $12,646,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AQ 3

ISIN No.:                               US05950MAQ33

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-M-6-4

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      Interest will accrue on these Certificates at a per annum rate equal
specified in the Pooling and Servicing Agreement.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                      *   *   *

                                     1-M-6-5

                                  EXHIBIT B-M-7

                     [FORM OF FACE OF CLASS M-7 CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-7

[UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE
DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION ("DTC"), TO THE DEPOSITOR OR
ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY
CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME
AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE
TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR
OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER
HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.]

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "REGULAR
INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE TERMS ARE
DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF
1986, AS AMENDED (THE "CODE").

FOR SO LONG AS THE SUPPLEMENTAL INTEREST TRUST IS IN EXISTENCE, EACH BENEFICIAL
OWNER OF A CLASS M-7 CERTIFICATE OR ANY INTEREST THEREIN, SHALL BE DEEMED TO
HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF SUCH CERTIFICATE,
OR INTEREST THEREIN, THAT EITHER (I) IT IS NOT AN EMPLOYEE BENEFIT PLAN OR
ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE
RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"), A PLAN SUBJECT TO
SECTION 4975 OF THE CODE OR A PLAN SUBJECT TO ANY FEDERAL, STATE OR LOCAL LAW
("SIMILAR LAW") MATERIALLY SIMILAR TO THE FOREGOING PROVISIONS OF ERISA OR THE
CODE (COLLECTIVELY, A "PLAN") NOR A PERSON ACTING ON DIRECTLY OR INDIRECTLY ON
BEHALF OF ANY SUCH PLAN NOR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH
TRANSFER OR (II) (A) IT IS AN "ACCREDITED INVESTOR" AS DEFINED IN THE
UNDERWRITER'S EXEMPTION AND (B) THE ACQUISITION AND HOLDING OF SUCH CERTIFICATE
AND THE SEPARATE RIGHT TO RECEIVE PAYMENTS FROM THE SUPPLEMENTAL INTEREST TRUST
ARE ELIGIBLE FOR THE EXEMPTIVE RELIEF AVAILABLE UNDER PROHIBITED TRANSACTION
EXEMPTION 84-14, 90-1, 91-38, 95-60 OR 96-23.

REDUCTIONS OF THE CERTIFICATE BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN. ACCORDINGLY,
THE OUTSTANDING CERTIFICATE

                                     1-M-7-1

BALANCE OF THIS CERTIFICATE MAY BE LESS THAN THE AMOUNT SET FORTH BELOW.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES,
THE CLASS M-1 CERTIFICATES, THE CLASS M-2 CERTIFICATES, THE CLASS M-3
CERTIFICATES, THE CLASS M-4 CERTIFICATES, THE CLASS M-5 CERTIFICATES AND THE
CLASS M-6 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT.

THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS
AMENDED (THE "1933 ACT"). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT
REGISTRATION THEREOF UNDER THE 1933 ACT MAY ONLY BE MADE IN A TRANSACTION
EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE 1933 ACT AND IN ACCORDANCE
WITH THE PROVISIONS OF THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN.

UNDER CURRENT LAW THE PURCHASE AND HOLDING OF THIS CERTIFICATE BY OR ON BEHALF
OF ANY EMPLOYEE BENEFIT PLAN OR ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT
ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS
AMENDED ("ERISA"), THE CODE OR ANY FEDERAL, STATE OR LOCAL LAW ("SIMILAR LAW")
WHICH IS SIMILAR TO ERISA OR THE CODE (COLLECTIVELY, A "PLAN"), MAY RESULT IN
"PROHIBITED TRANSACTIONS" WITHIN THE MEANING OF ERISA, THE CODE OR SIMILAR LAW.
TRANSFER OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO
THE SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER, IN FORM AND
SUBSTANCE SATISFACTORY TO THE SECURITIES ADMINISTRATOR, STATING THAT (A) IT IS
NOT, AND IS NOT ACTING ON BEHALF OF, ANY SUCH PLAN OR USING THE ASSETS OF ANY
SUCH PLAN TO EFFECT SUCH PURCHASE OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE
SOURCE OF FUNDS USED TO PURCHASE THIS CERTIFICATE IS AN "INSURANCE COMPANY
GENERAL ACCOUNT" (AS SUCH TERM IS DEFINED IN SECTION V(E) OF PROHIBITED
TRANSACTION CLASS EXEMPTION 95-60 ("PTE 95-60"), 60 FED. REG. 35925 (JULY 12,
1995)), THERE IS NO PLAN WITH RESPECT TO WHICH THE AMOUNT OF SUCH GENERAL
ACCOUNT'S RESERVES AND LIABILITIES FOR THE CONTRACT(S) HELD BY OR ON BEHALF OF
SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY THE SAME EMPLOYER (OR AFFILIATE
THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE 95-60) OR BY THE SAME EMPLOYEE
ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL RESERVES AND LIABILITIES OF SUCH
GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED UNDER SECTION I(A) OF PTE 95-60)
AT THE DATE OF ACQUISITION AND ALL PLANS THAT HAVE AN INTEREST IN SUCH GENERAL
ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES, OR (II) AN OPINION OF COUNSEL, IN
FORM AND SUBSTANCE SATISFACTORY TO THE SECURITIES ADMINISTRATOR, TO THE EFFECT
THAT THE PURCHASE OR HOLDING OF THIS CERTIFICATE BY OR ON BEHALF OF SUCH PLAN
WILL NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE
MEANING OF ERISA, SECTION 4975 OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT

                                     1-M-7-2

THE DEPOSITOR, THE SERVICER, THE SECURITIES ADMINISTRATOR OR THE TRUSTEE TO ANY
OBLIGATION IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING AND SERVICING
AGREEMENT. EACH PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN
SHALL BE DEEMED TO HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION
LETTER REFERRED TO IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON SHALL HAVE
PROVIDED SUCH REPRESENTATION LETTER OR THE OPINION OF COUNSEL REFERRED TO IN THE
PRECEDING SENTENCE TO THE SECURITIES ADMINISTRATOR. THE POOLING AND SERVICING
AGREEMENT PROVIDES THAT ANY ATTEMPTED OR PURPORTED TRANSFER IN VIOLATION OF
THESE TRANSFER RESTRICTIONS WILL BE NULL AND VOID AND WILL VEST NO RIGHTS IN ANY
PURPORTED TRANSFEREE.

                                     1-M-7-3

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class M-7

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Initial Certificate
Balance of this
Certificate
("Denomination"):                       $[_________]

Initial Class Certificate
Balance of this Class:                  $12,646,000

Pass-Through Rate:                      Floating

CUSIP No.:                              05950M AR 1

ISIN No.:                               US05950MAR16

      THIS CERTIFIES THAT __________ is the registered owner of the Percentage
Interest evidenced by this Certificate (obtained by dividing the Denomination of
this Certificate by the Initial Class Certificate Balance of the Class to which
this Certificate belongs) in certain monthly distributions with respect to a
Trust consisting primarily of the Mortgage Loans deposited by Banc of America
Funding Corporation (the "Depositor"). The Trust was created pursuant to a
Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and Servicing
Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer (the
"Servicer") and as securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      Principal in respect of this Certificate is distributable monthly as set
forth in the Pooling and Servicing Agreement. Accordingly, the Certificate
Balance of this Certificate at any time may be less than the Certificate Balance
as set forth herein. This Certificate does not evidence

                                     1-M-7-4

an obligation of, or an interest in, and is not guaranteed by the Depositor, the
Servicer, the Securities Administrator or the Trustee or any of their respective
affiliates. Neither this Certificate nor the Mortgage Loans are guaranteed or
insured by any governmental agency or instrumentality.

      Interest will accrue on these Certificates at a per annum rate specified
in the Pooling and Servicing Agreement.

      No transfer of a Certificate of this Class shall be made unless such
transfer is exempt from the registration requirements of the Securities Act of
1933, as amended (the "1933 Act"), and any applicable state securities laws or
is made in accordance with the 1933 Act and such laws. In the event of any such
transfer, (i) unless the transfer is made in reliance on Rule 144A under the
1933 Act, the Securities Administrator or the Depositor may require a written
Opinion of Counsel (which may be in-house counsel) acceptable to and in form and
substance reasonably satisfactory to the Securities Administrator and the
Depositor that such transfer may be made pursuant to an exemption, describing
the applicable exemption and the basis therefor, from the 1933 Act and such laws
or is being made pursuant to the 1933 Act and such laws, which Opinion of
Counsel shall not be an expense of the Securities Administrator or the Depositor
and (ii) the Securities Administrator shall require a certificate from the
Certificateholder desiring to effect such transfer substantially in the form
attached to the Pooling and Servicing Agreement as Exhibit G-1 and a certificate
from such Certificateholder's prospective transferee substantially in the form
attached to the Pooling and Servicing Agreement either as Exhibit G-2A or as
Exhibit G-2B, which certificates shall not be an expense of the Securities
Administrator or the Depositor; provided that the foregoing requirements under
clauses (i) and (ii) shall not apply to a transfer of a Private Certificate
between or among the Depositor, the Sponsor, their affiliates or both. The
Holder of a Private Certificate desiring to effect such transfer shall, and does
hereby agree to, indemnify the Securities Administrator and the Depositor
against any liability that may result if the transfer is not so exempt or is not
made in accordance with such federal and state laws.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                      *   *   *

                                     1-M-7-5

                                  EXHIBIT B-CE

                     [FORM OF FACE OF CLASS CE CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-F
                                    Class CE

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS A
"REGULAR INTEREST" IN A "REAL ESTATE MORTGAGE INVESTMENT CONDUIT," AS THOSE
TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL
REVENUE CODE OF 1986, AS AMENDED (THE "CODE") AND CERTAIN OTHER PROPERTY.

THE CLASS CE CERTIFICATE WILL NOT BE ENTITLED TO PAYMENTS UNTIL SUCH TIME AS
DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.

THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES
AND THE CLASS M CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT
REFERRED TO HEREIN.

THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS
AMENDED (THE "1933 ACT"). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT
REGISTRATION THEREOF UNDER THE 1933 ACT MAY ONLY BE MADE IN A TRANSACTION
EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE 1933 ACT AND IN ACCORDANCE
WITH THE PROVISIONS OF THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN.

UNDER CURRENT LAW THE PURCHASE AND HOLDING OF THIS CERTIFICATE BY OR ON BEHALF
OF ANY EMPLOYEE BENEFIT PLAN OR ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT
ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS
AMENDED ("ERISA"), THE CODE OR ANY FEDERAL, STATE OR LOCAL LAW ("SIMILAR LAW")
WHICH IS SIMILAR TO ERISA OR THE CODE (COLLECTIVELY, A "PLAN"), MAY RESULT IN
"PROHIBITED TRANSACTIONS" WITHIN THE MEANING OF ERISA, THE CODE OR SIMILAR LAW.
TRANSFER OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO
THE SECURITIES ADMINISTRATOR EITHER (I) A REPRESENTATION LETTER, IN FORM AND
SUBSTANCE SATISFACTORY TO THE SECURITIES ADMINISTRATOR, STATING THAT IT IS NOT,
AND IS NOT ACTING ON BEHALF OF, ANY SUCH PLAN OR USING THE ASSETS OF ANY SUCH
PLAN TO EFFECT SUCH PURCHASE OR (II) AN OPINION OF COUNSEL, IN FORM AND
SUBSTANCE SATISFACTORY TO THE SECURITIES ADMINISTRATOR, TO THE EFFECT THAT THE
PURCHASE OR HOLDING OF THIS CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT
CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING
OF ERISA, SECTION 4975 OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE
DEPOSITOR,

                                     1-CE-1

THE SERVICER, THE SECURITIES ADMINISTRATOR OR THE TRUSTEE TO ANY OBLIGATION IN
ADDITION TO THOSE UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT. THE POOLING
AND SERVICING AGREEMENT PROVIDES THAT ANY ATTEMPTED OR PURPORTED TRANSFER IN
VIOLATION OF THESE TRANSFER RESTRICTIONS WILL BE NULL AND VOID AND WILL VEST NO
RIGHTS IN ANY PURPORTED TRANSFEREE.

                                     1-CE-2

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                    Class CE

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable-rate mortgage loans (the "Mortgage Loans") secured by first liens on
one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-Off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Percentage Interest:

      THIS CERTIFIES THAT [________] is the registered owner of the Percentage
Interest evidenced by this Certificate in certain monthly distributions with
respect to a Trust consisting primarily of the Mortgage Loans deposited by Banc
of America Funding Corporation (the "Depositor"). The Trust was created pursuant
to a Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling and
Servicing Agreement"), among the Depositor, Wells Fargo Bank, N.A., as servicer
(the "Servicer") and securities administrator (the "Securities Administrator"),
and U.S. Bank National Association, as trustee (the "Trustee"). To the extent
not defined herein, the capitalized terms used herein have the meanings assigned
in the Pooling and Servicing Agreement. This Certificate is issued under and is
subject to the terms, provisions and conditions of the Pooling and Servicing
Agreement, to which Pooling and Servicing Agreement the Holder of this
Certificate by virtue of the acceptance hereof assents and by which such Holder
is bound.

      The Class CE Certificates are limited in right of payment to certain
collections and recoveries respecting the Mortgage Loans, all as more
specifically set forth herein and in the Pooling and Servicing Agreement.

      Further, no transfer of a Class CE Certificate shall be made to a Plan or
a person acting on behalf of or using the asset of a Plan, except as provided in
the Pooling and Servicing Agreement.

      This Certificate does not evidence an obligation of, or an interest in,
and is not guaranteed by the Depositor, the Servicer, the Securities
Administrator or the Trustee or any of their respective affiliates. Neither this
Certificate nor the Mortgage Loans are guaranteed or insured by any governmental
agency or instrumentality.

      No transfer of a Certificate of this Class shall be made unless such
transfer is exempt from the registration requirements of the Securities Act of
1933, as amended (the "1933 Act"),

                                     1-CE-3

and any applicable state securities laws or is made in accordance with the 1933
Act and such laws. In the event of any such transfer, (i) unless the transfer is
made in reliance on Rule 144A under the 1933 Act, the Securities Administrator
or the Depositor may require a written Opinion of Counsel (which may be in-house
counsel) acceptable to and in form and substance reasonably satisfactory to the
Securities Administrator and the Depositor that such transfer may be made
pursuant to an exemption, describing the applicable exemption and the basis
therefor, from the 1933 Act and such laws or is being made pursuant to the 1933
Act and such laws, which Opinion of Counsel shall not be an expense of the
Securities Administrator or the Depositor and (ii) the Securities Administrator
shall require a certificate from the Certificateholder desiring to effect such
transfer substantially in the form attached to the Pooling and Servicing
Agreement as Exhibit G-1 and a certificate from such Certificateholder's
prospective transferee substantially in the form attached to the Pooling and
Servicing Agreement either as Exhibit G-2A or as Exhibit G-2B, which
certificates shall not be an expense of the Securities Administrator or the
Depositor; provided that the foregoing requirements under clauses (i) and (ii)
shall not apply to a transfer of a Private Certificate between or among the
Depositor, the Sponsor, their affiliates or both. The Holder of a Private
Certificate desiring to effect such transfer shall, and does hereby agree to,
indemnify the Securities Administrator and the Depositor against any liability
that may result if the transfer is not so exempt or is not made in accordance
with such federal and state laws.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                   *   *   *

                                     1-CE-4

                                   EXHIBIT B-R

                      [FORM OF FACE OF CLASS R CERTIFICATE]

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                     Class R

SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE IS A "RESIDUAL
INTEREST" IN MULTIPLE "REAL ESTATE MORTGAGE INVESTMENT CONDUITS," AS THOSE TERMS
ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE
CODE OF 1986, AS AMENDED (THE "CODE").

THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS
AMENDED (THE "1933 ACT"). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT
REGISTRATION THEREOF UNDER THE 1933 ACT MAY ONLY BE MADE IN A TRANSACTION
EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE 1933 ACT AND IN ACCORDANCE
WITH THE PROVISIONS OF THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN.

THIS CLASS R CERTIFICATE MAY NOT BE PURCHASED BY OR TRANSFERRED TO ANY EMPLOYEE
BENEFIT PLAN OR ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT
TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED ("ERISA"),
THE CODE OR ANY FEDERAL, STATE OR LOCAL LAW WHICH IS SIMILAR TO ERISA OR THE
CODE (COLLECTIVELY, A "PLAN"), OR A PERSON ACTING ON BEHALF OF OR INVESTING
ASSETS OF A PLAN.

TRANSFER OF THIS CERTIFICATE IS SUBJECT TO CERTAIN TAX RELATED TRANSFER
RESTRICTIONS DESCRIBED HEREIN AND IN THE POOLING AND SERVICING AGREEMENT. ANY
ATTEMPTED OR PURPORTED TRANSFER OF THIS CLASS R CERTIFICATE IN VIOLATION OF SUCH
RESTRICTIONS SHALL BE ABSOLUTELY NULL AND VOID AND SHALL VEST NO RIGHTS IN THE
PURPORTED TRANSFEREE.

                                      1-R-1

                       BANC OF AMERICA FUNDING CORPORATION
                Mortgage Pass-Through Certificates, Series 2006-G
                                     Class R

evidencing an interest in a Trust consisting primarily of three loan groups of
adjustable interest rate mortgage loans (the "Mortgage Loans") secured by first
liens on one- to four-family residential properties deposited by

                Banc of America Funding Corporation, as Depositor

Certificate No.:

Cut-off Date:                           July 1, 2006

First Distribution Date:                August 21, 2006

Percentage Interest:

      THIS CERTIFIES THAT [_____] is the registered owner of the Percentage
Interest set forth above evidenced by this Certificate in certain monthly
distributions with respect to a Trust consisting of the Mortgage Loans deposited
by Banc of America Funding Corporation (the "Depositor"). The Trust was created
pursuant to a Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling
and Servicing Agreement"), among the Depositor, Wells Fargo Bank, N.A., as
servicer (the "Servicer") and as securities administrator (the "Securities
Administrator"), and U.S. Bank National Association, as trustee (the "Trustee").
This Certificate is issued under and is subject to the terms, provisions and
conditions of the Pooling and Servicing Agreement, to which Pooling and
Servicing Agreement the Holder of this Certificate by virtue of the acceptance
hereof assents and by which such Holder is bound.

      This Certificate does not evidence an obligation of, or an interest in,
and is not guaranteed by the Depositor, the Servicer, the Securities
Administrator or the Trustee or any of their respective affiliates. Neither this
Certificate nor the Mortgage Loans are guaranteed or insured by any governmental
agency or instrumentality.

      Any distribution of the proceeds of any remaining assets of the applicable
sub-accounts of the Certificate Account will be made only upon presentment and
surrender of this Class R Certificate at the Corporate Trust Office.

      Each Person who has or who acquires this Class R Certificate shall be
deemed by the acceptance or acquisition thereof to have agreed to be bound by
the following provisions and the rights of each Person acquiring this Class R
Certificate are expressly subject to the following provisions: (i) each Person
holding or acquiring this Class R Certificate shall be a Permitted Transferee
and shall promptly notify the Securities Administrator of any change or
impending change in its status as a Permitted Transferee; (ii) no Person shall
acquire an ownership interest in this Class R Certificate unless such ownership
interest is a pro rata undivided interest; (iii) in connection with any proposed
transfer of this Class R Certificate, the Securities Administrator

                                      1-R-2

shall require delivery to it, in form and substance satisfactory to it, of an
affidavit in the form of Exhibit I to the Pooling and Servicing Agreement; (iv)
notwithstanding the delivery of an affidavit by a proposed transferee under
clause (iii) above, if a Responsible Officer of the Securities Administrator has
actual knowledge that the proposed transferee is not a Permitted Transferee, no
transfer of any Ownership Interest in this Class R Certificate to such proposed
transferee shall be effected; (v) this Class R Certificate may not be purchased
by or transferred to any Person that is not a U.S. Person, unless (A) such
Person holds this Class R Certificate in connection with the conduct of a trade
or business within the United States and furnishes the transferor and the
Securities Administrator with an effective Internal Revenue Service Form W-8ECI
(or any successor thereto) or (B) the transferee delivers to both the transferor
and the Securities Administrator an Opinion of Counsel from a
nationally-recognized tax counsel to the effect that such transfer is in
accordance with the requirements of the Code and the regulations promulgated
thereunder and that such transfer of this Class R Certificate will not be
disregarded for federal income tax purposes; (vi) any attempted or purported
transfer of this Class R Certificate in violation of the provisions of such
restrictions shall be absolutely null and void and shall vest no rights in the
purported transferee; and (vii) if any Person other than a Permitted Transferee
acquires the Class R Certificate in violation of such restrictions, then the
Securities Administrator, based on information provided to the Securities
Administrator by the Servicer, will provide to the Internal Revenue Service, and
to the Persons specified in Section 860E(e)(3) and (6) of the Code, information
needed to compute the tax imposed under Section 860E(e) of the Code on transfers
of residual interests to disqualified organizations.

      The Class R Certificate may not be purchased by or transferred to any
employee benefit plan or arrangement, including an individual retirement
account, subject to ERISA, the Code or any federal, state or local law which is
similar to ERISA or the Code (collectively, a "Plan"), or a Person acting on
behalf of or investing assets of a Plan.

      Reference is hereby made to the further provisions of this Certificate set
forth on the reverse hereof, which further provisions shall for all purposes
have the same effect as if set forth at this place.

      This Certificate shall not be entitled to any benefit under the Pooling
and Servicing Agreement or be valid for any purpose unless manually
authenticated by an authorized signatory of the Securities Administrator.

                                   *   *   *

                                      1-R-3

                                    EXHIBIT C

                      [FORM OF REVERSE OF ALL CERTIFICATES]

                       BANC OF AMERICA FUNDING CORPORATION
                       Mortgage Pass-Through Certificates

      This Certificate is one of a duly authorized issue of Certificates
designated as Banc of America Funding Corporation Mortgage Pass-Through
Certificates, of the Series specified on the face hereof (collectively, the
"Certificates"), and representing a beneficial ownership interest in the Trust
created by the Pooling and Servicing Agreement.

      The Certificateholder, by its acceptance of this Certificate, agrees that
it will look solely to the funds on deposit in the Certificate Account for
payment hereunder and that the Securities Administrator is not liable to the
Certificateholders for any amount payable under this Certificate or the Pooling
and Servicing Agreement or, except as expressly provided in the Pooling and
Servicing Agreement, subject to any liability under the Pooling and Servicing
Agreement.

      This Certificate does not purport to summarize the Pooling and Servicing
Agreement and reference is made to the Pooling and Servicing Agreement for the
interests, rights and limitations of rights, benefits, obligations and duties
evidenced thereby, and the rights, duties and immunities of the Securities
Administrator.

      Pursuant to the terms of the Pooling and Servicing Agreement, a
distribution will be made on the 20th day of each calendar month (or, if such
day is not a Business Day, the next Business Day) (each, a "Distribution Date"),
commencing on the first Distribution Date specified on the face hereof, to the
Person in whose name this Certificate is registered at the close of business on
the applicable Record Date in an amount required pursuant to the Pooling and
Servicing Agreement. The Record Date applicable to each Distribution Date is the
last Business Day of the month immediately preceding the month of such
Distribution Date or the Business Day immediately preceding such Distribution
Date, as set forth in the Pooling and Servicing Agreement.

      On each Distribution Date, the Securities Administrator shall distribute
out of the Certificate Account to each Certificateholder of record on the
related Record Date (other than with respect to the final distribution) (a) by
check mailed to such Certificateholder entitled to receive a distribution on
such Distribution Date at the address appearing in the Certificate Register, or
(b) upon written request by the Holder of a Regular Certificate, by wire
transfer or by such other means of payment as such Certificateholder and the
Securities Administrator shall agree upon, such Certificateholder's Percentage
Interest in the amount to which the related Class of Certificates is entitled in
accordance with the priorities set forth in Section 5.02 of the Pooling and
Servicing Agreement. The final distribution on each Certificate will be made in
like manner, but only upon presentation and surrender of such Certificate to the
Securities Administrator as contemplated by Section 10.01 of the Pooling and
Servicing Agreement.

      The Pooling and Servicing Agreement permits, with certain exceptions
therein provided, the amendment thereof and the modification of the rights and
obligations of the Securities

                                       C-1

Administrator and the rights of the Certificateholders under the Pooling and
Servicing Agreement at any time by the Depositor, the Servicer, the Securities
Administrator and the Trustee with the consent of the Holders of Certificates
affected by such amendment evidencing the requisite Percentage Interest, as
provided in the Pooling and Servicing Agreement. Any such consent by the Holder
of this Certificate shall be conclusive and binding on such Holder and upon all
future Holders of this Certificate and of any Certificate issued upon the
transfer hereof or in exchange therefor or in lieu hereof whether or not
notation of such consent is made upon this Certificate. The Pooling and
Servicing Agreement also permits the amendment thereof, in certain limited
circumstances, without the consent of the Holders of any of the Certificates.

      As provided in the Pooling and Servicing Agreement and subject to certain
limitations therein set forth, the transfer of this Certificate is registrable
in the Certificate Register of the Securities Administrator upon surrender of
this Certificate for registration of transfer at the Corporate Trust Office of
the Securities Administrator accompanied by a written instrument of transfer in
form satisfactory to the Securities Administrator and the Certificate Registrar
duly executed by the Holder hereof or such Holder's attorney duly authorized in
writing, and thereupon one or more new Certificates of the same Class in
authorized denominations and evidencing the same aggregate Percentage Interest
in the Trust will be issued to the designated transferee or transferees.

      The Certificates are issuable only as registered Certificates without
coupons in denominations specified in the Pooling and Servicing Agreement. As
provided in the Pooling and Servicing Agreement and subject to certain
limitations therein set forth, Certificates are exchangeable for new
Certificates of the same Class in authorized denominations and evidencing the
same aggregate Percentage Interest, as requested by the Holder surrendering the
same.

      No service charge will be made for any such registration of transfer or
exchange, but the Securities Administrator may require payment of a sum
sufficient to cover any tax or other governmental charge payable in connection
therewith.

      The Depositor, the Servicer, the Certificate Registrar, the Securities
Administrator and the Trustee and any agent of the Depositor, the Servicer, the
Certificate Registrar, the Securities Administrator or the Trustee may treat the
Person in whose name this Certificate is registered as the owner hereof for all
purposes, and none of the Depositor, the Servicer, the Certificate Registrar,
the Securities Administrator, the Trustee or any such agent shall be affected by
any notice to the contrary.

      On any Distribution Date on which the aggregate Stated Principal Balance
of the Mortgage Loans in all Loan Groups is less than 10% of the aggregate
Cut-off Date Pool Principal Balance of such Mortgage Loans, certain parties
specified in the Pooling and Servicing Agreement have the option to purchase
such Mortgage Loans and related REO Properties under the conditions set forth in
Section 10.01 of the Pooling and Servicing Agreement. In the event that no such
optional repurchase occurs, the obligations and responsibilities created by the
Pooling and Servicing Agreement will terminate upon the later of the maturity or
other liquidation (or any advance with respect thereto) of the last Mortgage
Loan remaining in the Trust or the disposition of all property in respect
thereof and the distribution to Certificateholders of all amounts required to be
distributed pursuant to the Pooling and Servicing Agreement. In no

                                       C-2

event shall the Trust created by the Pooling and Servicing Agreement continue
beyond the expiration of 21 years from the death of the last survivor of the
descendants of Joseph P. Kennedy, the late ambassador of the United States to
the Court of St. James, living on the date thereof.

      Any term used herein that is defined in the Pooling and Servicing
Agreement shall have the meaning assigned in the Pooling and Servicing
Agreement, and nothing herein shall be deemed inconsistent with that meaning.

                                       C-3

      IN WITNESS WHEREOF, the Securities Administrator has caused this
Certificate to be duly executed.

Dated:

                                        WELLS FARGO BANK, N.A.,
                                        as Securities Administrator

                                        By______________________________________
                                               Authorized Signatory

                          CERTIFICATE OF AUTHENTICATION

      This is one of the Certificates referred to in the Pooling and Servicing
Agreement referenced herein.

                                        WELLS FARGO BANK, N.A.,
                                        as Securities Administrator

                                        By______________________________________
                                               Authorized Signatory

                                       C-4

                                   ASSIGNMENT

      FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and
transfer(s) unto _______________________________________________________________

________________________________________________________________________________

________________________________________________________________________________

(Please print or typewrite name and address including postal zip code of
assignee)

the Percentage Interest evidenced by the within Certificate and hereby
authorizes the transfer of registration of such Percentage Interest to assignee
on the Certificate Register of the Trust.

      I (We) further direct the Securities Administrator to issue a new
Certificate of a like denomination and Class, to the above named assignee and
deliver such Certificate to the following address:

Dated:

                                        ________________________________________
                                        Signature by or on behalf of assignor

                            DISTRIBUTION INSTRUCTIONS

      The assignee should include the following for purposes of distribution:

      Distributions shall be made, by wire transfer or otherwise, in immediately
available funds to ____________________________________________________ for the
account of ___________________, account number _________________________, or, if
mailed by check, to Applicable statements should be mailed to
__________________________________________

      This information is provided by _________, the assignee named above, or ,
as its agent.

                                       C-5

                                   EXHIBIT D-1
                       LOAN GROUP 1 MORTGAGE LOAN SCHEDULE

                 [See separate Excel file on Closing Binder CD]

                                      D-1-1

LOANID     OCC        PROPTYPE      OTERM  CORTERM  OLTV   RATE   FPDATE     NDDATE     S_MATDATE  PANDI     PTDATE     OBAL
----------------------------------------------------------------------------------------------------------------------------------

  5753725  Primary    SFR             360      288     90  7.125   8/1/2000   7/1/2006   7/1/2030  2,395.07   6/1/2006  355,500.00
  5837889  Primary    SFR             360      294     80    7.5   2/1/2001   8/1/2006   1/1/2031  2,648.63   7/1/2006  378,800.00
  8094588  Primary    SFR             360      288     80   7.25   8/1/2000   7/1/2006   7/1/2030  2,046.53   6/1/2006  300,000.00
  8124452  Primary    SFR             360      289     80      8   9/1/2000   7/1/2006   8/1/2030  2,557.17   6/1/2006  348,500.00
  8215771  Primary    SFR             360      288  70.29    8.5   8/1/2000   7/1/2006   7/1/2030  1,891.53   6/1/2006  246,000.00
  8286257  Primary    SFR             360      292  68.63   7.75  12/1/2000   7/1/2006  11/1/2030  2,507.44   6/1/2006  350,000.00
 33355553  Primary    SFR             360      326  58.69      6  10/1/2003   7/1/2006   9/1/2033  1,988.11   6/1/2006  331,600.00
 41003062  Primary    SFR             360      337     80  6.125   9/1/2004   7/1/2006   8/1/2034  1,297.50   6/1/2006  254,400.00
 44441996  Secondary  Condo - High    360      337     80      6   9/1/2004   7/1/2006   8/1/2034  2,030.00   6/1/2006  406,000.00
 44887545  Primary    SFR             360      338   75.3      6  10/1/2004   7/1/2006   9/1/2034    928.43   6/1/2006  186,000.00
 48367692  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,199.50   6/1/2006  240,000.00
 53048302  Primary    SFR             360      347  49.07   6.25   7/1/2005   8/1/2006   6/1/2035    693.74   7/1/2006  211,000.00
 53115556  Primary    SFR             360      346  76.14  6.125   6/1/2005   8/1/2006   5/1/2035  1,519.10   7/1/2006  297,700.00
 53138301  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035  2,388.61   6/1/2006  398,400.00
 53282166  Primary    SFR             360      347  77.42      6   7/1/2005   7/1/2006   6/1/2035    599.82   6/1/2006  120,000.00
 56982226  Primary    2-Family        360      351     90      6  11/1/2005   7/1/2006  10/1/2035  2,155.50   6/1/2006  431,100.00
 57736621  Primary    SFR             360      349     95   6.25   9/1/2005   7/1/2006   8/1/2035  1,118.23   6/1/2006  214,700.00
 57923781  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,100.00   6/1/2006  220,000.00
 58149782  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035    638.27   6/1/2006  128,000.00
 58185315  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       880   6/1/2006  176,000.00
 58701061  Secondary  Condo - Low     360      351     95   6.25  11/1/2005   7/1/2006  10/1/2035  1,270.95   6/1/2006  244,055.00
 58730193  Primary    SFR             360      350  62.55      6  10/1/2005   7/1/2006   9/1/2035  1,796.91   6/1/2006  359,650.00
 58845009  Secondary  Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035    825.74   6/1/2006  165,148.00
 58871302  Secondary  Condo - Low     360      351     95      6  11/1/2005   7/1/2006  10/1/2035    616.45   6/1/2006  123,500.00
 58900853  Primary    SFR             360      351  78.67      6  11/1/2005   8/1/2006  10/1/2035    884.72   7/1/2006  177,000.00
 58933789  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035    611.48   6/1/2006  120,000.00
 58997537  Secondary  Condo - Low     360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035    851.31   6/1/2006  166,788.00
 59800094  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035    703.95   7/1/2006  140,800.00
 59882415  Investor   SFR             360      354  58.32  6.125   2/1/2006   8/1/2006   1/1/2036    354.98   7/1/2006   69,975.00
 59967208  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,316.04   6/1/2006  368,208.00
 59971747  Primary    SFR             360      352  79.57      6  12/1/2005   7/1/2006  11/1/2035    896.45   6/1/2006  149,520.00
 60253903  Primary    Condo - High    360      354     95      6   2/1/2006   7/1/2006   1/1/2036  1,225.03   6/1/2006  245,005.00
 60418761  Primary    SFR             360      353     95   6.25   1/1/2006   7/1/2006  12/1/2035    178.79   6/1/2006  154,850.00
 60459773  Primary    SFR             360      353   71.6  6.125   1/1/2006   7/1/2006  12/1/2035  1,937.03   6/1/2006  379,500.00
 60594181  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035    938.76   6/1/2006  183,920.00
 60629946  Primary    SFR             360      353  69.07   6.25   1/1/2006   8/1/2006  12/1/2035  1,196.65   7/1/2006  230,000.00
 60631603  Primary    Condo - Low     360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  1,056.90   6/1/2006  195,120.00
 60691532  Secondary  Condo - Low     360      354  94.99   6.25   2/1/2006   7/1/2006   1/1/2036    671.67   6/1/2006  128,960.00
 60921905  Primary    SFR             360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035  1,071.11   6/1/2006  211,050.00
 61000832  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035    753.96   6/1/2006  150,792.00
 61007886  Primary    SFR             360      354  79.99  6.125   2/1/2006   7/1/2006   1/1/2036  2,062.08   6/1/2006  404,000.00
 61101564  Primary    Condo - Low     360      354  92.59      6   2/1/2006   8/1/2006   1/1/2036  1,815.00   7/1/2006  363,000.00
 61245429  Primary    SFR             360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036    788.19   6/1/2006  145,520.00
 61396495  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036    347.08   6/1/2006   68,000.00
 61425898  Secondary  SFR             360      354  67.35   6.25   2/1/2006   7/1/2006   1/1/2036    857.74   6/1/2006  165,000.00
 61456752  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,245.63   6/1/2006  318,756.00
 61894598  Investor   SFR             360      354     90  6.375   2/1/2006   7/1/2006   1/1/2036    643.08   6/1/2006  121,050.00
131501124  Primary    SFR             360      326     95      6  10/1/2003   7/1/2006   9/1/2033  1,234.53   6/1/2006  246,905.00
136766144  Primary    Condo - Low     360      337     80      6   9/1/2004   7/1/2006   8/1/2034  1,347.18   6/1/2006  272,000.00
137213096  Primary    Cooperative     360      338     75      6  10/1/2004   9/1/2006   9/1/2034  1,582.34   8/1/2006  316,500.00
138357546  Primary    SFR             360      336     75      6   8/1/2004   7/1/2006   7/1/2034  2,405.70   6/1/2006  401,250.00
138423033  Primary    Condo - High    360      336     95   6.25   8/1/2004   7/1/2006   7/1/2034  1,286.46   6/1/2006  247,000.00
138559927  Primary    SFR             360      337  74.93      6   9/1/2004   7/1/2006   8/1/2034  1,680.25   6/1/2006  280,250.00
138705751  Primary    SFR             360      337  68.18   6.25   9/1/2004   7/1/2006   8/1/2034  2,308.94   6/1/2006  375,000.00
138751599  Primary    Condo - Low     360      338     80      6  10/1/2004   7/1/2006   9/1/2034  1,830.00   6/1/2006  366,000.00
138784707  Primary    SFR             360      337     80      6   9/1/2004   7/1/2006   8/1/2034  2,080.00   6/1/2006  416,000.00
139052401  Primary    SFR             360      337  62.99      6   9/1/2004   7/1/2006   8/1/2034  1,049.06   6/1/2006  211,000.00
142903343  Primary    SFR             360      347     95    6.5   7/1/2005   7/1/2006   6/1/2035  2,634.03   6/1/2006  416,732.00
143084101  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035    578.83   6/1/2006  115,920.00
143169712  Primary    Condo - Low     360      346  94.44   6.25   6/1/2005   8/1/2006   5/1/2035  1,770.83   7/1/2006  340,000.00
143302552  Primary    SFR             360      345     80      6   5/1/2005   8/1/2006   4/1/2035  1,989.49   7/1/2006  400,000.00
143441459  Primary    Condo - Low     360      346     80  6.125   6/1/2005   8/1/2006   5/1/2035    803.88   7/1/2006  157,520.00
143571404  Primary    SFR             360      346     80      6   6/1/2005   9/1/2006   5/1/2035       940   8/1/2006  288,000.00
143653178  Primary    SFR             360      346  73.33      6   6/1/2005   7/1/2006   5/1/2035  1,650.00   6/1/2006  330,000.00
143673911  Primary    SFR             360      346     80   6.25   6/1/2005   7/1/2006   5/1/2035       400   6/1/2006   76,800.00
143806107  Primary    SFR             360      346  86.08  6.375   6/1/2005   7/1/2006   5/1/2035     985.2   6/1/2006  185,449.00
143833192  Secondary  SFR             360      346  88.82  6.125   6/1/2005   7/1/2006   5/1/2035    770.73   6/1/2006  151,000.00
144029402  Primary    Condo - High    360      347     80      6   7/1/2005   8/1/2006   6/1/2035  1,000.00   7/1/2006  200,000.00
144062643  Primary    SFR             360      347    100      6   7/1/2005   7/1/2006   6/1/2035  1,692.80   6/1/2006  345,000.00
144065729  Primary    SFR             360      347  78.58      6   7/1/2005   8/1/2006   6/1/2035    777.91   7/1/2006  155,582.00
144269099  Primary    Condo - Low     360      347     95      6   7/1/2005   7/1/2006   6/1/2035  1,187.50   6/1/2006  237,500.00
146489919  Secondary  Condo - Low     360      350     80      6  10/1/2005   8/1/2006   9/1/2035       892   7/1/2006  178,400.00
146504295  Secondary  SFR             360      350   72.5      6  10/1/2005   7/1/2006   9/1/2035  1,830.68   6/1/2006  366,200.00
146588835  Primary    SFR             360      350     80      6  10/1/2005   8/1/2006   9/1/2035       788   7/1/2006  157,600.00
146650924  Investor   SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,646.67   6/1/2006  324,588.00
146682687  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035    686.94   6/1/2006  137,607.00
146750187  Primary    Condo - Low     360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035    779.92   6/1/2006  152,800.00
146780515  Secondary  SFR             360      350     75  6.125  10/1/2005  11/1/2006   9/1/2035  1,178.30  10/1/2006  230,850.00
146785472  Primary    SFR             360      351  75.62      6  11/1/2005   7/1/2006  10/1/2035  1,114.69   6/1/2006  223,000.00
146841473  Primary    SFR             360      350     75   6.25  10/1/2005   7/1/2006   9/1/2035  1,160.16   6/1/2006  222,750.00
147000541  Primary    PUD Detached    360      351     80   6.25  11/1/2005   7/1/2006  10/1/2035  1,046.36   6/1/2006  200,900.00
147025951  Primary    SFR             360      351  73.64      6  11/1/2005   7/1/2006  10/1/2035     607.5   6/1/2006  121,500.00
147132195  Primary    SFR             360      351  79.74      6  11/1/2005   7/1/2006  10/1/2035       756   6/1/2006  151,200.00
147159503  Primary    PUD Detached    360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,719.50   6/1/2006  343,900.00
147204028  Primary    Condo - Low     360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  1,740.10   6/1/2006  340,917.00
147236871  Primary    Condo - Low     360      351  77.53      6  11/1/2005   7/1/2006  10/1/2035  1,415.00   6/1/2006  283,000.00
147439004  Primary    SFR             360      352     75  6.375  12/1/2005   8/1/2006  11/1/2035  1,314.84   7/1/2006  247,500.00
147609747  Primary    SFR             360      353     95    6.5   1/1/2006   7/1/2006  12/1/2035    976.48   6/1/2006  181,450.00
147719686  Investor   2-Family        360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,584.62   6/1/2006  312,000.00
147857585  Investor   SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035    584.82   6/1/2006  116,963.00
147974372  Secondary  Condo - Low     360      352  83.51  6.125  12/1/2005   8/1/2006  11/1/2035  2,430.45   7/1/2006  400,000.00
148044571  Primary    Condo - Low     360      353  77.97  6.375   1/1/2006   8/1/2006  12/1/2035  1,267.56   7/1/2006  238,600.00
148182397  Primary    SFR             360      352     80      6  12/1/2005   9/1/2006  11/1/2035  1,721.50   8/1/2006  344,300.00
148244536  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,240.00   6/1/2006  248,000.00
148358393  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035  1,395.83   6/1/2006  268,000.00
148409113  Primary    SFR             360      353   79.6      6   1/1/2006   7/1/2006  12/1/2035  2,053.30   6/1/2006  410,660.00
148439367  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,082.08   6/1/2006  212,000.00
148446644  Secondary  SFR             360      352     90    6.5  12/1/2005   7/1/2006  11/1/2035  2,104.24   6/1/2006  389,250.00
148519952  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,449.00   6/1/2006  291,200.00
148531759  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,627.48   6/1/2006  312,476.00
148541352  Primary    Condo - Low     360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035    620.12   6/1/2006  121,500.00
148567027  Primary    SFR             360      354  77.15  6.125   2/1/2006   7/1/2006   1/1/2036  1,464.90   6/1/2006  287,000.00
148589377  Primary    SFR             360      352  79.97   6.25  12/1/2005   8/1/2006  11/1/2035  1,172.40   7/1/2006  225,100.00
148603582  Primary    SFR             360      353     65      6   1/1/2006   7/1/2006  12/1/2035  1,950.00   6/1/2006  390,000.00
148646946  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,145.56   6/1/2006  220,000.00
148657232  Primary    SFR             360      353  66.96   6.25   1/1/2006   8/1/2006  12/1/2035  2,005.21   7/1/2006  385,000.00
148679129  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,200.00   6/1/2006  240,000.00
148685571  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,159.40   6/1/2006  231,880.00
148721277  Primary    Condo - Low     360      352     75  6.125  12/1/2005   8/1/2006  11/1/2035  1,837.50   7/1/2006  360,000.00
148722879  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035    918.75   7/1/2006  180,000.00
148748817  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,061.67   7/1/2006  208,000.00
148751852  Primary    SFR             360      354     75  6.375   2/1/2006   7/1/2006   1/1/2036  1,712.83   6/1/2006  322,500.00
148753411  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,772.66   7/1/2006  356,000.00
148770332  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,220.00   6/1/2006  244,000.00
148784192  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,298.07   6/1/2006  244,472.00
148804685  Primary    Condo - High    360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,780.00   6/1/2006  356,000.00
148837669  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,179.80   6/1/2006  236,000.00
148867237  Primary    SFR             360      354  53.13      6   2/1/2006   7/1/2006   1/1/2036  1,991.30   6/1/2006  398,500.00
148876899  Primary    SFR             360      353  70.33      6   1/1/2006   8/1/2006  12/1/2035  1,900.00   7/1/2006  380,000.00
148889785  Primary    SFR             360      353  75.43  6.125   1/1/2006   7/1/2006  12/1/2035  2,406.14   6/1/2006  396,000.00
148891559  Primary    SFR             360      353  79.55  6.375   1/1/2006   7/1/2006  12/1/2035  1,859.16   6/1/2006  350,000.00
148904568  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,406.63   6/1/2006  281,325.00
148905748  Primary    SFR             360      353  72.52  6.375   1/1/2006   8/1/2006  12/1/2035  2,126.91   7/1/2006  402,500.00
148906837  Primary    Condo - Low     360      353     80      6   1/1/2006   8/1/2006  12/1/2035       760   7/1/2006  152,000.00
148911035  Secondary  SFR             360      354  77.92   6.25   2/1/2006   7/1/2006   1/1/2036  1,562.50   6/1/2006  300,000.00
148924178  Primary    SFR             360      353  67.13  6.375   1/1/2006   7/1/2006  12/1/2035  1,551.25   6/1/2006  292,000.00
148927775  Primary    SFR             360      354  72.04  6.375   2/1/2006   7/1/2006   1/1/2036  1,774.19   6/1/2006  335,000.00
148955008  Investor   SFR             360      353  79.98   6.25   1/1/2006   8/1/2006  12/1/2035  1,095.57   7/1/2006  210,350.00
148956964  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036  1,541.46   7/1/2006  295,960.00
148960248  Primary    Condo - Low     360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,088.00   6/1/2006  204,800.00
148976491  Primary    Condo - High    360      353  77.83      6   1/1/2006   7/1/2006  12/1/2035  1,925.00   6/1/2006  385,000.00
148986201  Primary    SFR             360      354     75   6.25   2/1/2006   7/1/2006   1/1/2036  2,070.31   6/1/2006  397,500.00
148993629  Primary    SFR             360      353  77.87      6   1/1/2006   7/1/2006  12/1/2035  1,414.46   6/1/2006  285,000.00
149007593  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035    714.58   6/1/2006  140,000.00
149018574  Primary    SFR             360      353  94.98      6   1/1/2006   7/1/2006  12/1/2035  1,018.16   6/1/2006  204,200.00
149020067  Primary    SFR             360      353     80    6.5   1/1/2006   8/1/2006  12/1/2035  2,187.74   7/1/2006  404,000.00
149020539  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036    957.14   6/1/2006  180,214.00
149029829  Primary    SFR             360      353  73.15      6   1/1/2006   7/1/2006  12/1/2035  2,368.23   6/1/2006  395,000.00
149032963  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,517.13   6/1/2006  303,425.00
149051161  Investor   SFR             360      354  80.02   6.25   2/1/2006   7/1/2006   1/1/2036    841.93   6/1/2006  161,650.00
149054884  Primary    Condo - Low     360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036    575.94   6/1/2006  106,400.00
149055279  Primary    SFR             360      353  76.77  6.125   1/1/2006   7/1/2006  12/1/2035  1,939.35   6/1/2006  380,000.00
149062374  Primary    SFR             360      354  79.79  6.375   2/1/2006   7/1/2006   1/1/2036  2,389.43   6/1/2006  383,000.00
149076796  Primary    SFR             360      353  72.96   6.25   1/1/2006   8/1/2006  12/1/2035    493.67   7/1/2006   94,850.00
149089856  Primary    SFR             360      353     80  6.625   1/1/2006   8/1/2006  12/1/2035  1,421.32   7/1/2006  258,000.00
149090037  Primary    SFR             360      353  75.81      6   1/1/2006   7/1/2006  12/1/2035  1,175.00   6/1/2006  235,000.00
149103475  Primary    SFR             360      354     95      6   2/1/2006   7/1/2006   1/1/2036  1,694.40   6/1/2006  338,879.00
149113524  Investor   SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035       780   6/1/2006  144,000.00
149126344  Primary    SFR             360      354  79.55  6.125   2/1/2006   8/1/2006   1/1/2036  1,983.99   7/1/2006  389,000.00
149316143  Secondary  SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036     433.5   6/1/2006   81,600.00
   305635  Primary    Condo - Low     360      312     95    6.5   8/1/2002   7/1/2006   7/1/2032    612.35   6/1/2006  113,050.00
   333966  Primary    SFR             360      314     95      6  10/1/2002   7/1/2006   9/1/2032    956.89   6/1/2006  159,600.00
   378066  Primary    SFR             360      312     80  6.375   8/1/2002   7/1/2006   7/1/2032       850   6/1/2006  160,000.00
   796637  Primary    SFR             360      314     80      6  10/1/2002   7/1/2006   9/1/2032    729.06   6/1/2006  121,600.00
   856953  Primary    SFR             360      311   53.4    6.5   7/1/2002   8/1/2006   6/1/2032  2,528.28   7/1/2006  400,000.00
   890666  Primary    Condo - Low     360      310     80   6.75   6/1/2002   7/1/2006   5/1/2032       639   6/1/2006  113,600.00
   918302  Primary    SFR             360      311  60.18      6   7/1/2002   7/1/2006   6/1/2032  2,038.48   6/1/2006  340,000.00
   996830  Primary    SFR             360      314  32.38  6.125  10/1/2002   7/1/2006   9/1/2032  1,321.25   6/1/2006  259,000.00
  4419089  Primary    Condo - Low     360      306     95  6.375   2/1/2002   7/1/2006   1/1/2032  2,458.11   6/1/2006  394,010.00
  4731709  Primary    SFR             360      304     80  6.375  12/1/2001   7/1/2006  11/1/2031  1,380.04   6/1/2006  260,000.00
  5738620  Primary    SFR             360      305     36  6.375   1/1/2002   7/1/2006  12/1/2031  2,245.93   6/1/2006  360,000.00
  5799614  Primary    SFR             360      305  60.77   6.25   1/1/2002   7/1/2006  12/1/2031  2,432.08   6/1/2006  395,000.00
  6255324  Secondary  SFR             360      304     70    6.5  12/1/2001   7/1/2006  11/1/2031  2,212.24   6/1/2006  350,000.00
  8044977  Primary    SFR             360      283     80  7.125   3/1/2000  10/1/2006   2/1/2030  2,311.61   9/1/2006  347,070.00
  8062685  Primary    SFR             360      284     70  7.125   4/1/2000   7/1/2006   3/1/2030  1,880.20   6/1/2006  281,716.00
  8108298  Primary    SFR             360      285     80  7.375   5/1/2000   7/1/2006   4/1/2030  2,521.74   6/1/2006  364,000.00
  8210872  Primary    SFR             360      289  39.37      6   9/1/2000   8/1/2006   8/1/2030  1,188.20   7/1/2006  200,000.00
  8834783  Primary    SFR             360      309     80      7   5/1/2002   7/1/2006   4/1/2032  1,429.07   6/1/2006  246,080.00
  9518326  Primary    SFR             360      304  91.16  6.375  12/1/2001   7/1/2006  11/1/2031  1,032.61   6/1/2006  196,000.00
  9937110  Primary    SFR             360      310     90  6.375   6/1/2002   7/1/2006   5/1/2032  2,480.13   6/1/2006  397,539.00
 16411795  Primary    SFR             360      317  51.88  6.125   1/1/2003   7/1/2006  12/1/2032  1,301.51   6/1/2006  389,100.00
 16601692  Primary    SFR             360      318  62.86   6.25   2/1/2003   7/1/2006   1/1/2033  1,354.58   6/1/2006  220,000.00
 39041934  Secondary  SFR             360      337  28.28  6.375   9/1/2004   7/1/2006   8/1/2034  2,097.32   6/1/2006  395,900.00
 39966031  Secondary  SFR             360      337  79.73   6.25   9/1/2004   7/1/2006   8/1/2034    406.18   6/1/2006   78,650.00
 40596587  Primary    SFR             360      347     95      6   7/1/2005   7/1/2006   6/1/2035    853.13   6/1/2006  170,660.00
 44019388  Primary    SFR             360      337     80  6.125   9/1/2004   7/1/2006   8/1/2034    771.75   6/1/2006  151,200.00
 44414902  Primary    SFR             360      337     65   6.25   9/1/2004   9/1/2006   8/1/2034  2,201.19   8/1/2006  357,500.00
 44656197  Secondary  SFR             360      336  84.98  6.125   8/1/2004   7/1/2006   7/1/2034    743.68   6/1/2006  145,700.00
 44967867  Primary    SFR             360      345     80      6   5/1/2005   7/1/2006   4/1/2035  1,995.46   6/1/2006  399,092.00
 48974646  Primary    Condo - Low     360      351  78.33  6.125  11/1/2005   9/1/2006  10/1/2035    943.38   8/1/2006  188,000.00
 49220742  Investor   SFR             360      349     90      6   9/1/2005   7/1/2006   8/1/2035  1,145.27   6/1/2006  229,500.00
 51155455  Primary    Condo - High    360      345     80      6   5/1/2005   8/1/2006   4/1/2035       734   7/1/2006  146,800.00
 51257913  Primary    Condo - High    360      345     80  6.125   5/1/2005   7/1/2006   4/1/2035    812.58   6/1/2006  159,200.00
 51718948  Primary    Condo - High    360      346     80   6.25   6/1/2005   7/1/2006   5/1/2035    870.83   6/1/2006  167,200.00
 52160157  Secondary  SFR             360      346     95  6.125   6/1/2005   7/1/2006   5/1/2035  1,672.89   6/1/2006  327,750.00
 52190618  Primary    Condo - High    360      346  79.58  6.375   6/1/2005   8/1/2006   5/1/2035    797.36   7/1/2006  152,000.00
 52215043  Primary    Condo - Low     360      346  90.14      6   6/1/2005   7/1/2006   5/1/2035  1,432.78   6/1/2006  286,731.00
 52239878  Primary    SFR             360      346  65.71  6.125   6/1/2005   7/1/2006   5/1/2035    821.72   6/1/2006  161,000.00
 52260627  Primary    Condo - Low     360      351     95  6.125  11/1/2005   8/1/2006  10/1/2035    722.45   7/1/2006  141,540.50
 52308814  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035    788.03   6/1/2006  158,320.00
 52369873  Primary    Condo - Low     360      346     80      6   6/1/2005   7/1/2006   5/1/2035       532   6/1/2006  106,400.00
 52713138  Primary    Condo - Low     360      348     95  6.125   8/1/2005   7/1/2006   7/1/2035    658.49   6/1/2006  129,010.00
 52785268  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,680.00   6/1/2006  336,000.00
 52793114  Primary    Condo - Low     360      352     90      6  12/1/2005   7/1/2006  11/1/2035    933.75   6/1/2006  186,750.00
 52911542  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035       562   6/1/2006  112,400.00
 52920329  Primary    Condo - Low     360      346     80  6.125   6/1/2005   7/1/2006   5/1/2035    449.17   6/1/2006   88,000.00
 52935772  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035       904   6/1/2006  180,800.00
 53050076  Primary    SFR             360      346     80      6   6/1/2005   8/1/2006   5/1/2035  1,368.00   7/1/2006  273,600.00
 53174686  Secondary  Condo - High    360      356     80  6.125   4/1/2006   8/1/2006   3/1/2036  1,493.74   7/1/2006  292,800.00
 53237418  Primary    Condo - High    360      347     80   6.25   7/1/2005   8/1/2006   6/1/2035  1,173.89   7/1/2006  225,488.00
 53365995  Primary    Condo - Low     360      346     95  6.125   6/1/2005   7/1/2006   5/1/2035  1,008.58   6/1/2006  197,600.00
 53537593  Primary    SFR             360      347  47.28      6   7/1/2005   8/1/2006   6/1/2035    989.26   7/1/2006  165,000.00
 53681045  Secondary  Condo - Low     360      347     95  6.125   7/1/2005   7/1/2006   6/1/2035     988.7   6/1/2006  193,705.00
 53737078  Primary    SFR             360      347  72.08      6   7/1/2005   7/1/2006   6/1/2035  1,221.76   6/1/2006  377,000.00
 54225008  Primary    SFR             360      348     80      6   8/1/2005   7/1/2006   7/1/2035  1,238.00   6/1/2006  247,600.00
 54542642  Secondary  SFR             360      348     80      6   8/1/2005   7/1/2006   7/1/2035    841.59   6/1/2006  169,072.00
 54680038  Primary    SFR             360      349     95      6   9/1/2005   7/1/2006   8/1/2035  1,070.09   6/1/2006  214,017.00
 54814793  Investor   SFR             360      352  89.99    6.5  12/1/2005   7/1/2006  11/1/2035    920.56   6/1/2006  170,000.00
 54952734  Primary    Condo - Low     360      348   51.2      6   8/1/2005   7/1/2006   7/1/2035    524.37   6/1/2006  104,900.00
 55097901  Primary    Condo - Low     360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035    861.48   6/1/2006  162,160.00
 55111207  Primary    SFR             360      348     95      6   8/1/2005   7/1/2006   7/1/2035  1,035.02   6/1/2006  207,005.00
 56694581  Investor   SFR             360      352     85  6.125  12/1/2005   7/1/2006  11/1/2035    573.34   6/1/2006  112,327.00
 56789605  Primary    Condo - Low     360      348  94.99      6   8/1/2005   8/1/2006   7/1/2035  1,401.10   7/1/2006  280,220.50
 56894108  Secondary  SFR             360      348     90      6   8/1/2005   7/1/2006   7/1/2035  1,138.50   6/1/2006  227,700.00
 56945348  Secondary  SFR             360      350     90      6  10/1/2005   7/1/2006   9/1/2035  1,660.50   6/1/2006  332,100.00
 56960404  Primary    SFR             360      349  68.97      6   9/1/2005   7/1/2006   8/1/2035  1,000.00   6/1/2006  200,000.00
 57555419  Primary    SFR             360      351  79.92      6  11/1/2005   7/1/2006  10/1/2035  1,798.25   6/1/2006  359,650.00
 57817348  Primary    SFR             360      349     80      6   9/1/2005   7/1/2006   8/1/2035       530   6/1/2006  106,000.00
 57860454  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035     963.8   6/1/2006  192,760.00
 57874687  Investor   SFR             360      350  79.48      6  10/1/2005   7/1/2006   9/1/2035    724.72   6/1/2006  146,250.00
 57947137  Primary    SFR             360      354     80  6.125   2/1/2006   8/1/2006   1/1/2036    856.97   7/1/2006  168,000.00
 57951568  Investor   3-Family        360      350     90      6  10/1/2005   7/1/2006   9/1/2035     697.5   6/1/2006  139,500.00
 58012154  Investor   SFR             360      355   89.6  6.125   3/1/2006   8/1/2006   2/1/2036    571.53   7/1/2006  112,000.00
 58023813  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035    791.67   6/1/2006  152,000.00
 58080821  Primary    SFR             360      352  88.18      6  12/1/2005   7/1/2006  11/1/2035  1,455.00   6/1/2006  291,000.00
 58121385  Primary    Condo - Low     360      350  79.98      6  10/1/2005   7/1/2006   9/1/2035  1,331.25   6/1/2006  266,250.00
 58161589  Primary    SFR             360      350     95      6  10/1/2005   7/1/2006   9/1/2035    933.36   6/1/2006  186,675.00
 58186883  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,138.00   6/1/2006  227,600.00
 58206111  Investor   SFR             360      351     90  6.375  11/1/2005   8/1/2006  10/1/2035  1,051.88   7/1/2006  198,000.00
 58207754  Primary    Condo - Low     360      350   79.6  6.125  10/1/2005  10/1/2006   9/1/2035    566.71   9/1/2006  111,200.00
 58214792  Primary    Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035    816.26   7/1/2006  159,920.00
 58228446  Primary    Condo - Low     360      350  78.72      6  10/1/2005   7/1/2006   9/1/2035    738.58   6/1/2006  148,000.00
 58291972  Primary    SFR             360      350  79.04  6.125  10/1/2005   7/1/2006   9/1/2035    962.11   6/1/2006  188,500.00
 58367988  Investor   SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       760   6/1/2006  152,000.00
 58460072  Primary    SFR             360      351     95   6.25  11/1/2005   7/1/2006  10/1/2035    791.61   6/1/2006  151,990.00
 58638628  Investor   SFR             360      352     90      6  12/1/2005   7/1/2006  11/1/2035     696.8   6/1/2006  139,500.00
 58695529  Primary    Condo - Low     360      351     80      6  11/1/2005   7/1/2006  10/1/2035     419.6   6/1/2006   83,920.00
 58700626  Primary    Condo - Low     360      353     95      6   1/1/2006   8/1/2006  12/1/2035    693.23   7/1/2006  138,646.00
 58722968  Primary    SFR             360      351     95      6  11/1/2005   7/1/2006  10/1/2035  1,072.50   6/1/2006  214,700.00
 58725839  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,260.00   6/1/2006  252,000.00
 58747858  Secondary  SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035    860.54   6/1/2006  168,596.00
 58748393  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035    975.92   6/1/2006  191,200.00
 58776311  Primary    SFR             360      351     80      6  11/1/2005   9/1/2006  10/1/2035       772   8/1/2006  154,400.00
 58780396  Secondary  Condo - Low     360      351     90      6  11/1/2005   7/1/2006  10/1/2035    663.71   6/1/2006  132,741.00
 58843392  Primary    Condo - High    360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,361.79   6/1/2006  266,800.00
 58867987  Primary    SFR             360      353  64.21      6   1/1/2006   7/1/2006  12/1/2035  1,219.99   6/1/2006  244,000.00
 58868209  Primary    Condo - Low     360      351     80      6  11/1/2005   7/1/2006  10/1/2035       356   6/1/2006   71,200.00
 58869983  Secondary  SFR             360      351  88.89      6  11/1/2005   8/1/2006  10/1/2035     479.9   7/1/2006   96,000.00
 58887878  Secondary  Condo - Low     360      351  64.96      6  11/1/2005   7/1/2006  10/1/2035       380   6/1/2006   76,000.00
 58911538  Secondary  Condo - High    360      358  79.82   6.25   6/1/2006   8/1/2006   5/1/2036  2,041.15   7/1/2006  391,900.00
 58937152  Investor   SFR             360      352     90      6  12/1/2005   7/1/2006  11/1/2035    517.11   6/1/2006  103,500.00
 58967241  Primary    SFR             360      351     80  6.125  11/1/2005   8/1/2006  10/1/2035    714.58   7/1/2006  140,000.00
 58983412  Primary    SFR             360      352     95      6  12/1/2005   8/1/2006  11/1/2035  1,087.80   7/1/2006  217,559.00
 58991571  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,856.00   6/1/2006  371,200.00
 59007849  Investor   SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,080.00   6/1/2006  216,000.00
 59019596  Secondary  Condo - Low     360      352     90      6  12/1/2005   7/1/2006  11/1/2035    835.79   6/1/2006  167,157.00
 59036848  Primary    SFR             360      351  77.19  6.375  11/1/2005   7/1/2006  10/1/2035    701.25   6/1/2006  132,000.00
 59054361  Primary    SFR             360      350     80   6.25  10/1/2005   7/1/2006   9/1/2035    888.29   6/1/2006  170,552.00
 59068288  Primary    Condo - Low     360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035    745.83   6/1/2006  143,200.00
 59161489  Primary    Condo - Low     360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035    394.87   6/1/2006   76,117.00
 59161679  Primary    SFR             360      351  73.67      6  11/1/2005   8/1/2006  10/1/2035  1,376.75   7/1/2006  276,250.00
 59192286  Secondary  Condo - High    360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  2,566.31   6/1/2006  416,800.00
 59263368  Primary    Condo - Low     360      351     95      6  11/1/2005   7/1/2006  10/1/2035    921.46   6/1/2006  184,291.00
 59299651  Investor   2-Family        360      351     90   6.25  11/1/2005   7/1/2006  10/1/2035  1,031.25   6/1/2006  198,000.00
 59454504  Secondary  SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035  1,749.56   6/1/2006  350,000.00
 59458265  Primary    SFR             360      352  89.91  6.125  12/1/2005   7/1/2006  11/1/2035  1,835.71   6/1/2006  359,650.00
 59494161  Primary    SFR             360      352   79.9      6  12/1/2005   7/1/2006  11/1/2035  1,863.25   6/1/2006  372,800.00
 59532606  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,489.90   6/1/2006  292,000.00
 59573196  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035    946.36   6/1/2006  189,272.00
 59718262  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,520.00   6/1/2006  304,000.00
 59743849  Primary    SFR             360      352     90    6.5  12/1/2005   7/1/2006  11/1/2035  2,224.90   6/1/2006  410,750.00
 59838474  Investor   SFR             360      354     90   6.25   2/1/2006   8/1/2006   1/1/2036  1,384.54   7/1/2006  265,900.00
 59850065  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,653.88   6/1/2006  330,783.00
 59851725  Secondary  Condo - Low     360      354     90      6   2/1/2006   7/1/2006   1/1/2036    899.55   6/1/2006  179,910.00
 59869248  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,556.77   6/1/2006  312,000.00
 59884775  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035       780   7/1/2006  156,000.00
 59914549  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  2,148.98   7/1/2006  412,778.00
 59917088  Secondary  Condo - High    360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,440.00   7/1/2006  288,000.00
 59957803  Investor   SFR             360      352     90  6.125  12/1/2005   7/1/2006  11/1/2035    403.79   6/1/2006   79,110.00
 59964551  Secondary  Condo - Low     360      353     95   6.25   1/1/2006   7/1/2006  12/1/2035  1,110.76   6/1/2006  213,265.00
 59969659  Investor   SFR             360      352     90  6.125  12/1/2005   8/1/2006  11/1/2035       402   7/1/2006   79,110.00
 60009388  Primary    Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035    840.81   6/1/2006  164,729.60
 60036324  Primary    Condo - Low     360      353     90   6.25   1/1/2006   8/1/2006  12/1/2035    679.22   7/1/2006  130,410.00
 60113651  Secondary  Condo - Low     360      353     95      6   1/1/2006   7/1/2006  12/1/2035    759.53   6/1/2006  151,905.00
 60148244  Investor   SFR             360      352     85   6.25  12/1/2005   7/1/2006  11/1/2035     376.3   6/1/2006   72,250.00
 60167525  Secondary  Condo - Low     360      354     90      6   2/1/2006   8/1/2006   1/1/2036  1,048.05   7/1/2006  209,610.00
 60169265  Investor   4-Family        360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,875.00   6/1/2006  360,000.00
 60172517  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035    725.42   6/1/2006  145,120.00
 60200623  Primary    Condo - Low     360      351     80   6.25  11/1/2005   8/1/2006  10/1/2035     679.1   7/1/2006  130,400.00
 60215803  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,097.61   6/1/2006  220,000.00
 60222288  Primary    Condo - Low     360      353     95    6.5   1/1/2006   7/1/2006  12/1/2035  1,064.97   6/1/2006  196,610.00
 60248473  Primary    SFR             360      352  79.19      6  12/1/2005   8/1/2006  11/1/2035  1,523.60   7/1/2006  392,000.00
 60251113  Secondary  SFR             360      353     75   6.25   1/1/2006   8/1/2006  12/1/2035    602.86   7/1/2006  119,250.00
 60268521  Primary    SFR             360      352     95      6  12/1/2005   7/1/2006  11/1/2035    848.83   6/1/2006  169,765.00
 60270865  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,008.00   6/1/2006  201,600.00
 60271418  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035       720   6/1/2006  144,000.00
 60293446  Secondary  Condo - Low     360      353     95    6.5   1/1/2006   7/1/2006  12/1/2035  1,069.82   6/1/2006  197,505.00
 60336203  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035     358.8   6/1/2006   71,760.00
 60348133  Secondary  Condo - Low     360      354     95  6.125   2/1/2006   7/1/2006   1/1/2036    698.02   6/1/2006  136,790.00
 60388576  Primary    Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,122.92   7/1/2006  220,000.00
 60389178  Primary    SFR             360      353     80  6.375   1/1/2006   8/1/2006  12/1/2035       680   7/1/2006  128,000.00
 60468998  Secondary  SFR             360      352  67.74      6  12/1/2005   7/1/2006  11/1/2035  1,259.06   6/1/2006  210,000.00
 60483914  Primary    Condo - Low     360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035    763.87   7/1/2006  146,664.00
 60575222  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035    691.25   6/1/2006  132,720.00
 60580818  Primary    Condo - High    360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036    908.33   6/1/2006  174,400.00
 60586138  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035       780   6/1/2006  156,000.00
 60627866  Secondary  SFR             360      354     95  6.125   2/1/2006   7/1/2006   1/1/2036  1,214.50   6/1/2006  237,942.00
 60638392  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,900.00   6/1/2006  380,000.00
 60639275  Investor   SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  2,000.00   6/1/2006  384,000.00
 60644218  Secondary  Condo - Low     360      353     95      6   1/1/2006   8/1/2006  12/1/2035  1,320.97   7/1/2006  264,194.00
 60673795  Secondary  SFR             360      354     95  6.125   2/1/2006   7/1/2006   1/1/2036  1,209.79   6/1/2006  237,021.00
 60682051  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,173.45   6/1/2006  229,900.00
 60682564  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,071.88   6/1/2006  210,000.00
 60690641  Primary    SFR             360      354  77.57      6   2/1/2006   7/1/2006   1/1/2036  2,075.00   6/1/2006  415,000.00
 60699428  Investor   2-Family        360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  1,629.33   6/1/2006  300,800.00
 60700911  Primary    Condo - High    360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035  2,018.95   6/1/2006  395,550.00
 60725819  Secondary  SFR             360      353     90   6.25   1/1/2006   8/1/2006  12/1/2035    640.89   7/1/2006  123,050.00
 60739521  Primary    SFR             360      354  68.63      6   2/1/2006   7/1/2006   1/1/2036       875   6/1/2006  175,000.00
 60744794  Primary    SFR             360      353   72.5      6   1/1/2006   7/1/2006  12/1/2035  1,450.00   6/1/2006  290,000.00
 60746294  Secondary  Condo - Low     360      354     95    6.5   2/1/2006   7/1/2006   1/1/2036    622.59   6/1/2006  114,940.00
 60746658  Primary    SFR             360      353     90      6   1/1/2006   7/1/2006  12/1/2035  1,299.91   6/1/2006  261,981.00
 60756558  Primary    SFR             360      353   74.5      6   1/1/2006   7/1/2006  12/1/2035       840   6/1/2006  168,000.00
 60761202  Primary    SFR             360      353  72.73  6.125   1/1/2006   7/1/2006  12/1/2035  1,225.00   6/1/2006  240,000.00
 60807419  Primary    Condo - High    360      354     95  6.125   2/1/2006   7/1/2006   1/1/2036  1,430.44   6/1/2006  280,250.00
 60820263  Primary    SFR             360      353  60.42      6   1/1/2006   8/1/2006  12/1/2035  1,214.50   7/1/2006  242,900.00
 60862281  Primary    Condo - Low     360      354     95      6   2/1/2006   7/1/2006   1/1/2036  1,617.02   6/1/2006  269,705.00
 60867777  Primary    SFR             360      354  79.79      6   2/1/2006   8/1/2006   1/1/2036  1,492.96   7/1/2006  298,592.00
 60867801  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,147.71   6/1/2006  229,600.00
 60873114  Secondary  Condo - Low     360      353     95  6.125   1/1/2006   7/1/2006  12/1/2035    533.39   6/1/2006  104,500.00
 60896248  Secondary  SFR             360      353     95  6.125   1/1/2006   7/1/2006  12/1/2035  1,454.69   6/1/2006  285,000.00
 60918877  Primary    SFR             360      353  58.83  6.375   1/1/2006   8/1/2006  12/1/2035  1,116.05   7/1/2006  211,789.00
 60935343  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035       824   6/1/2006  164,800.00
 60937869  Primary    Condo - Low     360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036    739.08   6/1/2006  139,120.00
 60939634  Primary    SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035    645.67   6/1/2006  119,200.00
 60941705  Primary    Condo - High    360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,022.00   7/1/2006  204,400.00
 60948718  Investor   SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,312.50   6/1/2006  252,000.00
 60994837  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,385.16   6/1/2006  261,600.00
 60995628  Primary    Condo - Low     360      354  89.89  6.125   2/1/2006   7/1/2006   1/1/2036    919.72   6/1/2006  180,191.00
 60997558  Investor   4-Family        360      353     90    6.5   1/1/2006   7/1/2006  12/1/2035  1,584.38   6/1/2006  292,500.00
 61002853  Investor   SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035    810.33   6/1/2006  149,600.00
 61016432  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,063.08   6/1/2006  204,112.00
 61023503  Investor   4-Family        360      353     75    6.5   1/1/2006   8/1/2006  12/1/2035  1,929.69   7/1/2006  356,250.00
 61025367  Primary    SFR             360      354  94.95      6   2/1/2006   7/1/2006   1/1/2036  1,175.00   6/1/2006  235,000.00
 61037123  Investor   SFR             360      353     90    6.5   1/1/2006   7/1/2006  12/1/2035  1,302.71   6/1/2006  240,714.00
 61042644  Primary    SFR             360      353   79.1      6   1/1/2006   8/1/2006  12/1/2035       790   7/1/2006  158,200.00
 61062089  Secondary  Condo - Low     360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035    941.72   6/1/2006  184,500.00
 61089371  Investor   SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036       735   6/1/2006  144,000.00
 61114112  Primary    Condo - Low     360      353     95  6.125   1/1/2006   8/1/2006  12/1/2035    683.22   7/1/2006  133,855.00
 61127031  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,499.60   6/1/2006  299,920.00
 61132577  Primary    Condo - Low     360      353     80  6.625   1/1/2006   7/1/2006  12/1/2035    516.71   6/1/2006   93,592.00
 61133575  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,438.14   6/1/2006  288,000.00
 61138434  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,190.00   6/1/2006  224,000.00
 61157723  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,060.52   6/1/2006  203,920.00
 61164653  Primary    Condo - Low     360      353  83.37  6.125   1/1/2006   7/1/2006  12/1/2035    706.42   6/1/2006  138,400.00
 61175691  Primary    SFR             360      354  75.64      6   2/1/2006   7/1/2006   1/1/2036    884.78   6/1/2006  177,000.00
 61183349  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,122.49   6/1/2006  215,656.00
 61187217  Secondary  Condo - Low     360      353     95  6.625   1/1/2006   7/1/2006  12/1/2035    865.39   6/1/2006  156,750.00
 61191938  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  2,123.33   6/1/2006  416,000.00
 61192779  Investor   SFR             360      354  71.86   6.25   2/1/2006   8/1/2006   1/1/2036       625   7/1/2006  120,000.00
 61218418  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035    881.59   7/1/2006  172,720.00
 61228755  Secondary  Condo - Low     360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035     835.6   6/1/2006  163,710.00
 61239489  Secondary  SFR             360      353     95      6   1/1/2006   7/1/2006  12/1/2035  1,567.50   6/1/2006  313,500.00
 61252789  Investor   SFR             360      355     90  6.625   3/1/2006   7/1/2006   2/1/2036    491.91   6/1/2006   89,100.00
 61258489  Secondary  SFR             360      353     75   6.75   1/1/2006   7/1/2006  12/1/2035    248.09   6/1/2006   38,250.00
 61262564  Secondary  SFR             360      353  64.21      6   1/1/2006   7/1/2006  12/1/2035  1,219.63   6/1/2006  244,000.00
 61277521  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,735.42   6/1/2006  340,000.00
 61289435  Primary    Condo - Low     360      354  73.47   6.25   2/1/2006   7/1/2006   1/1/2036  1,875.00   6/1/2006  360,000.00
 61293551  Investor   SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035       840   6/1/2006  168,000.00
 61298832  Primary    Condo - Low     360      353  79.25  6.375   1/1/2006   7/1/2006  12/1/2035    677.69   6/1/2006  127,600.00
 61370599  Primary    SFR             360      354  30.77      6   2/1/2006   7/1/2006   1/1/2036  1,798.65   6/1/2006  300,000.00
 61379202  Primary    SFR             360      354     80  6.375   2/1/2006   8/1/2006   1/1/2036  1,338.75   7/1/2006  252,000.00
 61386256  Investor   SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035    998.75   6/1/2006  188,000.00
 61409082  Secondary  SFR             360      355  84.98  6.125   3/1/2006   7/1/2006   2/1/2036  1,270.94   6/1/2006  249,000.00
 61420881  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,255.75   6/1/2006  246,024.00
 61427803  Secondary  SFR             360      354     85      6   2/1/2006   7/1/2006   1/1/2036  1,358.00   6/1/2006  272,000.00
123720344  Primary    Condo - Low     360      318     95  6.125   2/1/2003   7/1/2006   1/1/2033  2,335.29   6/1/2006  384,339.00
125041392  Secondary  SFR             360      317  75.41      6   1/1/2003   7/1/2006  12/1/2032    418.23   6/1/2006   85,209.00
137001335  Primary    Condo - Low     360      336     95   6.25   8/1/2004   7/1/2006   7/1/2034    691.22   6/1/2006  132,715.00
138096532  Secondary  SFR             360      336     95  6.125   8/1/2004   8/1/2006   7/1/2034    765.43   7/1/2006  150,100.00
138508387  Primary    SFR             360      337     80      6   9/1/2004   9/1/2006   8/1/2034  1,951.04   8/1/2006  392,000.00
138521489  Primary    SFR             360      337  84.99      6   9/1/2004   7/1/2006   8/1/2034  1,352.52   6/1/2006  270,650.00
141076463  Primary    SFR             360      345     95      6   5/1/2005   7/1/2006   4/1/2035  1,092.01   6/1/2006  218,405.00
141497826  Primary    Condo - Low     360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,255.63   6/1/2006  251,440.00
143117612  Secondary  Condo - High    360      345  59.17      6   5/1/2005   7/1/2006   4/1/2035       999   6/1/2006  200,000.00
143228773  Primary    SFR             360      346  67.18      6   6/1/2005   7/1/2006   5/1/2035  1,975.00   6/1/2006  395,000.00
143507937  Primary    SFR             360      345  71.43  6.125   5/1/2005   7/1/2006   4/1/2035    510.42   6/1/2006  100,000.00
143574572  Primary    SFR             360      345  62.76      6   5/1/2005   7/1/2006   4/1/2035     606.3   6/1/2006  123,000.00
143618163  Primary    SFR             360      348     90  6.375   8/1/2005   7/1/2006   7/1/2035    645.34   6/1/2006  121,500.00
143650018  Primary    Condo - Low     360      346  83.52      6   6/1/2005   8/1/2006   5/1/2035  1,895.50   7/1/2006  380,000.00
143667731  Secondary  SFR             360      346  62.28      6   6/1/2005   7/1/2006   5/1/2035  1,773.33   6/1/2006  355,000.00
143672129  Primary    SFR             360      346     80  6.125   6/1/2005   8/1/2006   5/1/2035    724.79   7/1/2006  142,000.00
143689214  Primary    Condo - Low     360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,012.00   6/1/2006  202,400.00
143699528  Primary    Condo - Low     360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,560.00   6/1/2006  312,000.00
143733301  Primary    SFR             360      346     90  6.125   6/1/2005   7/1/2006   5/1/2035  1,111.85   6/1/2006  217,830.00
143750453  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035  1,044.27   6/1/2006  209,063.00
143756237  Primary    Condo - Low     360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,500.00   6/1/2006  300,000.00
143793925  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,680.00   6/1/2006  336,000.00
143820801  Primary    SFR             360      346  73.15  6.125   6/1/2005   7/1/2006   5/1/2035  2,005.93   6/1/2006  395,000.00
143829208  Primary    SFR             360      347     80  6.125   7/1/2005   7/1/2006   6/1/2035  1,216.83   6/1/2006  238,400.00
143858793  Primary    SFR             360      346  58.81      6   6/1/2005   7/1/2006   5/1/2035  2,302.27   6/1/2006  384,000.00
143890705  Primary    Condo - Low     360      347  89.57      6   7/1/2005   7/1/2006   6/1/2035       537   6/1/2006  107,400.00
143931095  Primary    Condo - Low     360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,356.31   6/1/2006  272,000.00
143935625  Primary    Condo - Low     360      347     80      6   7/1/2005   7/1/2006   6/1/2035  1,340.00   6/1/2006  268,000.00
143938553  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035  1,099.60   6/1/2006  219,920.00
143946259  Primary    Cooperative     360      347     90      6   7/1/2005   7/1/2006   6/1/2035     697.5   6/1/2006  139,500.00
143962835  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035       700   6/1/2006  140,000.00
143965754  Primary    SFR             360      348  79.37      6   8/1/2005   7/1/2006   7/1/2035  1,000.00   6/1/2006  200,000.00
143986578  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035     501.5   6/1/2006  200,800.00
143987246  Primary    Condo - Low     360      346  76.65  6.125   6/1/2005   7/1/2006   5/1/2035  1,424.06   6/1/2006  279,000.00
144026382  Primary    SFR             360      346  86.21      6   6/1/2005   7/1/2006   5/1/2035  1,250.00   6/1/2006  250,000.00
144046687  Primary    SFR             360      346     80  6.125   6/1/2005   7/1/2006   5/1/2035  1,562.82   6/1/2006  306,185.00
144049301  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035  1,140.00   6/1/2006  228,000.00
144066727  Primary    SFR             360      346  89.77      6   6/1/2005   7/1/2006   5/1/2035  1,535.00   6/1/2006  307,000.00
144076528  Secondary  Condo - Low     360      346     75      6   6/1/2005   7/1/2006   5/1/2035  1,701.87   6/1/2006  340,373.00
144272721  Primary    SFR             360      347  79.63      6   7/1/2005   7/1/2006   6/1/2035    364.61   6/1/2006   73,000.00
144311255  Primary    SFR             360      347  79.95      6   7/1/2005   7/1/2006   6/1/2035     795.5   6/1/2006  159,100.00
144385093  Primary    PUD Detached    360      347     80  6.125   7/1/2005   8/1/2006   6/1/2035    829.45   7/1/2006  162,504.00
144710886  Primary    SFR             360      348     80      6   8/1/2005   8/1/2006   7/1/2035       880   7/1/2006  176,000.00
144756368  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035    799.65   6/1/2006  160,000.00
144786233  Secondary  SFR             360      348     90      6   8/1/2005   7/1/2006   7/1/2035  1,041.75   6/1/2006  208,350.00
144851912  Primary    SFR             360      348  79.13      6   8/1/2005   7/1/2006   7/1/2035       907   6/1/2006  182,000.00
144880937  Investor   SFR             360      350     90      6  10/1/2005   8/1/2006   9/1/2035    993.38   7/1/2006  276,739.00
144897204  Primary    Condo - Low     360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,280.00   7/1/2006  256,000.00
145018453  Primary    SFR             360      349  94.17      6   9/1/2005   7/1/2006   8/1/2035  2,326.26   6/1/2006  388,000.00
145018743  Primary    SFR             360      348  62.64      6   8/1/2005   7/1/2006   7/1/2035  1,400.00   6/1/2006  280,000.00
145279592  Primary    Condo - Low     360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  2,182.74   6/1/2006  402,967.00
145461323  Primary    SFR             360      349     80      6   9/1/2005   7/1/2006   8/1/2035       916   6/1/2006  183,200.00
145733267  Primary    SFR             360      349     80      6   9/1/2005   8/1/2006   8/1/2035       548   7/1/2006  109,600.00
145777108  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       644   6/1/2006  128,800.00
145813168  Investor   SFR             360      350  88.38  6.125  10/1/2005   7/1/2006   9/1/2035  1,037.54   6/1/2006  203,274.00
145890117  Investor   SFR             360      350   77.5   6.25  10/1/2005   7/1/2006   9/1/2035  1,291.48   6/1/2006  248,000.00
146000294  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,649.91   6/1/2006  324,000.00
146066667  Primary    SFR             360      349  87.42   6.25   9/1/2005   8/1/2006   8/1/2035  1,502.12   7/1/2006  288,500.00
146083779  Primary    SFR             360      349     80  6.125   9/1/2005   7/1/2006   8/1/2035    795.84   6/1/2006  155,920.00
146301957  Primary    SFR             360      349     80    6.5   9/1/2005   7/1/2006   8/1/2035  1,204.66   6/1/2006  222,400.00
146336045  Primary    Condo - High    360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  1,510.83   6/1/2006  296,000.00
146381884  Primary    Condo - Low     360      351  94.82  6.125  11/1/2005   7/1/2006  10/1/2035  1,857.66   6/1/2006  366,000.00
146392873  Primary    2-Family        360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,524.00   6/1/2006  304,800.00
146400841  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,434.53   6/1/2006  275,430.00
146414149  Investor   SFR             360      349     75  6.125   9/1/2005   7/1/2006   8/1/2035  1,569.53   6/1/2006  307,500.00
146429576  Primary    SFR             360      350  93.83   6.25  10/1/2005   7/1/2006   9/1/2035  1,979.17   6/1/2006  380,000.00
146505813  Secondary  SFR             360      351     75  6.125  11/1/2005   8/1/2006  10/1/2035  1,913.55   7/1/2006  375,000.00
146508262  Primary    SFR             360      350     64      6  10/1/2005   7/1/2006   9/1/2035  1,600.00   6/1/2006  320,000.00
146540919  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       904   6/1/2006  180,800.00
146543335  Investor   SFR             360      350     80      6  10/1/2005   8/1/2006   9/1/2035     918.6   7/1/2006  183,720.00
146550975  Primary    SFR             360      350  78.84      6  10/1/2005   7/1/2006   9/1/2035  1,565.00   6/1/2006  313,000.00
146574272  Investor   SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       960   6/1/2006  192,000.00
146593975  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035     979.9   6/1/2006  196,000.00
146610837  Primary    SFR             360      350  79.55      6  10/1/2005   7/1/2006   9/1/2035       875   6/1/2006  175,000.00
146634043  Secondary  Condo - Low     360      351     58      6  11/1/2005   8/1/2006  10/1/2035  1,044.00   7/1/2006  208,800.00
146636196  Primary    SFR             360      351  21.88      6  11/1/2005   7/1/2006  10/1/2035    347.83   6/1/2006   70,000.00
146649587  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035       940   6/1/2006  188,000.00
146681242  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,079.92   6/1/2006  216,000.00
146718044  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035    836.21   6/1/2006  167,242.00
146735469  Secondary  Condo - Low     360      350     75  6.625  10/1/2005   7/1/2006   9/1/2035    822.07   6/1/2006  149,250.00
146749577  Primary    SFR             360      350  84.75   6.25  10/1/2005   7/1/2006   9/1/2035  1,040.72   6/1/2006  200,000.00
146766332  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035     938.6   6/1/2006  184,000.00
146775259  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,557.50   6/1/2006  312,000.00
146778485  Primary    SFR             360      350     90  6.125  10/1/2005   7/1/2006   9/1/2035  2,067.19   6/1/2006  405,000.00
146780341  Primary    SFR             360      350  94.99      6  10/1/2005   7/1/2006   9/1/2035  1,337.89   6/1/2006  267,850.00
146783824  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,592.00   6/1/2006  318,400.00
146798178  Secondary  SFR             360      350     75      6  10/1/2005   8/1/2006   9/1/2035  1,567.82   7/1/2006  341,250.00
146798863  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035    875.31   6/1/2006  175,200.00
146803697  Primary    Condo - Low     360      350     80      6  10/1/2005   8/1/2006   9/1/2035  1,420.00   7/1/2006  284,000.00
146814199  Secondary  SFR             360      351  94.97  6.125  11/1/2005   7/1/2006  10/1/2035  1,626.03   6/1/2006  318,620.00
146816483  Primary    SFR             360      350  53.06      6  10/1/2005   7/1/2006   9/1/2035  1,950.00   6/1/2006  390,000.00
146825237  Secondary  SFR             360      350     95  6.125  10/1/2005   7/1/2006   9/1/2035    982.64   6/1/2006  192,850.00
146865043  Primary    Condo - Low     360      353     95  6.125   1/1/2006   7/1/2006  12/1/2035  1,471.94   6/1/2006  242,250.00
146880505  Primary    SFR             360      350  76.97      6  10/1/2005   7/1/2006   9/1/2035  1,270.00   6/1/2006  254,000.00
146896816  Primary    Condo - Low     360      352     95   6.25  12/1/2005   7/1/2006  11/1/2035    777.72   6/1/2006  149,330.00
146914122  Primary    SFR             360      350     80   6.25  10/1/2005   7/1/2006   9/1/2035  1,458.33   6/1/2006  280,000.00
146917596  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035    869.69   6/1/2006  173,938.00
146925656  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,132.00   6/1/2006  226,400.00
146932439  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,726.37   7/1/2006  338,227.00
146936067  Primary    Condo - Low     360      350  73.14      6  10/1/2005   7/1/2006   9/1/2035  1,525.00   6/1/2006  305,000.00
146939996  Primary    Condo - Low     360      352     95      6  12/1/2005   7/1/2006  11/1/2035  1,312.41   6/1/2006  263,150.00
146950472  Primary    SFR             360      351  89.41  6.125  11/1/2005   8/1/2006  10/1/2035  1,401.03   7/1/2006  274,500.00
146952734  Primary    Condo - Low     360      351  79.99  6.125  11/1/2005   7/1/2006  10/1/2035  1,412.50   6/1/2006  277,500.00
146966833  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035    802.11   6/1/2006  157,148.00
147004899  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,939.58   6/1/2006  380,000.00
147007074  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,400.00   6/1/2006  280,000.00
147013619  Primary    Condo - Low     360      351  57.89  6.375  11/1/2005   7/1/2006  10/1/2035    584.12   6/1/2006  110,000.00
147029763  Secondary  Condo - Low     360      350     75      6  10/1/2005   7/1/2006   9/1/2035  1,518.75   6/1/2006  303,750.00
147038566  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,112.16   6/1/2006  222,432.00
147056204  Primary    SFR             360      350     95      6  10/1/2005   7/1/2006   9/1/2035    946.73   6/1/2006  189,490.00
147065916  Investor   SFR             360      352  74.91   6.25  12/1/2005   8/1/2006  11/1/2035  1,095.31   7/1/2006  210,500.00
147102032  Primary    PUD Detached    360      350     80   6.25  10/1/2005   7/1/2006   9/1/2035  1,354.17   6/1/2006  260,000.00
147126783  Primary    SFR             360      350     70  6.125  10/1/2005   7/1/2006   9/1/2035  1,696.68   6/1/2006  332,500.00
147126874  Investor   SFR             360      351     65      6  11/1/2005   7/1/2006  10/1/2035  1,690.00   6/1/2006  338,000.00
147130488  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035       464   6/1/2006   92,800.00
147152698  Investor   SFR             360      351  71.62      6  11/1/2005   7/1/2006  10/1/2035       419   6/1/2006   83,800.00
147156921  Primary    SFR             360      351  74.36      6  11/1/2005   8/1/2006  10/1/2035  1,449.78   7/1/2006  290,000.00
147192025  Primary    Condo - Low     360      351  79.94      6  11/1/2005   7/1/2006  10/1/2035  1,435.00   6/1/2006  287,000.00
147198188  Primary    SFR             360      350     95  6.125  10/1/2005   7/1/2006   9/1/2035    954.57   6/1/2006  187,017.00
147245914  Primary    SFR             360      351  83.67      6  11/1/2005   7/1/2006  10/1/2035  1,250.02   6/1/2006  251,000.00
147247589  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,352.00   6/1/2006  270,400.00
147251383  Secondary  Condo - Low     360      350     75      6  10/1/2005   7/1/2006   9/1/2035  1,821.79   6/1/2006  367,500.00
147264972  Primary    Condo - Low     360      351  73.33      6  11/1/2005   7/1/2006  10/1/2035  1,650.00   6/1/2006  330,000.00
147287171  Primary    SFR             360      351  91.07  6.125  11/1/2005   7/1/2006  10/1/2035  1,122.66   6/1/2006  219,950.00
147294425  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,012.16   6/1/2006  202,434.00
147298012  Primary    SFR             360      351  79.91      6  11/1/2005   7/1/2006  10/1/2035  1,605.56   6/1/2006  322,040.00
147304604  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,520.00   6/1/2006  304,000.00
147320915  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  2,077.75   6/1/2006  407,200.00
147343024  Investor   PUD Detached    360      351  79.99  6.125  11/1/2005   7/1/2006  10/1/2035    566.82   6/1/2006  111,050.00
147354567  Investor   SFR             360      351     80  6.375  11/1/2005   8/1/2006  10/1/2035    752.25   7/1/2006  141,600.00
147376016  Primary    SFR             360      351  79.12  6.125  11/1/2005   7/1/2006  10/1/2035  1,070.83   6/1/2006  210,461.00
147384408  Primary    SFR             360      352     90      6  12/1/2005   7/1/2006  11/1/2035  1,462.50   6/1/2006  292,500.00
147386122  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,358.50   6/1/2006  272,000.00
147387625  Primary    Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,833.42   6/1/2006  359,200.00
147409064  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035  1,697.50   6/1/2006  339,500.00
147417786  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,160.00   6/1/2006  232,000.00
147435986  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,490.42   6/1/2006  292,000.00
147511307  Investor   4-Family        360      351  50.63      6  11/1/2005   7/1/2006  10/1/2035  1,405.00   6/1/2006  281,000.00
147742191  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,719.57   6/1/2006  344,000.00
147778609  Secondary  Condo - Low     360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035    886.13   6/1/2006  173,610.00
147786453  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,039.79   6/1/2006  208,000.00
147817068  Primary    SFR             360      352  88.85   6.25  12/1/2005   7/1/2006  11/1/2035  1,203.12   6/1/2006  231,000.00
147821706  Investor   SFR             360      352  79.01      6  12/1/2005   8/1/2006  11/1/2035     959.2   7/1/2006  192,000.00
147859094  Primary    SFR             360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035  1,919.17   7/1/2006  376,000.00
147879514  Primary    Condo - Low     360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035  1,952.34   6/1/2006  382,500.00
147894224  Secondary  Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,860.00   6/1/2006  372,000.00
147900898  Primary    Condo - Low     360      352     95      6  12/1/2005   7/1/2006  11/1/2035  1,281.70   6/1/2006  256,405.00
147913172  Investor   PUD Detached    360      351     90    6.5  11/1/2005   8/1/2006  10/1/2035    682.11   7/1/2006  127,057.00
147934541  Primary    SFR             360      352  74.47      6  12/1/2005   7/1/2006  11/1/2035       875   6/1/2006  175,000.00
147943112  Primary    PUD Detached    360      351     95      6  11/1/2005   8/1/2006  10/1/2035    753.28   7/1/2006  150,655.00
147955801  Investor   PUD Detached    360      352     90  6.125  12/1/2005   7/1/2006  11/1/2035    712.03   6/1/2006  139,500.00
147956569  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,343.80   6/1/2006  268,760.00
147973291  Secondary  Condo - Low     360      352     95      6  12/1/2005   7/1/2006  11/1/2035    697.78   6/1/2006  139,555.00
147983852  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,286.25   7/1/2006  252,000.00
148013816  Investor   PUD Detached    360      351     90      6  11/1/2005   7/1/2006  10/1/2035    433.35   6/1/2006   86,670.00
148028376  Primary    SFR             360      353     95  6.375   1/1/2006   8/1/2006  12/1/2035  1,100.22   7/1/2006  207,100.00
148028871  Secondary  SFR             360      352  79.99  6.375  12/1/2005   7/1/2006  11/1/2035    608.55   6/1/2006  114,550.00
148034739  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,592.50   6/1/2006  312,000.00
148046287  Investor   PUD Detached    360      351     90    6.5  11/1/2005   7/1/2006  10/1/2035    684.94   6/1/2006  126,450.00
148060627  Primary    Condo - Low     360      352     80      6  12/1/2005   8/1/2006  11/1/2035  1,940.00   7/1/2006  388,000.00
148079072  Primary    Condo - Low     360      355  94.93  6.375   3/1/2006   7/1/2006   2/1/2036  1,549.39   6/1/2006  291,650.00
148111867  Primary    Condo - Low     360      353  72.77      6   1/1/2006   7/1/2006  12/1/2035  1,182.50   6/1/2006  236,500.00
148113582  Primary    Condo - Low     360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035    879.12   6/1/2006  168,792.00
148125362  Primary    SFR             360      352  79.66   6.25  12/1/2005   7/1/2006  11/1/2035  1,978.91   6/1/2006  380,000.00
148125776  Investor   PUD Detached    360      352  79.99  6.125  12/1/2005   7/1/2006  11/1/2035  1,437.59   6/1/2006  281,650.00
148129315  Primary    SFR             360      352  63.27  6.125  12/1/2005   7/1/2006  11/1/2035  1,582.29   6/1/2006  310,000.00
148129638  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,860.00   6/1/2006  372,000.00
148131311  Primary    Condo - Low     360      352     75      6  12/1/2005   7/1/2006  11/1/2035  1,312.50   6/1/2006  262,500.00
148135379  Secondary  SFR             360      352     85  6.375  12/1/2005   7/1/2006  11/1/2035  2,120.33   6/1/2006  399,500.00
148141609  Primary    Cooperative     360      353     90  6.875   1/1/2006   7/1/2006  12/1/2035  1,753.13   6/1/2006  306,000.00
148143779  Primary    SFR             360      352  64.94      6  12/1/2005   7/1/2006  11/1/2035  1,282.18   6/1/2006  256,500.00
148150188  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,500.00   7/1/2006  300,000.00
148158033  Investor   SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035    636.71   6/1/2006  127,400.00
148174931  Primary    SFR             360      352  78.37      6  12/1/2005   7/1/2006  11/1/2035  1,630.00   6/1/2006  326,000.00
148181001  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,660.00   6/1/2006  332,000.00
148185457  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035       854   7/1/2006  170,800.00
148191448  Primary    SFR             360      353  77.05  6.125   1/1/2006   7/1/2006  12/1/2035  1,864.55   6/1/2006  366,000.00
148193816  Primary    Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,572.08   7/1/2006  308,000.00
148197189  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036    666.81   6/1/2006  130,640.00
148197825  Primary    SFR             360      352  72.73      6  12/1/2005   7/1/2006  11/1/2035  1,000.00   6/1/2006  200,000.00
148202567  Primary    SFR             360      352  67.07      6  12/1/2005   7/1/2006  11/1/2035  1,785.92   6/1/2006  357,500.00
148210032  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,502.67   6/1/2006  294,400.00
148211931  Primary    Condo - Low     360      352     70      6  12/1/2005   8/1/2006  11/1/2035  1,189.69   7/1/2006  238,000.00
148224991  Primary    SFR             360      353  68.48   6.25   1/1/2006   7/1/2006  12/1/2035  1,640.62   6/1/2006  315,000.00
148227309  Primary    SFR             360      352  46.35  6.125  12/1/2005   7/1/2006  11/1/2035    939.16   6/1/2006  184,000.00
148227374  Secondary  SFR             360      352  67.33  6.125  12/1/2005   7/1/2006  11/1/2035    773.16   6/1/2006  151,500.00
148233521  Primary    SFR             360      352  94.97      6  12/1/2005   7/1/2006  11/1/2035  1,289.50   6/1/2006  257,900.00
148242308  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,560.00   6/1/2006  312,000.00
148244205  Primary    Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,480.21   6/1/2006  290,000.00
148244569  Investor   SFR             360      352   63.2      6  12/1/2005   7/1/2006  11/1/2035  1,185.00   6/1/2006  237,000.00
148256894  Primary    SFR             360      353  77.22      6   1/1/2006   7/1/2006  12/1/2035  1,390.00   6/1/2006  278,000.00
148260755  Primary    SFR             360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035       850   6/1/2006  160,000.00
148265135  Primary    Condo - Low     360      352     95      6  12/1/2005   8/1/2006  11/1/2035    872.83   7/1/2006  175,266.00
148295561  Primary    SFR             360      352  76.57   6.25  12/1/2005   8/1/2006  11/1/2035  2,092.42   7/1/2006  402,000.00
148302987  Primary    2-Family        360      352  47.81   6.25  12/1/2005   7/1/2006  11/1/2035  1,305.46   6/1/2006  251,000.00
148306301  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035    761.28   6/1/2006  149,148.00
148307903  Primary    SFR             360      353  49.18      6   1/1/2006   7/1/2006  12/1/2035  1,479.16   6/1/2006  300,000.00
148310204  Primary    2-Family        360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035  1,785.00   6/1/2006  336,000.00
148317795  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,940.00   6/1/2006  388,000.00
148319643  Primary    SFR             360      352     90      6  12/1/2005   7/1/2006  11/1/2035       585   6/1/2006  117,000.00
148321128  Primary    SFR             360      350  79.98      6  10/1/2005   7/1/2006   9/1/2035  1,995.29   6/1/2006  399,100.00
148323652  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035       880   6/1/2006  176,000.00
148325129  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,480.00   6/1/2006  296,000.00
148326739  Primary    SFR             360      352     75      6  12/1/2005   8/1/2006  11/1/2035  1,720.00   7/1/2006  345,000.00
148326853  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035  1,403.65   7/1/2006  280,800.00
148329147  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,939.58   6/1/2006  380,000.00
148335813  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,120.00   6/1/2006  224,000.00
148336894  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,365.14   6/1/2006  274,400.00
148341563  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,303.78   6/1/2006  250,326.00
148350481  Primary    SFR             360      352     95      6  12/1/2005   8/1/2006  11/1/2035  1,035.86   7/1/2006  207,171.00
148353444  Primary    SFR             360      352     70      6  12/1/2005   7/1/2006  11/1/2035  1,592.50   6/1/2006  318,500.00
148357122  Primary    SFR             360      352     95  6.625  12/1/2005   7/1/2006  11/1/2035  1,728.68   6/1/2006  313,120.00
148357304  Primary    SFR             360      352  79.05  6.375  12/1/2005   7/1/2006  11/1/2035  1,763.75   6/1/2006  332,000.00
148365513  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,825.00   6/1/2006  350,400.00
148365786  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,996.75   6/1/2006  391,200.00
148368301  Primary    Condo - Low     360      353     80      6   1/1/2006   8/1/2006  12/1/2035       832   7/1/2006  166,400.00
148368319  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035  1,367.19   6/1/2006  262,500.00
148375249  Primary    SFR             360      352  78.94      6  12/1/2005   7/1/2006  11/1/2035  1,302.50   6/1/2006  260,500.00
148375868  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035    417.97   6/1/2006   80,250.00
148387327  Primary    SFR             360      350     80      6  10/1/2005   8/1/2006   9/1/2035  1,819.10   7/1/2006  364,000.00
148388499  Primary    SFR             360      352  56.96      6  12/1/2005   7/1/2006  11/1/2035  1,125.00   6/1/2006  225,000.00
148389703  Primary    SFR             360      352     95   6.25  12/1/2005   8/1/2006  11/1/2035  1,630.83   7/1/2006  313,120.00
148394752  Primary    SFR             360      353  74.19   6.25   1/1/2006   7/1/2006  12/1/2035  1,197.91   6/1/2006  230,000.00
148398431  Investor   SFR             360      353  67.89      6   1/1/2006   7/1/2006  12/1/2035     967.5   6/1/2006  193,500.00
148399488  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,980.00   6/1/2006  396,000.00
148401235  Primary    SFR             360      352  63.02   6.25  12/1/2005   7/1/2006  11/1/2035  2,067.53   6/1/2006  397,000.00
148403397  Investor   SFR             360      352  89.99      6  12/1/2005   7/1/2006  11/1/2035       631   6/1/2006  126,200.00
148408032  Primary    SFR             360      353  89.78   6.25   1/1/2006   7/1/2006  12/1/2035  2,104.17   6/1/2006  404,000.00
148408487  Secondary  SFR             360      352     75   6.25  12/1/2005   7/1/2006  11/1/2035  1,601.15   6/1/2006  307,500.00
148412919  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035    770.06   6/1/2006  154,012.00
148414253  Investor   SFR             360      352   89.9  6.125  12/1/2005   7/1/2006  11/1/2035  1,291.21   6/1/2006  252,971.00
148434327  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,184.17   6/1/2006  232,000.00
148435852  Primary    SFR             360      352   79.6      6  12/1/2005   8/1/2006  11/1/2035       995   7/1/2006  199,000.00
148437213  Secondary  SFR             360      353     70   6.25   1/1/2006   7/1/2006  12/1/2035  1,914.06   6/1/2006  367,500.00
148440803  Primary    Condo - Low     360      353  72.83  6.125   1/1/2006   7/1/2006  12/1/2035  2,100.36   6/1/2006  411,500.00
148445521  Secondary  SFR             360      352  71.37      6  12/1/2005   7/1/2006  11/1/2035  1,302.50   6/1/2006  260,500.00
148446669  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,839.60   6/1/2006  367,920.00
148447931  Investor   2-Family        360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035    509.04   6/1/2006   96,000.00
148450414  Primary    Condo - Low     360      354     80  6.375   2/1/2006   8/1/2006   1/1/2036       786   7/1/2006  148,000.00
148458375  Primary    Condo - Low     360      353     95  6.375   1/1/2006   7/1/2006  12/1/2035    892.79   6/1/2006  168,055.00
148459902  Primary    SFR             360      352     80    6.5  12/1/2005   7/1/2006  11/1/2035    760.01   6/1/2006  141,600.00
148461106  Primary    PUD Detached    360      352   79.8      6  12/1/2005   8/1/2006  11/1/2035  1,909.85   7/1/2006  382,000.00
148462526  Primary    SFR             360      352     75      6  12/1/2005   8/1/2006  11/1/2035  1,537.12   7/1/2006  307,500.00
148471014  Primary    Condo - Low     360      352     80   6.25  12/1/2005   8/1/2006  11/1/2035    978.75   7/1/2006  187,920.00
148475288  Primary    SFR             360      353  72.55      6   1/1/2006   7/1/2006  12/1/2035  1,705.00   6/1/2006  341,000.00
148476633  Investor   SFR             360      352  34.59  6.375  12/1/2005   7/1/2006  11/1/2035  1,001.41   6/1/2006  188,500.00
148486293  Primary    SFR             360      352  79.99  6.125  12/1/2005   8/1/2006  11/1/2035    762.82   7/1/2006  149,450.00
148488315  Primary    PUD Detached    360      352  77.67   6.25  12/1/2005   8/1/2006  11/1/2035  1,213.54   7/1/2006  233,000.00
148488679  Primary    PUD Detached    360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035  1,041.67   6/1/2006  200,000.00
148491491  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035       493   7/1/2006   98,600.00
148493679  Primary    PUD Detached    360      352     80   6.25  12/1/2005   8/1/2006  11/1/2035  1,456.55   7/1/2006  280,000.00
148495807  Primary    Condo - High    360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,280.00   7/1/2006  256,000.00
148500184  Secondary  Condo - Low     360      352  74.89    6.5  12/1/2005   7/1/2006  11/1/2035  1,357.15   6/1/2006  251,250.00
148508161  Primary    SFR             360      353  78.13      6   1/1/2006   7/1/2006  12/1/2035     562.5   6/1/2006  112,500.00
148510712  Primary    SFR             360      352  75.66      6  12/1/2005   7/1/2006  11/1/2035  1,570.00   6/1/2006  314,000.00
148511702  Investor   SFR             360      353  89.99    6.5   1/1/2006   7/1/2006  12/1/2035  1,082.79   6/1/2006  199,900.00
148514425  Primary    SFR             360      353  40.63  6.125   1/1/2006   7/1/2006  12/1/2035  1,658.85   6/1/2006  325,000.00
148518194  Secondary  SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035    495.88   6/1/2006   99,200.00
148525892  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035    754.97   6/1/2006  148,000.00
148528847  Primary    SFR             360      353  77.66   6.25   1/1/2006   7/1/2006  12/1/2035  1,885.25   6/1/2006  365,000.00
148529191  Secondary  SFR             360      353     95  6.125   1/1/2006   8/1/2006  12/1/2035    904.96   7/1/2006  177,297.00
148530132  Primary    Condo - Low     360      353  69.23   6.25   1/1/2006   7/1/2006  12/1/2035  1,875.00   6/1/2006  360,000.00
148531577  Investor   SFR             360      353     66      6   1/1/2006   7/1/2006  12/1/2035    682.51   6/1/2006  136,554.00
148543051  Primary    SFR             360      353   70.9  6.375   1/1/2006   7/1/2006  12/1/2035    490.99   6/1/2006   78,700.00
148548639  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,875.00   6/1/2006  360,000.00
148550668  Investor   SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036    754.17   6/1/2006  144,800.00
148552029  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035       748   6/1/2006  149,600.00
148552979  Primary    Condo - Low     360      353  92.78   6.25   1/1/2006   7/1/2006  12/1/2035  1,908.36   6/1/2006  366,500.00
148556012  Primary    SFR             360      353  79.84  6.375   1/1/2006   7/1/2006  12/1/2035  1,950.75   6/1/2006  367,200.00
148558638  Primary    SFR             360      353  94.99  6.125   1/1/2006   7/1/2006  12/1/2035  1,453.67   6/1/2006  284,800.00
148559933  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  2,060.00   6/1/2006  412,000.00
148561244  Primary    SFR             360      353  76.19      6   1/1/2006   8/1/2006  12/1/2035  1,199.98   7/1/2006  240,000.00
148566516  Primary    SFR             360      352  79.99   6.25  12/1/2005   7/1/2006  11/1/2035    818.23   6/1/2006  157,100.00
148569627  Primary    SFR             360      353  77.58      6   1/1/2006   7/1/2006  12/1/2035     624.5   6/1/2006  124,900.00
148569825  Primary    SFR             360      352  77.96      6  12/1/2005   8/1/2006  11/1/2035       955   7/1/2006  191,000.00
148570146  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,861.50   6/1/2006  372,300.00
148570237  Primary    SFR             360      353  68.18      6   1/1/2006   7/1/2006  12/1/2035  1,500.00   6/1/2006  300,000.00
148576499  Primary    SFR             360      352  79.81  6.125  12/1/2005   7/1/2006  11/1/2035  2,015.74   6/1/2006  395,271.00
148576523  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  2,040.99   6/1/2006  400,000.00
148578834  Secondary  Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,168.33   6/1/2006  224,319.00
148580418  Primary    SFR             360      353   79.7  6.375   1/1/2006   7/1/2006  12/1/2035  1,396.18   6/1/2006  263,000.00
148583859  Investor   PUD Detached    360      353  78.96  6.125   1/1/2006   7/1/2006  12/1/2035    928.42   6/1/2006  181,900.00
148591407  Primary    Condo - Low     360      353     95  6.375   1/1/2006   7/1/2006  12/1/2035    640.51   6/1/2006  120,569.00
148591548  Secondary  SFR             360      353  63.77      6   1/1/2006   7/1/2006  12/1/2035       845   6/1/2006  169,000.00
148603145  Primary    SFR             360      353  79.98      6   1/1/2006   7/1/2006  12/1/2035  1,625.00   6/1/2006  325,000.00
148604317  Primary    SFR             360      353     75  6.875   1/1/2006   8/1/2006  12/1/2035  1,869.14   7/1/2006  326,250.00
148604655  Primary    SFR             360      352  94.98   6.25  12/1/2005   7/1/2006  11/1/2035  1,172.40   6/1/2006  225,100.00
148610827  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  2,060.66   6/1/2006  404,000.00
148613565  Primary    SFR             360      352  77.03      6  12/1/2005   7/1/2006  11/1/2035  1,422.87   6/1/2006  285,000.00
148615966  Primary    SFR             360      353  79.99   6.25   1/1/2006   8/1/2006  12/1/2035    630.57   7/1/2006  121,100.00
148620313  Investor   SFR             360      353   25.5   6.25   1/1/2006   8/1/2006  12/1/2035    531.25   7/1/2006  102,000.00
148622665  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,203.56   6/1/2006  235,920.00
148623804  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035       986   6/1/2006  197,200.00
148627656  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,125.00   6/1/2006  216,000.00
148631633  Primary    SFR             360      353  76.98   6.25   1/1/2006   8/1/2006  12/1/2035    861.98   7/1/2006  165,500.00
148636426  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,611.19   6/1/2006  322,400.00
148636459  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  2,104.17   6/1/2006  404,000.00
148644727  Primary    SFR             360      353     95  6.375   1/1/2006   7/1/2006  12/1/2035  1,947.59   6/1/2006  366,605.00
148645195  Primary    SFR             360      353  30.77  6.375   1/1/2006   7/1/2006  12/1/2035     625.2   6/1/2006  300,000.00
148647092  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035       680   7/1/2006  136,000.00
148650799  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  2,060.00   6/1/2006  412,000.00
148655251  Primary    SFR             360      353   68.5   6.25   1/1/2006   7/1/2006  12/1/2035  1,141.67   6/1/2006  219,200.00
148656606  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035  2,089.30   6/1/2006  401,145.00
148659048  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035    800.36   6/1/2006  157,200.00
148665615  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035    992.25   6/1/2006  194,400.00
148672223  Primary    SFR             360      354  92.12  6.125   2/1/2006   7/1/2006   1/1/2036    775.83   6/1/2006  152,000.00
148674195  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035  1,095.83   6/1/2006  210,400.00
148683808  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035    647.83   6/1/2006  129,600.00
148686181  Primary    SFR             360      352  71.82      6  12/1/2005   7/1/2006  11/1/2035  1,185.00   6/1/2006  237,000.00
148690068  Primary    Condo - Low     360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035  1,824.07   6/1/2006  296,250.00
148697667  Primary    SFR             360      353  71.67  6.125   1/1/2006   7/1/2006  12/1/2035  2,085.05   6/1/2006  408,500.00
148697915  Primary    SFR             360      353     95  6.375   1/1/2006   7/1/2006  12/1/2035       486   6/1/2006   77,900.00
148699267  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035    565.25   6/1/2006  106,400.00
148703507  Primary    SFR             360      354  70.48      6   2/1/2006   7/1/2006   1/1/2036  1,850.00   6/1/2006  370,000.00
148707433  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,370.00   6/1/2006  274,000.00
148719628  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,200.00   6/1/2006  230,400.00
148720758  Investor   SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035     937.5   6/1/2006  180,000.00
148721087  Primary    SFR             360      353     90   6.25   1/1/2006   7/1/2006  12/1/2035  1,341.41   6/1/2006  257,850.00
148721665  Investor   SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035     937.5   6/1/2006  180,000.00
148734239  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,999.80   7/1/2006  399,960.00
148740723  Primary    SFR             360      353  29.61   6.25   1/1/2006   7/1/2006  12/1/2035    911.46   6/1/2006  175,000.00
148740756  Investor   SFR             360      352   74.4      6  12/1/2005   8/1/2006  11/1/2035    464.57   7/1/2006   93,000.00
148750565  Investor   SFR             360      353  74.33      6   1/1/2006   7/1/2006  12/1/2035  1,113.76   6/1/2006  223,000.00
148752645  Primary    SFR             360      353  71.43      6   1/1/2006   7/1/2006  12/1/2035  1,874.96   6/1/2006  375,000.00
148754161  Primary    Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,367.92   7/1/2006  268,000.00
148755143  Primary    Condo - Low     360      353  72.73      6   1/1/2006   7/1/2006  12/1/2035  2,000.00   6/1/2006  400,000.00
148757206  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035    967.72   6/1/2006  185,850.00
148758345  Primary    SFR             360      354  70.65  6.125   2/1/2006   7/1/2006   1/1/2036  1,841.57   6/1/2006  361,000.00
148760382  Primary    SFR             360      353  31.58    6.5   1/1/2006   7/1/2006  12/1/2035     812.5   6/1/2006  150,000.00
148764244  Primary    SFR             360      355  92.39    6.5   3/1/2006   7/1/2006   2/1/2036  1,381.25   6/1/2006  255,000.00
148768757  Primary    Condo - Low     360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035  1,542.97   6/1/2006  296,250.00
148774573  Primary    SFR             360      355  77.94      6   3/1/2006   7/1/2006   2/1/2036  1,060.00   6/1/2006  212,000.00
148775281  Secondary  SFR             360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036  1,104.57   6/1/2006  203,920.00
148777493  Primary    Condo - Low     360      353  76.84   6.25   1/1/2006   7/1/2006  12/1/2035  1,520.83   6/1/2006  292,000.00
148777626  Primary    SFR             360      353  79.14  6.125   1/1/2006   8/1/2006  12/1/2035  1,878.33   7/1/2006  368,000.00
148780562  Primary    Condo - Low     360      353  60.54  6.125   1/1/2006   7/1/2006  12/1/2035     803.4   6/1/2006  157,400.00
148783004  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,428.52   6/1/2006  279,873.00
148784416  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,740.00   6/1/2006  348,000.00
148796824  Primary    Condo - High    360      353  76.59  6.125   1/1/2006   7/1/2006  12/1/2035    860.03   6/1/2006  168,500.00
148796857  Investor   SFR             360      352  79.91   6.25  12/1/2005   7/1/2006  11/1/2035  2,165.89   6/1/2006  415,850.00
148803216  Primary    SFR             360      353  71.54  6.375   1/1/2006   7/1/2006  12/1/2035  1,870.00   6/1/2006  352,000.00
148805153  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035    143.66   6/1/2006  280,000.00
148805849  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  2,069.54   6/1/2006  397,600.00
148810492  Primary    SFR             360      354  84.12      6   2/1/2006   7/1/2006   1/1/2036       715   6/1/2006  143,000.00
148810963  Primary    2-Family        360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,929.17   6/1/2006  370,400.00
148811888  Primary    PUD Detached    360      354  79.98      6   2/1/2006   8/1/2006   1/1/2036  1,284.92   7/1/2006  257,000.00
148812845  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,416.00   6/1/2006  283,200.00
148813439  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  2,103.75   6/1/2006  396,000.00
148824642  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,021.89   6/1/2006  192,355.00
148825185  Primary    SFR             360      353  79.31      6   1/1/2006   7/1/2006  12/1/2035  1,798.25   6/1/2006  359,650.00
148828676  Primary    SFR             360      353     70   6.25   1/1/2006   7/1/2006  12/1/2035  2,096.35   6/1/2006  402,500.00
148829864  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  2,040.00   6/1/2006  408,000.00
148833304  Primary    SFR             360      353  74.62  6.125   1/1/2006   7/1/2006  12/1/2035  1,979.81   6/1/2006  388,000.00
148835812  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,239.97   6/1/2006  248,000.00
148839608  Secondary  SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  2,075.00   6/1/2006  398,400.00
148839772  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,700.00   6/1/2006  340,000.00
148840606  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,750.00   6/1/2006  336,000.00
148841976  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,623.13   6/1/2006  318,000.00
148845787  Primary    SFR             360      354   78.7  6.375   2/1/2006   7/1/2006   1/1/2036  1,986.59   6/1/2006  375,000.00
148850498  Secondary  SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  2,123.33   6/1/2006  416,000.00
148851074  Investor   SFR             360      352  89.98  6.125  12/1/2005   8/1/2006  11/1/2035  1,205.60   7/1/2006  236,200.00
148852577  Primary    SFR             360      354  92.86    6.5   2/1/2006   7/1/2006   1/1/2036  1,408.33   6/1/2006  260,000.00
148855109  Primary    SFR             360      354  79.01    6.5   2/1/2006   8/1/2006   1/1/2036    778.92   7/1/2006  143,800.00
148858947  Secondary  SFR             360      352     75   6.25  12/1/2005   8/1/2006  11/1/2035  2,101.56   7/1/2006  403,500.00
148859564  Primary    SFR             360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035    838.19   6/1/2006  164,250.00
148863285  Primary    SFR             360      353     95   6.25   1/1/2006   7/1/2006  12/1/2035  2,160.66   6/1/2006  414,846.00
148867377  Secondary  Condo - High    360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  2,010.42   6/1/2006  386,000.00
148869415  Investor   SFR             360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036  1,213.33   6/1/2006  224,000.00
148870587  Primary    SFR             360      353  79.34   6.25   1/1/2006   8/1/2006  12/1/2035  1,259.24   7/1/2006  242,000.00
148879513  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035       916   7/1/2006  183,200.00
148882145  Primary    Condo - Low     360      353  79.97  6.125   1/1/2006   8/1/2006  12/1/2035  1,234.26   7/1/2006  242,000.00
148893571  Primary    SFR             360      353     95      6   1/1/2006   7/1/2006  12/1/2035  1,411.25   6/1/2006  282,250.00
148894314  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,679.11   6/1/2006  322,388.00
148895295  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,356.00   6/1/2006  271,200.00
148896954  Primary    Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,939.58   7/1/2006  380,000.00
148898745  Investor   SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,645.83   6/1/2006  316,000.00
148899552  Investor   SFR             360      354     80  6.375   2/1/2006   8/1/2006   1/1/2036  1,657.50   7/1/2006  312,000.00
148903636  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,653.75   6/1/2006  324,000.00
148904543  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,333.12   6/1/2006  255,960.00
148905441  Secondary  SFR             360      355  77.67      6   3/1/2006   7/1/2006   2/1/2036  1,075.00   6/1/2006  400,000.00
148908528  Primary    SFR             360      353  64.88  6.125   1/1/2006   8/1/2006  12/1/2035  2,424.37   7/1/2006  399,000.00
148910367  Primary    SFR             360      353  44.98  6.125   1/1/2006   7/1/2006  12/1/2035  1,965.10   6/1/2006  385,000.00
148915549  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,378.14   7/1/2006  272,000.00
148915705  Primary    Condo - Low     360      353     79  6.125   1/1/2006   7/1/2006  12/1/2035  2,036.31   6/1/2006  398,950.00
148915846  Primary    SFR             360      353  35.07      6   1/1/2006   7/1/2006  12/1/2035  1,175.00   6/1/2006  235,000.00
148922024  Primary    SFR             360      353  75.65   6.25   1/1/2006   8/1/2006  12/1/2035    905.73   7/1/2006  174,000.00
148924244  Primary    SFR             360      353  79.47   6.25   1/1/2006   7/1/2006  12/1/2035    783.85   6/1/2006  151,000.00
148928898  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,711.83   6/1/2006  335,378.00
148929771  Primary    SFR             360      353  75.71   6.25   1/1/2006   7/1/2006  12/1/2035  1,246.14   6/1/2006  240,000.00
148930233  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035    561.31   6/1/2006  112,262.00
148931355  Primary    SFR             360      353  79.98  6.125   1/1/2006   7/1/2006  12/1/2035    957.29   6/1/2006  187,550.00
148933682  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035    679.97   6/1/2006  136,000.00
148936107  Primary    SFR             360      354     95  6.125   2/1/2006   8/1/2006   1/1/2036  1,333.46   7/1/2006  261,250.00
148946197  Primary    SFR             360      354  80.41      6   2/1/2006   7/1/2006   1/1/2036  2,051.84   6/1/2006  410,459.00
148946866  Primary    SFR             360      353  79.99      6   1/1/2006   7/1/2006  12/1/2035  1,577.25   6/1/2006  315,450.00
148947591  Investor   SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,166.58   6/1/2006  224,000.00
148947781  Investor   SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,249.93   6/1/2006  240,000.00
148947955  Investor   SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,354.10   6/1/2006  260,000.00
148948565  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  1,254.16   7/1/2006  240,800.00
148952997  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,837.50   7/1/2006  360,000.00
148953847  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,960.00   6/1/2006  392,000.00
148957129  Primary    Condo - High    360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,865.75   6/1/2006  351,200.00
148957517  Primary    SFR             360      354     95  6.375   2/1/2006   8/1/2006   1/1/2036  2,018.75   7/1/2006  380,000.00
148960669  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,036.76   6/1/2006  203,120.00
148961337  Investor   3-Family        360      353     90    6.5   1/1/2006   7/1/2006  12/1/2035    650.79   6/1/2006  120,150.00
148962038  Investor   3-Family        360      353     90    6.5   1/1/2006   7/1/2006  12/1/2035    650.58   6/1/2006  120,150.00
148964422  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,632.50   6/1/2006  320,000.00
148965809  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  2,041.67   6/1/2006  400,000.00
148966559  Primary    SFR             360      354     90   6.25   2/1/2006   7/1/2006   1/1/2036    726.04   6/1/2006  139,500.00
148971245  Primary    SFR             360      353  94.99   6.25   1/1/2006   7/1/2006  12/1/2035  1,536.72   6/1/2006  295,050.00
148972672  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035       901   6/1/2006  169,600.00
148976822  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,360.00   6/1/2006  272,000.00
148977267  Primary    Condo - Low     360      352  79.04  6.125  12/1/2005   7/1/2006  11/1/2035  1,835.70   6/1/2006  359,650.00
148978281  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036    708.33   6/1/2006  136,000.00
148979875  Primary    Condo - High    360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  1,062.50   7/1/2006  204,000.00
148983331  Primary    SFR             360      354     95   6.25   2/1/2006   8/1/2006   1/1/2036    984.64   7/1/2006  189,050.00
148986565  Primary    SFR             360      353     80  6.625   1/1/2006   7/1/2006  12/1/2035  1,046.75   6/1/2006  189,600.00
148993603  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036       520   6/1/2006  104,000.00
148996747  Primary    SFR             360      354     80  6.125   2/1/2006   8/1/2006   1/1/2036  1,020.83   7/1/2006  200,000.00
148999899  Secondary  SFR             360      353     95  6.125   1/1/2006   8/1/2006  12/1/2035  1,691.06   7/1/2006  331,478.00
149002008  Primary    SFR             360      353  78.62  6.375   1/1/2006   7/1/2006  12/1/2035  1,816.88   6/1/2006  342,000.00
149006587  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,038.29   6/1/2006  203,420.00
149013062  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036  1,540.00   6/1/2006  308,000.00
149013211  Primary    Condo - Low     360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036  1,604.17   7/1/2006  308,000.00
149014714  Investor   SFR             360      353     80  6.375   1/1/2006   8/1/2006  12/1/2035       714   7/1/2006  134,400.00
149017683  Secondary  Condo - High    360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,849.90   6/1/2006  372,000.00
149018087  Primary    Condo - Low     360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035     892.5   6/1/2006  168,000.00
149021586  Primary    SFR             360      354     75   6.25   2/1/2006   7/1/2006   1/1/2036  1,171.88   6/1/2006  225,000.00
149030744  Primary    SFR             360      354     95  6.375   2/1/2006   7/1/2006   1/1/2036  1,900.96   6/1/2006  357,827.00
149030785  Primary    SFR             360      353     64   6.25   1/1/2006   7/1/2006  12/1/2035  2,080.88   6/1/2006  400,000.00
149038416  Investor   SFR             360      353     80   6.75   1/1/2006   7/1/2006  12/1/2035  1,530.00   6/1/2006  272,000.00
149043978  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  1,041.67   7/1/2006  200,000.00
149046211  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,620.83   6/1/2006  311,200.00
149051898  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,076.00   7/1/2006  215,200.00
149054603  Primary    Condo - Low     360      353  79.04  6.375   1/1/2006   7/1/2006  12/1/2035  1,402.50   6/1/2006  264,000.00
149055386  Primary    Condo - Low     360      354  78.51   6.25   2/1/2006   7/1/2006   1/1/2036  1,364.04   6/1/2006  263,000.00
149055592  Investor   SFR             360      353  43.96  6.375   1/1/2006   7/1/2006  12/1/2035  2,125.00   6/1/2006  400,000.00
149058208  Primary    SFR             360      354  79.94      6   2/1/2006   7/1/2006   1/1/2036  1,460.02   6/1/2006  292,004.00
149058398  Primary    SFR             360      353  77.67   6.25   1/1/2006   7/1/2006  12/1/2035  2,083.33   6/1/2006  400,000.00
149071201  Primary    SFR             360      354  55.29  6.125   2/1/2006   7/1/2006   1/1/2036  1,947.24   6/1/2006  381,500.00
149071607  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035       780   6/1/2006  156,000.00
149075103  Investor   SFR             360      354     90   6.25   2/1/2006   7/1/2006   1/1/2036  1,138.56   6/1/2006  218,603.00
149075996  Primary    Condo - Low     360      354     80  6.625   2/1/2006   7/1/2006   1/1/2036  1,027.71   6/1/2006  188,000.00
149077885  Primary    SFR             360      354     95   6.25   2/1/2006   8/1/2006   1/1/2036  2,165.95   7/1/2006  415,862.00
149086639  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035    854.17   7/1/2006  164,000.00
149087413  Primary    SFR             360      354     75  6.375   2/1/2006   7/1/2006   1/1/2036  2,012.03   6/1/2006  378,750.00
149089146  Investor   3-Family        360      354     75      6   2/1/2006   7/1/2006   1/1/2036    843.45   6/1/2006  168,750.00
149089187  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,687.50   6/1/2006  324,000.00
149095895  Primary    SFR             360      354     75    6.5   2/1/2006   7/1/2006   1/1/2036  1,340.60   6/1/2006  247,500.00
149097248  Primary    SFR             360      353  74.59  6.125   1/1/2006   8/1/2006  12/1/2035  1,633.33   7/1/2006  320,000.00
149105058  Primary    SFR             360      354  79.98   6.25   2/1/2006   8/1/2006   1/1/2036    958.07   7/1/2006  183,950.00
149106684  Secondary  SFR             360      353  89.16    6.5   1/1/2006   7/1/2006  12/1/2035  1,491.48   6/1/2006  275,350.00
149111544  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036    818.59   6/1/2006  164,000.00
149116261  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,378.70   6/1/2006  270,112.00
149116444  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,450.29   6/1/2006  284,139.00
149116931  Primary    SFR             360      355     80    6.5   3/1/2006   7/1/2006   2/1/2036  1,444.15   6/1/2006  266,612.00
149117582  Primary    SFR             360      354     95  6.375   2/1/2006   7/1/2006   1/1/2036  1,943.05   6/1/2006  365,750.00
149118788  Primary    SFR             360      354  74.62  6.375   2/1/2006   7/1/2006   1/1/2036  2,101.09   6/1/2006  395,500.00
149118986  Primary    SFR             360      354  74.15  6.125   2/1/2006   7/1/2006   1/1/2036  1,835.71   6/1/2006  359,650.00
149127201  Primary    SFR             360      354  56.28      6   2/1/2006   8/1/2006   1/1/2036  1,298.00   7/1/2006  260,000.00
149132243  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,307.97   6/1/2006  261,594.00
149137846  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,340.00   6/1/2006  268,000.00
149138554  Primary    Condo - Low     360      353  79.99   6.25   1/1/2006   7/1/2006  12/1/2035  1,717.71   6/1/2006  329,800.00
149139578  Primary    Condo - Low     360      353     95  6.375   1/1/2006   8/1/2006  12/1/2035  1,034.61   7/1/2006  194,750.00
149054447  Primary    2-Family        360      348     95  6.375   8/1/2005   8/1/2006   7/1/2035  2,119.69   7/1/2006  399,000.00
149227191  Primary    SFR             360      356     80   6.25   4/1/2006   8/1/2006   3/1/2036  2,041.15   7/1/2006  391,900.00
149335184  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036    833.25   7/1/2006  160,000.00
149352452  Primary    Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036  2,060.00   6/1/2006  412,000.00
149432304  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036       980   7/1/2006  196,000.00
149446957  Primary    Condo - Low     360      355     80  6.125   3/1/2006   7/1/2006   2/1/2036  1,721.13   6/1/2006  338,800.00
149473753  Primary    Condo - High    360      355  78.82  6.625   3/1/2006   8/1/2006   2/1/2036    883.33   7/1/2006  160,000.00
149500068  Primary    SFR             360      355     80  6.125   3/1/2006   7/1/2006   2/1/2036     857.5   6/1/2006  168,000.00
149518441  Primary    SFR             360      353  62.92   6.25   1/1/2006   7/1/2006  12/1/2035  1,457.23   6/1/2006  280,000.00
149533929  Investor   SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035     639.6   7/1/2006  127,920.00
149545592  Primary    SFR             360      354  73.47  6.125   2/1/2006   8/1/2006   1/1/2036    918.75   7/1/2006  180,000.00
149558579  Primary    3-Family        360      355     75  6.375   3/1/2006   7/1/2006   2/1/2036  1,544.08   6/1/2006  247,500.00
149585903  Primary    SFR             360      355  77.42   6.25   3/1/2006   7/1/2006   2/1/2036       625   6/1/2006  120,000.00
149648057  Investor   PUD Detached    360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036  1,399.67   6/1/2006  258,400.00
149653933  Primary    Condo - Low     360      354  76.81   6.25   2/1/2006   7/1/2006   1/1/2036  1,380.21   6/1/2006  265,000.00
149669459  Primary    SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,312.50   6/1/2006  252,000.00
149696742  Investor   SFR             360      354  77.38   6.25   2/1/2006   7/1/2006   1/1/2036  1,229.17   6/1/2006  236,000.00
149697559  Primary    Condo - Low     360      355     80      6   3/1/2006   8/1/2006   2/1/2036  1,000.00   7/1/2006  200,000.00
149715013  Primary    SFR             360      355  56.92  6.375   3/1/2006   7/1/2006   2/1/2036  1,965.63   6/1/2006  370,000.00
149763443  Primary    SFR             360      355  58.14   6.25   3/1/2006   8/1/2006   2/1/2036  1,822.92   7/1/2006  350,000.00
149774275  Secondary  Condo - Low     360      355     90   6.25   3/1/2006   9/1/2006   2/1/2036       975   8/1/2006  187,200.00
149792129  Primary    SFR             360      355     80  6.375   3/1/2006   7/1/2006   2/1/2036  1,453.50   6/1/2006  273,600.00
149813206  Investor   SFR             360      356     90   6.25   4/1/2006   7/1/2006   3/1/2036    876.07   6/1/2006  168,250.00
149819625  Primary    SFR             360      355     80  6.125   3/1/2006   8/1/2006   2/1/2036  1,683.76   7/1/2006  329,880.00
149820284  Primary    SFR             360      356  69.95  6.125   4/1/2006   7/1/2006   3/1/2036  1,378.13   6/1/2006  270,000.00
149820334  Primary    Condo - Low     360      355     80    6.5   3/1/2006   7/1/2006   2/1/2036    606.67   6/1/2006  112,000.00
149820748  Primary    SFR             360      354  84.44  6.125   2/1/2006   7/1/2006   1/1/2036  1,277.55   6/1/2006  255,000.00
149838179  Primary    SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,175.00   6/1/2006  225,600.00
149856262  Primary    SFR             360      354     75      6   2/1/2006   7/1/2006   1/1/2036  1,781.25   6/1/2006  356,250.00
149875817  Secondary  Condo - Low     360      355     95  6.375   3/1/2006   7/1/2006   2/1/2036    831.34   6/1/2006  156,655.00
149876195  Primary    SFR             360      355  75.47      6   3/1/2006   8/1/2006   2/1/2036  1,995.35   7/1/2006  400,000.00
149904203  Primary    SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036  1,632.00   6/1/2006  326,400.00
149907354  Primary    SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,479.17   6/1/2006  284,000.00
149908576  Primary    SFR             360      355  75.82      6   3/1/2006   8/1/2006   2/1/2036  1,160.00   7/1/2006  232,000.00
149910622  Primary    SFR             360      354  71.84  6.375   2/1/2006   7/1/2006   1/1/2036  1,965.63   6/1/2006  370,000.00
149910861  Primary    SFR             360      354  88.33  6.125   2/1/2006   7/1/2006   1/1/2036  1,214.28   6/1/2006  238,500.00
149918054  Primary    Condo - Low     360      355     80    6.5   3/1/2006   7/1/2006   2/1/2036    862.33   6/1/2006  159,200.00
149920803  Secondary  SFR             360      356   79.5    6.5   4/1/2006   8/1/2006   3/1/2036    751.23   7/1/2006  138,688.00
149923872  Primary    PUD Detached    360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  2,083.33   6/1/2006  400,000.00
149938862  Investor   SFR             360      355     90      7   3/1/2006   7/1/2006   2/1/2036    808.26   6/1/2006  138,600.00
149943102  Secondary  SFR             360      355  79.97   6.25   3/1/2006   8/1/2006   2/1/2036  1,512.63   7/1/2006  290,500.00
149988701  Primary    SFR             360      355     80  6.375   3/1/2006   8/1/2006   2/1/2036    969.52   7/1/2006  182,500.00
149991325  Primary    Condo - Low     360      355     80      6   3/1/2006   8/1/2006   2/1/2036       636   7/1/2006  127,200.00
149992539  Primary    SFR             360      355  79.27   6.25   3/1/2006   7/1/2006   2/1/2036  1,692.71   6/1/2006  325,000.00
149993107  Primary    SFR             360      356  79.43  6.125   4/1/2006   7/1/2006   3/1/2036  1,313.30   6/1/2006  257,300.00
150002509  Secondary  SFR             360      355     75  6.875   3/1/2006   7/1/2006   2/1/2036    902.34   6/1/2006  157,500.00
150011641  Primary    SFR             360      355  74.88      6   3/1/2006   8/1/2006   2/1/2036  1,360.00   7/1/2006  272,000.00
150014199  Primary    Condo - Low     360      355     80  6.625   3/1/2006   7/1/2006   2/1/2036  1,214.25   6/1/2006  220,000.00
150030252  Investor   PUD Detached    360      355  74.99   6.25   3/1/2006   7/1/2006   2/1/2036    780.73   6/1/2006  149,900.00
150053551  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036  1,420.00   6/1/2006  284,000.00
150053791  Primary    SFR             360      355     95  6.375   3/1/2006   7/1/2006   2/1/2036  1,286.95   6/1/2006  242,250.00
150082014  Primary    SFR             360      355  69.45  6.375   3/1/2006   7/1/2006   2/1/2036  1,263.55   6/1/2006  237,850.00
150085322  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,163.75   6/1/2006  228,000.00
150115954  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036    993.07   6/1/2006  194,560.00
150132355  Primary    Condo - Low     360      355  78.21    6.5   3/1/2006   7/1/2006   2/1/2036  1,088.75   6/1/2006  201,000.00
150139772  Primary    Condo - High    360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,183.68   6/1/2006  232,000.00
150148195  Secondary  SFR             360      355     80    6.5   3/1/2006   8/1/2006   2/1/2036       403   7/1/2006   74,400.00
150155976  Primary    SFR             360      355     80      6   3/1/2006   8/1/2006   2/1/2036  1,760.00   7/1/2006  352,000.00
150162659  Primary    Condo - Low     360      354  75.99  6.125   2/1/2006   7/1/2006   1/1/2036    686.51   6/1/2006  134,500.00
150166536  Primary    Condo - Low     360      355  71.72      6   3/1/2006   8/1/2006   2/1/2036  2,080.00   7/1/2006  416,000.00
150167575  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036  1,402.00   6/1/2006  280,400.00
150168581  Primary    SFR             360      354  75.03   6.25   2/1/2006   7/1/2006   1/1/2036  1,892.96   6/1/2006  369,137.00
150183226  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036     985.2   7/1/2006  189,158.00
150184604  Primary    SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036  1,060.00   6/1/2006  212,000.00
150184653  Primary    PUD Detached    360      355  66.67  6.125   3/1/2006   7/1/2006   2/1/2036  1,018.78   6/1/2006  200,000.00
150185528  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,653.75   6/1/2006  324,000.00
150185692  Primary    SFR             360      354     95   6.25   2/1/2006   7/1/2006   1/1/2036  1,635.04   6/1/2006  313,967.00
150191674  Primary    SFR             360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036  1,414.73   6/1/2006  272,000.00
150203982  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,306.67   6/1/2006  256,000.00
150216463  Primary    SFR             360      354  88.57    6.5   2/1/2006   7/1/2006   1/1/2036  1,847.08   6/1/2006  341,000.00
150219111  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036    993.62   6/1/2006  187,084.00
150229789  Investor   SFR             360      355     90  6.625   3/1/2006   7/1/2006   2/1/2036  1,450.67   6/1/2006  262,836.00
150232692  Primary    Condo - Low     360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036    708.33   6/1/2006  136,000.00
150243228  Primary    SFR             360      355     80  6.125   3/1/2006   8/1/2006   2/1/2036  1,398.54   7/1/2006  274,000.00
150272912  Investor   SFR             360      356   59.9   6.25   4/1/2006   7/1/2006   3/1/2036    929.69   6/1/2006  178,500.00
150284503  Primary    SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036    833.33   6/1/2006  160,000.00
150306652  Primary    SFR             360      355     80  6.375   3/1/2006   7/1/2006   2/1/2036  1,763.75   6/1/2006  332,000.00
150318145  Primary    Condo - Low     360      355  74.18  6.375   3/1/2006   7/1/2006   2/1/2036    717.19   6/1/2006  135,000.00
150333508  Primary    SFR             360      356  55.47   6.25   4/1/2006   7/1/2006   3/1/2036  1,848.96   6/1/2006  355,000.00
150349827  Primary    SFR             360      355  70.36   6.25   3/1/2006   7/1/2006   2/1/2036  1,978.65   6/1/2006  379,900.00
150367084  Primary    SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036  1,680.00   6/1/2006  336,000.00
150373215  Primary    SFR             360      356     80  6.125   4/1/2006   8/1/2006   3/1/2036  1,041.34   7/1/2006  204,018.00
150379329  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    610.31   6/1/2006  117,200.00
150382737  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,780.00   6/1/2006  356,000.00
150387645  Primary    SFR             360      355     75      6   3/1/2006   7/1/2006   2/1/2036  1,350.00   6/1/2006  270,000.00
150390201  Primary    Condo - Low     360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036    939.17   6/1/2006  184,000.00
150400166  Primary    Condo - Low     360      356  79.99      7   4/1/2006   8/1/2006   3/1/2036  1,212.74   7/1/2006  207,900.00
150400661  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,873.77   6/1/2006  367,200.00
150407013  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,592.50   6/1/2006  312,000.00
150410017  Primary    SFR             360      356  68.47   6.25   4/1/2006   7/1/2006   3/1/2036  1,447.32   6/1/2006  278,000.00
150412526  Investor   SFR             360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036  1,381.25   6/1/2006  260,000.00
150438364  Primary    SFR             360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036  2,108.33   6/1/2006  404,800.00
150438992  Primary    Condo - Low     360      355  74.63  6.125   3/1/2006   8/1/2006   2/1/2036  1,276.04   7/1/2006  250,000.00
150443232  Primary    SFR             360      356     80    6.5   4/1/2006   7/1/2006   3/1/2036  1,282.67   6/1/2006  236,800.00
150443265  Primary    SFR             360      356  88.07  6.375   4/1/2006   7/1/2006   3/1/2036  1,646.13   6/1/2006  310,000.00
150449361  Primary    SFR             360      356  73.87   6.25   4/1/2006   8/1/2006   3/1/2036       625   7/1/2006  120,400.00
150462232  Primary    SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036  1,272.00   6/1/2006  254,400.00
150465979  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,398.54   6/1/2006  274,000.00
150466001  Primary    2-Family        360      356  78.43   6.25   4/1/2006   7/1/2006   3/1/2036  2,083.33   6/1/2006  400,000.00
150474344  Investor   SFR             360      355     80  6.375   3/1/2006   7/1/2006   2/1/2036     807.5   6/1/2006  152,000.00
150478733  Primary    SFR             360      356     80  6.625   4/1/2006   7/1/2006   3/1/2036    971.67   6/1/2006  176,000.00
150505824  Primary    SFR             360      356  76.39  6.125   4/1/2006   7/1/2006   3/1/2036  1,898.31   6/1/2006  372,000.00
150515534  Primary    SFR             360      356  79.99  6.375   4/1/2006   7/1/2006   3/1/2036    895.42   6/1/2006  168,550.00
150523447  Primary    SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036  1,531.28   6/1/2006  306,400.00
150543171  Primary    SFR             360      356  79.99  6.375   4/1/2006   7/1/2006   3/1/2036  1,284.03   6/1/2006  241,700.00
150544872  Primary    SFR             360      356     80      6   4/1/2006   8/1/2006   3/1/2036  1,636.00   7/1/2006  327,200.00
150545572  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,899.50   6/1/2006  380,000.00
150558724  Primary    Condo - Low     360      356     80  6.375   4/1/2006   8/1/2006   3/1/2036  1,848.74   7/1/2006  348,000.00
150560183  Secondary  SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036  1,583.58   6/1/2006  316,716.00
150570356  Primary    SFR             360      356     80   6.25   4/1/2006   8/1/2006   3/1/2036    936.58   7/1/2006  180,000.00
150576494  Primary    SFR             360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036    776.95   6/1/2006  146,250.00
150606382  Primary    Condo - Low     360      357  79.98   6.25   5/1/2006   7/1/2006   4/1/2036    548.96   6/1/2006  105,400.00
150606481  Primary    Condo - Low     360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,327.08   6/1/2006  260,000.00
150607463  Primary    SFR             360      356  93.38  6.375   4/1/2006   7/1/2006   3/1/2036  1,501.58   6/1/2006  282,650.00
150607489  Secondary  SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,937.50   6/1/2006  372,000.00
150608149  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036  1,022.98   6/1/2006  204,632.00
150608537  Primary    SFR             360      355     80      6   3/1/2006   8/1/2006   2/1/2036  1,439.53   7/1/2006  288,000.00
150633022  Primary    SFR             360      356     80   6.25   4/1/2006   8/1/2006   3/1/2036  1,804.17   7/1/2006  346,400.00
150639441  Primary    Condo - Low     360      355     75   6.25   3/1/2006   7/1/2006   2/1/2036  2,109.38   6/1/2006  405,000.00
150640746  Primary    Condo - Low     360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036  1,479.17   6/1/2006  284,000.00
150641439  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036  1,839.00   6/1/2006  367,800.00
150659118  Primary    Condo - Low     360      356  60.31  6.125   4/1/2006   7/1/2006   3/1/2036  1,000.42   6/1/2006  196,000.00
150660975  Primary    Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,541.67   6/1/2006  296,000.00
150662427  Primary    SFR             360      356     80    6.5   4/1/2006   7/1/2006   3/1/2036    836.33   6/1/2006  154,400.00
150664951  Primary    SFR             360      357  77.61   6.25   5/1/2006   7/1/2006   4/1/2036  1,354.17   6/1/2006  260,000.00
150688844  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,960.00   6/1/2006  392,000.00
150688927  Primary    SFR             360      356     95  6.375   4/1/2006   8/1/2006   3/1/2036  1,041.52   7/1/2006  196,650.00
150689768  Primary    Condo - High    360      356  79.99    6.5   4/1/2006   7/1/2006   3/1/2036  2,179.35   6/1/2006  402,450.00
150690972  Primary    Condo - High    360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036  1,500.00   7/1/2006  288,000.00
150693034  Primary    SFR             360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036  1,855.44   6/1/2006  349,260.00
150694586  Primary    SFR             360      357  79.99  6.125   5/1/2006   8/1/2006   4/1/2036  1,258.56   7/1/2006  246,700.00
150695815  Primary    SFR             360      356     80  6.375   4/1/2006   8/1/2006   3/1/2036  1,143.25   7/1/2006  215,200.00
150696466  Primary    2-Family        360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    958.33   6/1/2006  184,000.00
150696672  Investor   2-Family        360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036    958.33   6/1/2006  184,000.00
150700359  Investor   SFR             360      356     80    6.5   4/1/2006   7/1/2006   3/1/2036    541.67   6/1/2006  100,000.00
150703551  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,319.60   6/1/2006  263,920.00
150720316  Primary    SFR             360      355  74.77    6.5   3/1/2006   7/1/2006   2/1/2036  2,166.67   6/1/2006  400,000.00
150720472  Primary    SFR             360      356  71.22    6.5   4/1/2006   8/1/2006   3/1/2036  1,069.25   7/1/2006  198,000.00
150722296  Primary    Condo - Low     360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    616.25   7/1/2006  116,000.00
150725646  Primary    PUD Detached    360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,581.67   6/1/2006  292,000.00
150729895  Primary    SFR             360      357     95  6.125   5/1/2006   7/1/2006   4/1/2036  1,600.13   6/1/2006  313,500.00
150733616  Primary    SFR             360      355   89.2      6   3/1/2006   7/1/2006   2/1/2036  1,114.88   6/1/2006  223,000.00
150733673  Primary    SFR             360      354     80  6.125   2/1/2006   8/1/2006   1/1/2036  1,037.17   7/1/2006  203,200.00
150736767  Primary    Condo - Low     360      355  73.57   6.25   3/1/2006   7/1/2006   2/1/2036  1,067.22   6/1/2006  206,000.00
150789873  Secondary  Condo - High    360      357  78.93  6.125   5/1/2006   7/1/2006   4/1/2036  1,510.83   6/1/2006  296,000.00
150793933  Primary    Condo - Low     360      357  63.42   6.25   5/1/2006   8/1/2006   4/1/2036  1,833.33   7/1/2006  352,000.00
150798916  Secondary  SFR             360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036  1,153.65   6/1/2006  221,500.00
150800399  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,437.50   6/1/2006  276,000.00
150804185  Investor   SFR             360      357  79.99  6.625   5/1/2006   8/1/2006   4/1/2036  1,041.51   7/1/2006  188,650.00
150805372  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036       910   6/1/2006  168,000.00
150805893  Primary    SFR             360      357  77.22  6.125   5/1/2006   8/1/2006   4/1/2036  2,120.78   7/1/2006  417,000.00
150816239  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036       900   6/1/2006  180,000.00
150823367  Primary    SFR             360      357  37.17   6.25   5/1/2006   8/1/2006   4/1/2036  1,093.75   7/1/2006  210,000.00
150825115  Primary    SFR             360      356  79.96      6   4/1/2006   7/1/2006   3/1/2036       811   6/1/2006  162,200.00
150826063  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036    898.76   6/1/2006  179,752.00
150856615  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,104.17   6/1/2006  212,000.00
150859601  Primary    SFR             360      356  77.78   6.25   4/1/2006   7/1/2006   3/1/2036    911.22   6/1/2006  175,000.00
150887909  Investor   SFR             360      357     75   6.75   5/1/2006   8/1/2006   4/1/2036    716.82   7/1/2006  127,500.00
150890846  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,105.00   6/1/2006  208,000.00
150933729  Secondary  SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,568.49   6/1/2006  301,200.00
150935278  Primary    SFR             360      357  78.41  6.375   5/1/2006   7/1/2006   4/1/2036  1,832.81   6/1/2006  345,000.00
150940831  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,020.83   6/1/2006  196,000.00
150947182  Primary    SFR             360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036    993.75   7/1/2006  180,000.00
150951085  Primary    SFR             360      356  64.36  6.375   4/1/2006   7/1/2006   3/1/2036  1,726.56   6/1/2006  325,000.00
150953891  Primary    Condo - Low     360      357     80      6   5/1/2006   8/1/2006   4/1/2036  1,338.00   7/1/2006  268,000.00
150964195  Primary    SFR             360      356  61.35   6.25   4/1/2006   7/1/2006   3/1/2036  1,421.88   6/1/2006  273,000.00
150990547  Investor   SFR             360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036    458.33   6/1/2006   88,000.00
150993822  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,960.00   6/1/2006  384,000.00
150998649  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,848.75   6/1/2006  348,000.00
151017852  Investor   SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036  1,610.75   7/1/2006  303,200.00
151031614  Primary    Condo - Low     360      358  75.25  6.125   6/1/2006   7/1/2006   5/1/2036  1,521.04   6/1/2006  298,000.00
151041647  Primary    SFR             360      356     80  6.625   4/1/2006   7/1/2006   3/1/2036  1,216.79   6/1/2006  220,400.00
151041845  Primary    SFR             360      356     80  6.375   4/1/2006   8/1/2006   3/1/2036    743.75   7/1/2006  140,000.00
151056116  Investor   PUD Detached    360      357     80  6.375   5/1/2006   9/1/2006   4/1/2036  1,062.50   8/1/2006  200,000.00
151057296  Primary    SFR             360      358  50.69   6.25   6/1/2006   7/1/2006   5/1/2036    765.62   6/1/2006  147,000.00
151059573  Primary    SFR             360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036  2,127.81   6/1/2006  372,000.00
151064797  Investor   SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036  1,025.00   7/1/2006  196,800.00
151073533  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,300.00   6/1/2006  240,000.00
151082054  Investor   PUD Detached    360      357  64.99  6.375   5/1/2006   8/1/2006   4/1/2036  1,015.04   7/1/2006  191,150.00
151085834  Primary    PUD Detached    360      357  87.28   6.25   5/1/2006   7/1/2006   4/1/2036    714.95   6/1/2006  137,270.00
151089935  Primary    SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036    666.67   7/1/2006  128,000.00
151105608  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  1,389.04   6/1/2006  251,600.00
151105905  Primary    SFR             360      359     80    6.5   7/1/2006   7/1/2006   6/1/2036  2,058.33   7/1/2006  380,000.00
151113628  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,326.00   6/1/2006  265,200.00
151125937  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,104.17   6/1/2006  212,000.00
151134301  Primary    PUD Detached    360      357  74.02      6   5/1/2006   7/1/2006   4/1/2036  1,424.38   6/1/2006  284,875.00
151137767  Primary    SFR             360      357  55.32  6.125   5/1/2006   7/1/2006   4/1/2036  1,325.31   6/1/2006  260,000.00
151143146  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,657.50   6/1/2006  332,000.00
151148863  Secondary  Condo - High    360      357     70  6.625   5/1/2006   7/1/2006   4/1/2036  1,623.13   6/1/2006  294,000.00
151160173  Primary    SFR             360      357  79.95  6.625   5/1/2006   7/1/2006   4/1/2036  1,848.46   6/1/2006  335,000.00
151171857  Primary    SFR             360      357  78.19   6.25   5/1/2006   7/1/2006   4/1/2036  1,262.50   6/1/2006  242,400.00
151183969  Primary    SFR             360      357     80  6.125   5/1/2006   8/1/2006   4/1/2036    994.29   7/1/2006  194,800.00
151185709  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,876.81   6/1/2006  353,282.00
151202157  Primary    PUD Detached    360      357  89.98  6.375   5/1/2006   7/1/2006   4/1/2036    757.03   6/1/2006  142,500.00
151207024  Primary    SFR             360      357  62.23   6.25   5/1/2006   7/1/2006   4/1/2036  1,291.67   6/1/2006  248,000.00
151211638  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036  1,168.33   7/1/2006  219,920.00
151216967  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,270.83   6/1/2006  244,000.00
151217916  Secondary  SFR             360      357  78.82   6.25   5/1/2006   8/1/2006   4/1/2036  1,046.87   7/1/2006  201,000.00
151219284  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,639.67   6/1/2006  321,242.00
151232246  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  1,854.00   6/1/2006  329,600.00
151233392  Primary    SFR             360      357  76.21  6.625   5/1/2006   7/1/2006   4/1/2036  1,565.16   6/1/2006  283,500.00
151237831  Primary    PUD Detached    360      356     80  6.125   4/1/2006   8/1/2006   3/1/2036  1,633.33   7/1/2006  320,000.00
151243615  Primary    SFR             360      357     95   6.25   5/1/2006   7/1/2006   4/1/2036  2,102.86   6/1/2006  403,750.00
151248002  Primary    SFR             360      356     80    6.5   4/1/2006   7/1/2006   3/1/2036  1,202.50   6/1/2006  222,000.00
151252236  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,296.25   7/1/2006  244,000.00
151278793  Primary    SFR             360      358  78.39   6.25   6/1/2006   7/1/2006   5/1/2036  1,573.98   6/1/2006  302,204.00
151282712  Primary    SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036  1,053.75   7/1/2006  202,320.00
151298353  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036       810   6/1/2006  144,000.00
151302593  Primary    SFR             360      357  89.73    6.5   5/1/2006   7/1/2006   4/1/2036    898.65   6/1/2006  166,000.00
151302742  Primary    SFR             360      357  76.95    6.5   5/1/2006   8/1/2006   4/1/2036  1,083.33   7/1/2006  200,000.00
151304144  Primary    SFR             360      357  69.11  6.625   5/1/2006   7/1/2006   4/1/2036  1,507.19   6/1/2006  273,000.00
151305737  Primary    Condo - Low     360      357  78.44  6.375   5/1/2006   7/1/2006   4/1/2036  1,258.53   6/1/2006  236,900.00
151309622  Primary    SFR             360      356   74.8      6   4/1/2006   8/1/2006   3/1/2036       935   7/1/2006  187,000.00
151312667  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  2,041.67   6/1/2006  400,000.00
151335536  Primary    SFR             360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036  1,354.66   6/1/2006  240,829.00
151342359  Primary    SFR             360      358  79.44  6.375   6/1/2006   8/1/2006   5/1/2036    903.13   7/1/2006  170,000.00
151354578  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,624.68   6/1/2006  300,000.00
151355427  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    945.83   6/1/2006  181,600.00
151368743  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,958.33   6/1/2006  376,000.00
151383288  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,800.00   6/1/2006  360,000.00
151392131  Primary    SFR             360      358   78.3    6.5   6/1/2006   8/1/2006   5/1/2036    996.67   7/1/2006  184,000.00
151404605  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,776.25   6/1/2006  348,000.00
151412624  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    960.17   7/1/2006  180,800.00
151421831  Primary    SFR             360      357     75    6.5   5/1/2006   7/1/2006   4/1/2036  2,234.38   6/1/2006  412,500.00
151427945  Primary    SFR             360      357  64.54    6.5   5/1/2006   7/1/2006   4/1/2036  1,695.42   6/1/2006  313,000.00
151428729  Primary    SFR             360      357  78.89   6.25   5/1/2006   8/1/2006   4/1/2036  1,845.79   7/1/2006  355,000.00
151434065  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036    940.93   6/1/2006  173,710.00
151435724  Investor   SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,082.90   6/1/2006  199,920.00
151438215  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,278.33   6/1/2006  236,000.00
151447158  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036    547.73   6/1/2006  101,120.00
151465408  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,213.33   6/1/2006  224,000.00
151470648  Primary    SFR             360      358  74.42   6.75   6/1/2006   7/1/2006   5/1/2036  1,800.00   6/1/2006  320,000.00
151479623  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  2,020.83   6/1/2006  388,000.00
151485646  Primary    SFR             360      356     75  6.125   4/1/2006   7/1/2006   3/1/2036    853.67   6/1/2006  167,250.00
151493079  Primary    Condo - Low     360      356  79.91  6.375   4/1/2006   7/1/2006   3/1/2036  1,898.89   6/1/2006  358,000.00
151493715  Primary    2-Family        360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036  1,666.00   6/1/2006  313,600.00
151511151  Primary    Condo - Low     360      358     80      7   6/1/2006   7/1/2006   5/1/2036  1,693.53   6/1/2006  290,320.00
151514577  Primary    SFR             360      359     80   6.25   7/1/2006   8/1/2006   6/1/2036  2,083.26   7/1/2006  400,000.00
151534971  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,918.89   6/1/2006  376,000.00
151542271  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,379.17   6/1/2006  264,800.00
151562055  Primary    SFR             360      357     80      6   5/1/2006   8/1/2006   4/1/2036       812   7/1/2006  162,400.00
151570736  Primary    SFR             360      358  74.07  6.375   6/1/2006   8/1/2006   5/1/2036  2,125.00   7/1/2006  400,000.00
151572146  Primary    SFR             360      358  75.84      6   6/1/2006   7/1/2006   5/1/2036  1,349.25   6/1/2006  270,000.00
151581188  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,657.50   6/1/2006  312,000.00
151582541  Investor   SFR             360      357  56.64   6.25   5/1/2006   8/1/2006   4/1/2036  1,666.67   7/1/2006  320,000.00
151599727  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,389.58   6/1/2006  266,800.00
151605136  Investor   SFR             360      358  79.25  6.125   6/1/2006   7/1/2006   5/1/2036  1,285.74   6/1/2006  252,000.00
151609153  Secondary  SFR             360      358     80    6.5   6/1/2006  10/1/2006   5/1/2036  1,419.17   9/1/2006  263,200.00
151613007  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,466.67   7/1/2006  281,600.00
151621505  Primary    Condo - Low     360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,000.42   6/1/2006  196,000.00
151631207  Primary    Condo - Low     360      358  79.99      6   6/1/2006   7/1/2006   5/1/2036  1,519.60   6/1/2006  303,920.00
151646155  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036  1,147.25   7/1/2006  216,000.00
151651247  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,125.98   7/1/2006  211,950.00
151703139  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  2,058.33   7/1/2006  380,000.00
151711017  Investor   SFR             360      358  82.06   7.25   6/1/2006   8/1/2006   5/1/2036  1,537.00   7/1/2006  254,400.00
151712445  Primary    SFR             360      358  78.99      6   6/1/2006   7/1/2006   5/1/2036       940   6/1/2006  188,000.00
151718269  Primary    SFR             360      358  79.99    6.5   6/1/2006   7/1/2006   5/1/2036    910.81   6/1/2006  168,150.00
151726627  Primary    SFR             360      358  78.45   6.25   6/1/2006   7/1/2006   5/1/2036  2,057.29   6/1/2006  395,000.00
151738069  Primary    Condo - High    360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036       561   6/1/2006  105,600.00
151738671  Primary    SFR             360      359     80  6.125   7/1/2006   8/1/2006   6/1/2036  1,571.88   7/1/2006  307,960.00
151740503  Primary    SFR             360      358     70    6.5   6/1/2006   7/1/2006   5/1/2036  1,080.63   6/1/2006  199,500.00
151742574  Primary    SFR             360      358  63.49    6.5   6/1/2006   7/1/2006   5/1/2036  1,297.22   6/1/2006  240,000.00
151744505  Primary    Condo - High    360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  2,163.25   6/1/2006  407,200.00
151768926  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,244.00   6/1/2006  248,800.00
151769395  Primary    SFR             360      358  75.93  6.375   6/1/2006   7/1/2006   5/1/2036  1,068.93   6/1/2006  201,211.00
151792058  Primary    SFR             360      357   44.1   6.25   5/1/2006   8/1/2006   4/1/2036    892.14   7/1/2006  172,000.00
151806536  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,386.52   6/1/2006  266,320.00
151807047  Investor   SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036    527.08   6/1/2006   92,000.00
151827847  Investor   SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  2,203.97   6/1/2006  399,960.00
151837341  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,341.36   6/1/2006  257,600.00
151844701  Primary    SFR             360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,079.15   7/1/2006  215,830.00
151852829  Primary    PUD Detached    360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036    992.33   7/1/2006  183,200.00
151856473  Secondary  PUD Detached    360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036  1,426.75   7/1/2006  279,599.00
151873858  Primary    SFR             360      358   79.5  6.625   6/1/2006   7/1/2006   5/1/2036  2,097.92   6/1/2006  380,000.00
151928686  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036    641.68   6/1/2006  101,520.00
151946266  Primary    Condo - Low     360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,632.00   7/1/2006  326,400.00
151970654  Secondary  SFR             360      357  69.51  6.375   5/1/2006   7/1/2006   4/1/2036  1,514.06   6/1/2006  285,000.00
151986551  Primary    Condo - Low     360      359  75.79   6.25   7/1/2006   7/1/2006   6/1/2036  1,875.00   7/1/2006  360,000.00
152007571  Primary    Condo - Low     360      358   79.8   6.25   6/1/2006   8/1/2006   5/1/2036  2,057.29   7/1/2006  395,000.00
152011219  Primary    SFR             360      359     80   6.25   7/1/2006   7/1/2006   6/1/2036  1,875.00   7/1/2006  360,000.00
152020442  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036    949.58   7/1/2006  172,000.00
152042552  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,841.44   6/1/2006  299,072.00
152059259  Primary    Condo - Low     360      359     80      6   7/1/2006   8/1/2006   6/1/2036  1,440.00   7/1/2006  288,000.00
152062949  Primary    SFR             360      359   79.7   6.75   7/1/2006   7/1/2006   6/1/2036  1,479.38   7/1/2006  263,000.00
152200432  Primary    SFR             360      359  74.84    6.5   7/1/2006   8/1/2006   6/1/2036  1,256.67   7/1/2006  232,000.00
152223178  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,014.00   6/1/2006  202,800.00
152277562  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036     857.5   7/1/2006  168,000.00
152283305  Primary    SFR             360      358  74.17   6.25   6/1/2006   7/1/2006   5/1/2036     811.2   6/1/2006  155,750.00
152328704  Primary    SFR             360      358  47.37  6.375   6/1/2006   8/1/2006   5/1/2036  2,151.56   7/1/2006  405,000.00
152379988  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  2,101.67   6/1/2006  388,000.00
 51562536  Primary    SFR             360      358     80      6   6/1/2006   8/1/2006   5/1/2036    795.08   7/1/2006  159,016.00
 52940772  Secondary  SFR             360      358  54.98  6.375   6/1/2006   8/1/2006   5/1/2036  2,124.98   7/1/2006  400,000.00
 54411723  Secondary  SFR             360      358     95   6.25   6/1/2006   7/1/2006   5/1/2036  1,541.51   6/1/2006  295,969.00
 54621982  Primary    SFR             360      358     95    6.5   6/1/2006   7/1/2006   5/1/2036  2,150.01   6/1/2006  397,343.00
 61041794  Primary    SFR             360      359     80    6.5   7/1/2006   7/1/2006   6/1/2036     548.6   7/1/2006  101,280.00
 61198271  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,263.14   6/1/2006  247,473.00
 61397808  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,183.64   6/1/2006  236,828.00
 61612669  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036    791.91   7/1/2006  146,400.00
 61809265  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  2,248.98   6/1/2006  355,813.00
 63353783  Investor   SFR             360      358     70  6.125   6/1/2006   7/1/2006   5/1/2036  1,339.84   6/1/2006  262,500.00
 63363857  Investor   SFR             360      358  74.93  6.125   6/1/2006   7/1/2006   5/1/2036  1,109.14   6/1/2006  217,300.00
 63364327  Primary    SFR             360      358     65      6   6/1/2006   7/1/2006   5/1/2036  2,031.25   6/1/2006  406,250.00
 63548317  Primary    Condo - High    360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  2,054.88   6/1/2006  386,800.00
 63582951  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    875.73   6/1/2006  164,844.00
 63643472  Primary    SFR             360      359     90  6.125   7/1/2006   7/1/2006   6/1/2036    587.77   7/1/2006  115,155.00
 64080534  Secondary  Condo - Low     360      358    100  6.625   6/1/2006   7/1/2006   5/1/2036  1,780.06   6/1/2006  278,000.00
 64134489  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,515.13   7/1/2006  285,200.00
 64169709  Secondary  SFR             360      358  69.25   6.25   6/1/2006   7/1/2006   5/1/2036  1,406.25   6/1/2006  270,000.00
 64262322  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,397.80   6/1/2006  279,559.00
 64295702  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,572.50   7/1/2006  296,000.00
 64349822  Secondary  Condo - Low     360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  1,601.55   6/1/2006  284,720.00
 64451743  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036    747.35   6/1/2006  149,520.00
 64468077  Investor   SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036    824.58   6/1/2006  125,520.00
 64518004  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    815.97   7/1/2006  153,600.00
 64537293  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036  1,647.14   7/1/2006  298,400.00
 64551856  Primary    SFR             360      358     95   6.25   6/1/2006   7/1/2006   5/1/2036    949.48   6/1/2006  182,400.00
 64573017  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036       580   6/1/2006  116,000.00
 64623457  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  2,484.41   6/1/2006  388,000.00
 64672827  Primary    Condo - High    360      358     80  7.125   6/1/2006   7/1/2006   5/1/2036  1,495.78   6/1/2006  251,920.00
 64717515  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036    624.58   7/1/2006  119,920.00
 64744758  Investor   SFR             360      358     90   6.75   6/1/2006   7/1/2006   5/1/2036    384.75   6/1/2006   68,400.00
 64793839  Secondary  SFR             360      358     95  6.375   6/1/2006   7/1/2006   5/1/2036  1,409.26   6/1/2006  265,273.00
 64932361  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    675.75   7/1/2006  127,200.00
 64958911  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,071.90   7/1/2006  205,804.00
 65035347  Primary    SFR             360      358  63.59  6.375   6/1/2006   7/1/2006   5/1/2036  1,428.00   6/1/2006  269,000.00
146035423  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  2,125.00   6/1/2006  408,000.00
150452621  Primary    Condo - Low     360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036    795.43   6/1/2006  155,840.00
150581676  Primary    SFR             360      358  73.33  6.375   6/1/2006   7/1/2006   5/1/2036    876.56   6/1/2006  165,000.00
150627735  Primary    SFR             360      356  59.83  6.375   4/1/2006   8/1/2006   3/1/2036  1,858.88   7/1/2006  350,000.00
150702017  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036    693.84   6/1/2006  136,000.00
150765568  Primary    Condo - Low     360      357     80   6.75   5/1/2006   8/1/2006   4/1/2036  1,035.00   7/1/2006  184,000.00
150892198  Primary    SFR             360      357   78.6      6   5/1/2006   7/1/2006   4/1/2036  2,074.98   6/1/2006  415,000.00
150901031  Primary    SFR             360      355     80  6.375   3/1/2006   7/1/2006   2/1/2036  1,886.58   6/1/2006  302,400.00
150947547  Primary    SFR             360      357     80      7   5/1/2006   7/1/2006   4/1/2036  1,423.33   6/1/2006  244,000.00
151077872  Primary    SFR             360      357  94.44  6.375   5/1/2006   8/1/2006   4/1/2036    903.13   7/1/2006  170,000.00
151083193  Primary    SFR             360      358  79.97  6.625   6/1/2006   8/1/2006   5/1/2036    852.13   7/1/2006  154,350.00
151106655  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036     787.6   6/1/2006  157,520.00
151108347  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,399.60   6/1/2006  279,920.00
151108685  Primary    SFR             360      359     80      6   7/1/2006   8/1/2006   6/1/2036  1,539.60   7/1/2006  307,920.00
151110178  Primary    SFR             360      358  51.83   6.25   6/1/2006   7/1/2006   5/1/2036  1,916.67   6/1/2006  368,000.00
151117165  Primary    PUD Detached    360      357  79.98  6.375   5/1/2006   8/1/2006   4/1/2036    820.78   7/1/2006  154,600.00
151138948  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  2,018.75   6/1/2006  380,000.00
151176161  Primary    SFR             360      358  69.37  6.375   6/1/2006   7/1/2006   5/1/2036  2,044.77   6/1/2006  385,000.00
151190014  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036     777.3   6/1/2006  156,000.00
151214129  Primary    SFR             360      358  76.14    6.5   6/1/2006   7/1/2006   5/1/2036  1,443.54   6/1/2006  266,500.00
151244175  Primary    SFR             360      357  69.84  6.375   5/1/2006   8/1/2006   4/1/2036  1,168.75   7/1/2006  220,000.00
151258571  Primary    SFR             360      358   37.5      6   6/1/2006   7/1/2006   5/1/2036  1,875.00   6/1/2006  375,000.00
151281698  Investor   SFR             360      357  79.98  6.125   5/1/2006   7/1/2006   4/1/2036    717.39   6/1/2006  140,550.00
151298221  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036     365.5   6/1/2006   68,800.00
151310091  Primary    SFR             360      359     80      7   7/1/2006   7/1/2006   6/1/2036  2,006.67   7/1/2006  344,000.00
151323573  Primary    SFR             360      357  79.99      6   5/1/2006   7/1/2006   4/1/2036     659.5   6/1/2006  131,900.00
151329455  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,369.58   6/1/2006  262,960.00
151340734  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  2,036.32   6/1/2006  376,000.00
151360864  Primary    SFR             360      357  47.03  6.625   5/1/2006   7/1/2006   4/1/2036    930.26   6/1/2006  168,500.00
151383718  Primary    SFR             360      358  68.22    6.5   6/1/2006   9/1/2006   5/1/2036  1,975.75   8/1/2006  365,000.00
151389186  Investor   2-Family        360      358     65   6.25   6/1/2006   7/1/2006   5/1/2036  1,828.12   6/1/2006  351,000.00
151397098  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,875.00   6/1/2006  360,000.00
151399086  Primary    Condo - Low     360      357     80   6.75   5/1/2006   8/1/2006   4/1/2036  1,687.50   7/1/2006  300,000.00
151404878  Primary    Condo - Low     360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,090.00   7/1/2006  218,000.00
151408929  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,160.90   6/1/2006  214,320.00
151424991  Primary    PUD Detached    360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036    935.49   6/1/2006  172,720.00
151463767  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,334.50   6/1/2006  251,200.00
151478187  Primary    SFR             360      359     80   6.25   7/1/2006   8/1/2006   6/1/2036  1,354.17   7/1/2006  260,000.00
151489127  Investor   SFR             360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036  1,248.00   7/1/2006  230,400.00
151506912  Primary    SFR             360      358  79.34  6.375   6/1/2006   7/1/2006   5/1/2036  1,285.63   6/1/2006  242,000.00
151517265  Secondary  SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,668.33   6/1/2006  308,000.00
151517646  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,646.67   6/1/2006  304,000.00
151534625  Investor   SFR             360      358  52.85    6.5   6/1/2006   7/1/2006   5/1/2036  1,760.42   6/1/2006  325,000.00
151554797  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036       650   6/1/2006  120,000.00
151640687  Primary    SFR             360      355  79.99      6   3/1/2006   7/1/2006   2/1/2036  1,524.00   6/1/2006  304,800.00
151669017  Primary    Condo - Low     360      358  78.57  6.375   6/1/2006   8/1/2006   5/1/2036  1,168.65   7/1/2006  220,000.00
151671971  Primary    PUD Detached    360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,269.41   6/1/2006  248,800.00
151678356  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  2,250.00   6/1/2006  400,000.00
151689825  Primary    SFR             360      358  77.08  6.375   6/1/2006   7/1/2006   5/1/2036  1,965.63   6/1/2006  370,000.00
151696879  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036    733.17   6/1/2006  132,800.00
151698552  Primary    SFR             360      358  75.71  6.125   6/1/2006   8/1/2006   5/1/2036  1,352.60   7/1/2006  265,000.00
151714615  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    730.92   6/1/2006  143,200.00
151733201  Primary    Condo - Low     360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,420.00   7/1/2006  284,000.00
151764024  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036  1,856.78   7/1/2006  363,920.00
151773298  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,410.07   6/1/2006  260,320.00
151820537  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036    739.58   6/1/2006  142,000.00
151825734  Primary    Condo - Low     360      358  78.68   6.25   6/1/2006   7/1/2006   5/1/2036  2,171.87   6/1/2006  417,000.00
151843943  Primary    SFR             360      358  48.45   6.75   6/1/2006   7/1/2006   5/1/2036  1,321.88   6/1/2006  235,000.00
151850583  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    887.83   6/1/2006  167,120.00
151881992  Primary    SFR             360      358  79.75    6.5   6/1/2006   7/1/2006   5/1/2036  1,727.92   6/1/2006  319,000.00
151975166  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  1,440.00   6/1/2006  256,000.00
152061842  Primary    SFR             360      358  15.05    6.5   6/1/2006   8/1/2006   5/1/2036    379.17   7/1/2006   70,000.00
152134987  Investor   SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  2,031.67   6/1/2006  368,000.00
 50349828  Primary    SFR             360      356     90      6   4/1/2006   7/1/2006   3/1/2036    984.11   6/1/2006  196,821.00
 51754083  Secondary  SFR             360      358  91.14  6.625   6/1/2006   7/1/2006   5/1/2036  1,551.35   6/1/2006  281,000.00
 53788501  Primary    SFR             360      356  79.99  6.125   4/1/2006   7/1/2006   3/1/2036  1,619.04   6/1/2006  317,200.00
 57615734  Primary    SFR             360      356  47.55   6.25   4/1/2006   8/1/2006   3/1/2036    640.45   7/1/2006  123,000.00
 59448258  Primary    SFR             360      358  79.83      6   6/1/2006   8/1/2006   5/1/2036  1,441.01   7/1/2006  288,201.00
 59585372  Secondary  SFR             360      357     90   6.25   5/1/2006   7/1/2006   4/1/2036  1,921.76   6/1/2006  369,075.00
 59800821  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,549.41   6/1/2006  309,882.00
 59936013  Primary    SFR             360      357     95      7   5/1/2006   8/1/2006   4/1/2036  1,014.12   7/1/2006  173,850.00
 60396918  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  2,466.98   6/1/2006  400,667.00
 60426343  Secondary  Condo - Low     360      358     95   6.25   6/1/2006   7/1/2006   5/1/2036    969.25   6/1/2006  186,095.50
 60455482  Secondary  Condo - Low     360      357     95   6.25   5/1/2006   8/1/2006   4/1/2036    689.63   7/1/2006  112,005.00
 60736188  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  2,093.79   6/1/2006  410,212.00
 60859956  Secondary  Condo - High    360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,726.48   6/1/2006  327,200.00
 61240446  Primary    SFR             360      357     95  6.125   5/1/2006   7/1/2006   4/1/2036  1,330.49   6/1/2006  260,707.00
 61360293  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,162.99   6/1/2006  218,916.00
 61538468  Primary    SFR             360      354  77.24   6.75   2/1/2006   7/1/2006   1/1/2036  1,164.38   6/1/2006  207,000.00
 61820734  Primary    SFR             360      357  94.99      6   5/1/2006   7/1/2006   4/1/2036  1,251.00   6/1/2006  250,200.00
 62007232  Secondary  Condo - High    360      357     90  6.625   5/1/2006   7/1/2006   4/1/2036  1,788.75   6/1/2006  324,000.00
 62111901  Investor   SFR             360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036  1,002.58   7/1/2006  181,600.00
 62112313  Secondary  Condo - Low     360      357     95  6.625   5/1/2006   8/1/2006   4/1/2036    738.99   7/1/2006  133,855.00
 62167812  Secondary  Condo - Low     360      355     95  6.375   3/1/2006   7/1/2006   2/1/2036    923.53   6/1/2006  173,840.00
 62267539  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036    998.24   6/1/2006  200,029.00
 62295746  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036    441.43   6/1/2006   83,192.00
 62397344  Secondary  SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,425.45   7/1/2006  268,320.00
 62446158  Primary    Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036       940   6/1/2006  188,000.00
 62479159  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,939.39   6/1/2006  380,000.00
 62551072  Secondary  Condo - Low     360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036    592.23   7/1/2006  113,708.00
 62636238  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,674.86   6/1/2006  309,204.00
 62674098  Primary    2-Family        360      357  79.05      6   5/1/2006   7/1/2006   4/1/2036  2,075.00   6/1/2006  415,000.00
 62688478  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  2,062.08   6/1/2006  404,000.00
 62699061  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,284.24   6/1/2006  251,606.00
 62730676  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,230.38   6/1/2006  231,600.00
 62733837  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,766.22   6/1/2006  319,920.00
 62740949  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,625.17   6/1/2006  318,400.00
 62877576  Investor   SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    674.15   6/1/2006  129,437.00
 62936117  Investor   SFR             360      357  79.44  6.125   5/1/2006   7/1/2006   4/1/2036  1,459.79   6/1/2006  286,000.00
 62980917  Primary    Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036    897.11   6/1/2006  162,495.00
 63029607  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,350.44   6/1/2006  270,088.00
 63047435  Primary    2-Family        360      357     70  6.375   5/1/2006   7/1/2006   4/1/2036    966.34   6/1/2006  182,000.00
 63104996  Primary    SFR             360      358  65.85  6.625   6/1/2006   8/1/2006   5/1/2036  1,221.48   7/1/2006  221,250.00
 63105076  Investor   SFR             360      358   77.7   6.75   6/1/2006   7/1/2006   5/1/2036  1,293.75   6/1/2006  230,000.00
 63110902  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    869.75   6/1/2006  170,400.00
 63133441  Primary    Condo - Low     360      357  78.41   6.25   5/1/2006   7/1/2006   4/1/2036  1,588.54   6/1/2006  305,000.00
 63158935  Secondary  Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,147.29   6/1/2006  215,960.00
 63179956  Secondary  SFR             360      358  69.78   6.25   6/1/2006   7/1/2006   5/1/2036  1,322.92   6/1/2006  254,000.00
 63184519  Primary    Condo - Low     360      358     90      6   6/1/2006   7/1/2006   5/1/2036    553.05   6/1/2006  110,610.00
 63194062  Primary    SFR             360      358     80   6.75   6/1/2006   8/1/2006   5/1/2036  1,170.00   7/1/2006  208,000.00
 63238976  Investor   SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  1,869.95   6/1/2006  338,708.00
 63261176  Secondary  SFR             360      357     75  6.375   5/1/2006   7/1/2006   4/1/2036    842.22   6/1/2006  135,000.00
 63262992  Primary    SFR             360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036  1,516.67   7/1/2006  280,000.00
 63264774  Primary    SFR             360      357  79.86   6.25   5/1/2006   7/1/2006   4/1/2036  1,164.58   6/1/2006  223,600.00
 63271027  Primary    SFR             360      358     90   6.25   6/1/2006   7/1/2006   5/1/2036    972.66   6/1/2006  186,750.00
 63285803  Primary    SFR             360      357  79.99  6.625   5/1/2006   7/1/2006   4/1/2036    857.55   6/1/2006  155,350.00
 63298665  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036    980.09   6/1/2006  192,080.00
 63303952  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036    869.55   6/1/2006  163,680.00
 63368021  Primary    SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036    832.29   7/1/2006  160,000.00
 63373021  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,000.21   6/1/2006  195,960.00
 63415921  Primary    SFR             360      357     95  6.125   5/1/2006   7/1/2006   4/1/2036  1,151.04   6/1/2006  225,625.00
 63470462  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036    736.67   6/1/2006  136,000.00
 63471544  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036       992   6/1/2006  198,400.00
 63472757  Investor   SFR             360      357   68.8  6.375   5/1/2006   8/1/2006   4/1/2036    913.75   7/1/2006  172,000.00
 63533822  Primary    Condo - Low     360      358     95   6.25   6/1/2006   7/1/2006   5/1/2036  1,782.41   6/1/2006  342,674.00
 63557789  Primary    SFR             360      358  71.95   6.25   6/1/2006   8/1/2006   5/1/2036    617.19   7/1/2006  236,000.00
 63573596  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,520.31   6/1/2006  292,000.00
 63600944  Primary    2-Family        360      357  58.47      6   5/1/2006   7/1/2006   4/1/2036     457.5   6/1/2006   91,500.00
 63636393  Primary    SFR             360      357  41.01      6   5/1/2006   7/1/2006   4/1/2036  1,630.00   6/1/2006  326,000.00
 63644181  Primary    Condo - High    360      357     95   6.75   5/1/2006   7/1/2006   4/1/2036  1,540.15   6/1/2006  273,882.00
 63650683  Primary    Condo - Low     360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,317.49   6/1/2006  263,600.00
 63652135  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,840.00   6/1/2006  368,000.00
 63657712  Secondary  Condo - Low     360      358     95  6.375   6/1/2006   7/1/2006   5/1/2036  1,412.87   6/1/2006  265,952.00
 63691521  Primary    SFR             360      357  94.85  6.375   5/1/2006   7/1/2006   4/1/2036    952.35   6/1/2006  179,266.00
 63709687  Primary    Condo - High    360      357     95  6.625   5/1/2006   7/1/2006   4/1/2036  1,782.74   6/1/2006  323,000.00
 63719322  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036    931.67   6/1/2006  172,000.00
 63737472  Primary    Condo - Low     360      357     70  6.375   5/1/2006   8/1/2006   4/1/2036    818.13   7/1/2006  154,000.00
 63757553  Investor   SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036       624   6/1/2006  124,800.00
 63761704  Primary    Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036       918   6/1/2006  183,600.00
 63767123  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036    873.83   7/1/2006  171,200.00
 63768501  Primary    Condo - Low     360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,089.87   6/1/2006  214,000.00
 63778625  Primary    Condo - Low     360      358     90  6.375   6/1/2006   8/1/2006   5/1/2036    688.02   7/1/2006  129,510.00
 63802466  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  2,029.32   6/1/2006  389,630.00
 63810394  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036     937.5   6/1/2006  180,000.00
 63834261  Primary    Condo - Low     360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036    550.84   6/1/2006  107,920.00
 63878169  Primary    SFR             360      358     75  6.625   6/1/2006   7/1/2006   5/1/2036  1,863.28   6/1/2006  337,500.00
 63886196  Primary    SFR             360      358     95  6.625   6/1/2006   8/1/2006   5/1/2036  1,652.11   7/1/2006  299,250.00
 63888887  Primary    Condo - Low     360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036    922.57   6/1/2006  170,320.00
 63908172  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,232.13   6/1/2006  231,992.00
 63932008  Primary    Condo - Low     360      359     80   6.25   7/1/2006   7/1/2006   6/1/2036       875   7/1/2006  168,000.00
 63936215  Secondary  Condo - High    360      359     80  6.125   7/1/2006   7/1/2006   6/1/2036  1,939.58   7/1/2006  380,000.00
 63995245  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,627.71   6/1/2006  306,392.00
 64001787  Secondary  Condo - Low     360      357     90    6.5   5/1/2006   7/1/2006   4/1/2036  2,428.47   6/1/2006  384,210.00
 64024227  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,739.80   6/1/2006  347,960.00
 64024888  Secondary  Condo - High    360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036  1,485.90   7/1/2006  274,320.00
 64026669  Primary    Condo - Low     360      358  66.16   6.25   6/1/2006   7/1/2006   5/1/2036    981.77   6/1/2006  188,500.00
 64034739  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,249.46   6/1/2006  235,192.00
 64042872  Primary    SFR             360      357  79.99  6.375   5/1/2006   7/1/2006   4/1/2036    653.97   6/1/2006  123,100.00
 64046345  Secondary  Condo - Low     360      359     80   6.25   7/1/2006   7/1/2006   6/1/2036  1,320.42   7/1/2006  253,520.00
 64070873  Primary    SFR             360      357  73.25   6.25   5/1/2006   7/1/2006   4/1/2036  1,945.83   6/1/2006  373,600.00
 64081706  Secondary  Condo - Low     360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    658.71   7/1/2006  123,992.00
 64100951  Primary    SFR             360      358  76.82   6.25   6/1/2006   7/1/2006   5/1/2036  1,360.42   6/1/2006  261,200.00
 64112634  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036  1,538.48   7/1/2006  289,600.00
 64126808  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036     820.5   6/1/2006  164,132.00
 64132905  Secondary  SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036    448.76   6/1/2006   87,920.00
 64138068  Primary    Condo - High    360      358     90   6.75   6/1/2006   7/1/2006   5/1/2036  1,290.94   6/1/2006  229,500.00
 64140221  Primary    SFR             360      358  76.42   6.25   6/1/2006   7/1/2006   5/1/2036  1,536.46   6/1/2006  295,000.00
 64148984  Primary    SFR             360      357  70.42   6.25   5/1/2006   7/1/2006   4/1/2036  1,040.10   6/1/2006  200,000.00
 64151277  Secondary  SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,816.88   6/1/2006  342,000.00
 64165665  Primary    Condo - Low     360      358  75.82   6.25   6/1/2006   8/1/2006   5/1/2036  1,796.87   7/1/2006  345,000.00
 64180326  Secondary  Condo - High    360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  2,129.58   6/1/2006  404,800.00
 64185317  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,147.92   6/1/2006  184,000.00
 64197759  Secondary  SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,422.42   7/1/2006  268,000.00
 64204936  Primary    Condo - High    360      358  77.64   6.25   6/1/2006   8/1/2006   5/1/2036  1,953.12   7/1/2006  375,000.00
 64212491  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,062.50   6/1/2006  200,000.00
 64214083  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,579.22   6/1/2006  297,265.00
 64215635  Secondary  SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036  1,960.00   7/1/2006  384,000.00
 64221864  Primary    Condo - Low     360      358     79  6.125   6/1/2006   7/1/2006   5/1/2036  1,173.40   6/1/2006  229,890.00
 64229016  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,840.00   6/1/2006  368,000.00
 64242688  Secondary  Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036    630.23   6/1/2006  118,728.00
 64246952  Secondary  Condo - Low     360      357  79.71   6.25   5/1/2006   7/1/2006   4/1/2036    782.92   6/1/2006  150,320.00
 64251291  Primary    SFR             360      358  70.98    6.5   6/1/2006   7/1/2006   5/1/2036  1,543.75   6/1/2006  285,000.00
 64265838  Primary    SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036    570.83   7/1/2006  109,600.00
 64268725  Primary    SFR             360      357     80      6   5/1/2006   8/1/2006   4/1/2036     663.6   7/1/2006  132,720.00
 64278989  Secondary  SFR             360      358  79.98   6.25   6/1/2006   7/1/2006   5/1/2036  2,078.65   6/1/2006  399,100.00
 64284219  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036     965.9   6/1/2006  178,320.00
 64284813  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,522.33   6/1/2006  292,287.00
 64286602  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036    620.46   6/1/2006  116,792.00
 64287642  Primary    Condo - Low     360      358  64.79    6.5   6/1/2006   7/1/2006   5/1/2036  1,245.83   6/1/2006  230,000.00
 64290299  Primary    Condo - Low     360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,128.00   6/1/2006  225,600.00
 64293681  Primary    Condo - High    360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    890.96   6/1/2006  174,556.00
 64303944  Primary    SFR             360      358  76.91  6.125   6/1/2006   7/1/2006   5/1/2036  1,982.33   6/1/2006  388,375.00
 64335821  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  2,123.33   7/1/2006  392,000.00
 64339906  Secondary  SFR             360      358     95  6.375   6/1/2006   7/1/2006   5/1/2036  1,540.37   6/1/2006  246,905.00
 64342744  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    894.25   6/1/2006  175,200.00
 64351026  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,105.00   6/1/2006  208,000.00
 64372691  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  2,083.33   7/1/2006  400,000.00
 64391105  Primary    SFR             360      357     95  6.875   5/1/2006   7/1/2006   4/1/2036  2,068.23   6/1/2006  361,000.00
 64400575  Primary    Condo - Low     360      357     95    6.5   5/1/2006   7/1/2006   4/1/2036  1,028.63   6/1/2006  189,900.00
 64415441  Primary    Condo - Low     360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036    971.22   7/1/2006  175,920.00
 64417868  Secondary  Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,010.42   6/1/2006  194,000.00
 64421548  Primary    SFR             360      358  71.57    6.5   6/1/2006   7/1/2006   5/1/2036  1,186.25   6/1/2006  219,000.00
 64423791  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,995.62   6/1/2006  383,160.00
 64464399  Primary    Condo - Low     360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,280.00   6/1/2006  256,000.00
 64488869  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,120.42   6/1/2006  215,120.00
 64495575  Primary    Condo - Low     360      358  65.59  6.125   6/1/2006   8/1/2006   5/1/2036     622.7   7/1/2006  122,000.00
 64495732  Secondary  Condo - High    360      358  70.68    6.5   6/1/2006   8/1/2006   5/1/2036  2,258.75   7/1/2006  417,000.00
 64507114  Secondary  Condo - Low     360      359     80    6.5   7/1/2006   8/1/2006   6/1/2036  1,212.90   7/1/2006  223,920.00
 64508542  Secondary  SFR             360      357     90    6.5   5/1/2006   7/1/2006   4/1/2036  1,522.60   6/1/2006  281,096.00
 64528516  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036    658.67   6/1/2006  121,600.00
 64532781  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,629.80   6/1/2006  300,986.00
 64587777  Primary    SFR             360      358  66.67  6.375   6/1/2006   7/1/2006   5/1/2036  1,859.38   6/1/2006  350,000.00
 64591431  Secondary  Condo - High    360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,740.00   6/1/2006  348,000.00
 64596778  Secondary  Condo - Low     360      358     95    6.5   6/1/2006   7/1/2006   5/1/2036  1,064.67   6/1/2006  196,555.00
 64600844  Primary    Condo - Low     360      359     95  6.375   7/1/2006   9/1/2006   6/1/2036     807.5   8/1/2006  152,000.00
 64611635  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,229.58   6/1/2006  227,000.00
 64614423  Secondary  Condo - Low     360      358     95   6.75   6/1/2006   7/1/2006   5/1/2036    983.19   6/1/2006  174,790.00
 64625155  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036       900   6/1/2006  172,800.00
 64632086  Secondary  Condo - Low     360      359     80  6.625   7/1/2006   7/1/2006   6/1/2036    874.06   7/1/2006  158,320.00
 64633324  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,053.50   6/1/2006  206,400.00
 64639008  Primary    Condo - Low     360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,131.60   7/1/2006  226,320.00
 64647175  Primary    SFR             360      358   73.8   6.25   6/1/2006   8/1/2006   5/1/2036  1,041.67   7/1/2006  200,000.00
 64650724  Primary    SFR             360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,140.00   7/1/2006  228,000.00
 64651037  Primary    SFR             360      359  85.41  6.375   7/1/2006   7/1/2006   6/1/2036  1,057.19   7/1/2006  199,000.00
 64656358  Primary    SFR             360      358  75.92  6.375   6/1/2006   7/1/2006   5/1/2036  1,700.00   6/1/2006  320,000.00
 64656861  Primary    SFR             360      358  72.44  6.125   6/1/2006   8/1/2006   5/1/2036  1,694.27   7/1/2006  333,238.00
 64663503  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,285.23   6/1/2006  252,000.00
 64681323  Primary    Condo - Low     360      358     80  7.125   6/1/2006   7/1/2006   5/1/2036  1,557.64   6/1/2006  231,200.00
 64691223  Secondary  Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,664.64   6/1/2006  301,520.00
 64692924  Investor   SFR             360      358   63.1   6.25   6/1/2006   7/1/2006   5/1/2036  1,906.25   6/1/2006  366,000.00
 64704901  Primary    Condo - Low     360      358  78.08  6.125   6/1/2006   8/1/2006   5/1/2036  1,454.69   7/1/2006  285,000.00
 64705536  Primary    SFR             360      358  70.91      6   6/1/2006   7/1/2006   5/1/2036  1,950.00   6/1/2006  390,000.00
 64705593  Secondary  Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    580.89   6/1/2006  109,344.00
 64725575  Secondary  Condo - High    360      358     80      6   6/1/2006   7/1/2006   5/1/2036     723.2   6/1/2006  144,640.00
 64728462  Primary    SFR             360      359     80      6   7/1/2006   7/1/2006   6/1/2036  1,236.95   7/1/2006  247,390.00
 64738362  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  2,216.58   7/1/2006  360,000.00
 64742307  Primary    SFR             360      358     75  6.375   6/1/2006   7/1/2006   5/1/2036  2,573.46   6/1/2006  412,500.00
 64744725  Primary    SFR             360      358     80   6.75   6/1/2006   8/1/2006   5/1/2036  2,050.83   7/1/2006  364,592.00
 64755358  Investor   SFR             360      358     90   6.75   6/1/2006   7/1/2006   5/1/2036  1,006.73   6/1/2006  178,974.00
 64756463  Primary    SFR             360      359     80  6.875   7/1/2006   7/1/2006   6/1/2036    912.08   7/1/2006  159,200.00
 64760093  Primary    SFR             360      359     80  6.375   7/1/2006   7/1/2006   6/1/2036       714   7/1/2006  134,400.00
 64762701  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036     657.1   6/1/2006  103,960.00
 64764954  Primary    SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  1,145.83   6/1/2006  200,000.00
 64794373  Secondary  Condo - Low     360      359     80   6.75   7/1/2006   7/1/2006   6/1/2036  1,223.55   7/1/2006  217,520.00
 64804487  Primary    SFR             360      359     80  6.375   7/1/2006   8/1/2006   6/1/2036  2,345.75   7/1/2006  376,000.00
 64820624  Secondary  SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036    599.69   6/1/2006  115,140.00
 64844327  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,124.62   6/1/2006  215,927.00
 64862238  Primary    Condo - Low     360      358  78.25  6.375   6/1/2006   7/1/2006   5/1/2036    955.72   6/1/2006  179,900.00
 64869936  Secondary  SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    518.35   6/1/2006  101,600.00
 64903529  Primary    Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036    873.89   6/1/2006  158,289.60
 64916307  Secondary  Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,310.28   6/1/2006  246,640.00
 64918824  Primary    SFR             360      359     80    6.5   7/1/2006   8/1/2006   6/1/2036  1,567.53   7/1/2006  248,000.00
 64931264  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    818.91   7/1/2006  154,148.00
 64988173  Primary    SFR             360      359     70  6.375   7/1/2006   7/1/2006   6/1/2036  1,785.00   7/1/2006  336,000.00
 65010159  Primary    Condo - High    360      358   79.9  6.125   6/1/2006   7/1/2006   5/1/2036  1,694.58   6/1/2006  332,000.00
 65010704  Primary    SFR             360      359     80  6.375   7/1/2006   7/1/2006   6/1/2036  2,116.46   7/1/2006  398,392.00
 65014037  Secondary  SFR             360      358     95  6.625   6/1/2006   7/1/2006   5/1/2036    713.29   6/1/2006  129,200.00
 65020356  Primary    SFR             360      359     80   7.25   7/1/2006   8/1/2006   6/1/2036  1,691.67   7/1/2006  280,000.00
 65023988  Primary    Condo - Low     360      359     80  6.125   7/1/2006   8/1/2006   6/1/2036    808.46   7/1/2006  158,392.00
 65058687  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  2,210.92   6/1/2006  400,468.00
 65088981  Secondary  Condo - Low     360      359     90   7.25   7/1/2006   7/1/2006   6/1/2036  1,233.14   7/1/2006  180,765.00
 65119042  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    913.75   6/1/2006  172,000.00
 65135808  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,633.90   6/1/2006  307,640.00
 65144792  Secondary  SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  2,070.56   6/1/2006  375,044.00
 65193187  Secondary  Condo - Low     360      359     80  6.375   7/1/2006   7/1/2006   6/1/2036  1,168.33   7/1/2006  219,920.00
 65196008  Primary    Condo - Low     360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036    768.16   6/1/2006  134,080.00
 65216095  Secondary  SFR             360      359     80      6   7/1/2006   7/1/2006   6/1/2036  1,419.37   7/1/2006  283,874.00
 65219826  Primary    SFR             360      359     80      6   7/1/2006   8/1/2006   6/1/2036       685   7/1/2006  137,000.00
 65245482  Primary    Condo - Low     360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036  1,316.12   7/1/2006  238,392.00
 65279713  Secondary  Condo - Low     360      358  79.26   6.75   6/1/2006   7/1/2006   5/1/2036    860.06   6/1/2006  152,900.00
 65318693  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,208.33   6/1/2006  232,000.00
 65411084  Secondary  Condo - Low     360      359  28.74   6.25   7/1/2006   7/1/2006   6/1/2036  1,041.67   7/1/2006  200,000.00
146256722  Investor   SFR             360      357  89.99  6.375   5/1/2006   8/1/2006   4/1/2036  1,051.76   7/1/2006  197,978.00
146979208  Primary    SFR             360      359     80  6.625   7/1/2006   7/1/2006   6/1/2036  1,452.72   7/1/2006  263,134.00
147073548  Primary    SFR             360      351     95      6  11/1/2005   7/1/2006  10/1/2035    791.35   6/1/2006  158,270.00
148931405  Investor   SFR             360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036    573.88   6/1/2006  108,024.00
149000929  Primary    PUD Detached    360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036     991.1   6/1/2006  190,290.00
149312969  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,863.24   6/1/2006  357,742.00
149509788  Primary    Condo - High    360      355     95   6.25   3/1/2006   8/1/2006   2/1/2036  1,088.44   7/1/2006  209,000.00
149545147  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036     857.5   6/1/2006  168,000.00
149796146  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  2,029.54   6/1/2006  397,624.00
149896516  Secondary  SFR             360      358  47.33      6   6/1/2006   7/1/2006   5/1/2036       497   6/1/2006   99,400.00
149994212  Primary    Condo - Low     360      355  79.76      6   3/1/2006   7/1/2006   2/1/2036    757.31   6/1/2006  151,500.00
149996936  Primary    SFR             360      355  94.98  6.375   3/1/2006   7/1/2006   2/1/2036  1,428.27   6/1/2006  268,850.00
150028868  Primary    Condo - Low     360      356  94.87  6.125   4/1/2006   7/1/2006   3/1/2036    710.23   6/1/2006  139,146.00
150032647  Primary    Condo - Low     360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,833.86   6/1/2006  359,286.00
150098499  Primary    SFR             360      356     80  6.625   4/1/2006   7/1/2006   3/1/2036  1,497.25   6/1/2006  271,200.00
150171825  Secondary  Condo - Low     360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036     564.6   6/1/2006  110,616.00
150180891  Secondary  Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,980.00   6/1/2006  396,000.00
150241529  Primary    SFR             360      356     80   6.75   4/1/2006   7/1/2006   3/1/2036  2,224.62   6/1/2006  395,488.00
150245934  Secondary  PUD Detached    360      355     95      6   3/1/2006   8/1/2006   2/1/2036  1,387.74   7/1/2006  277,547.00
150247641  Primary    Condo - Low     360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,740.32   6/1/2006  340,959.00
150248672  Primary    PUD Detached    360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,007.73   6/1/2006  197,432.00
150260743  Secondary  SFR             360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036  1,392.53   6/1/2006  262,124.00
150349256  Primary    SFR             360      357     80      6   5/1/2006   8/1/2006   4/1/2036       768   7/1/2006  153,600.00
150357648  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,190.30   6/1/2006  233,200.00
150405884  Primary    SFR             360      356  79.72    6.5   4/1/2006   8/1/2006   3/1/2036  1,402.92   7/1/2006  259,000.00
150427193  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036     437.5   6/1/2006   84,000.00
150429041  Secondary  SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036       455   6/1/2006   84,000.00
150461093  Secondary  SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036    722.59   6/1/2006  141,600.00
150476091  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036       980   6/1/2006  196,000.00
150485985  Primary    Condo - High    360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036  1,408.33   7/1/2006  260,000.00
150507168  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,672.00   6/1/2006  334,400.00
150538676  Primary    Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    518.62   6/1/2006   99,575.00
150541894  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,376.08   6/1/2006  269,600.00
150574291  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,786.00   6/1/2006  357,200.00
150587848  Primary    PUD Detached    360      357  79.82      6   5/1/2006   7/1/2006   4/1/2036    652.29   6/1/2006  130,500.00
150591493  Primary    SFR             360      357  79.99  6.125   5/1/2006   7/1/2006   4/1/2036  1,866.06   6/1/2006  365,600.00
150594778  Primary    SFR             360      357  79.78      6   5/1/2006   7/1/2006   4/1/2036  1,420.00   6/1/2006  284,000.00
150599165  Primary    Condo - Low     360      357  79.69  6.125   5/1/2006   7/1/2006   4/1/2036  1,972.11   6/1/2006  386,500.00
150631158  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,351.60   6/1/2006  270,320.00
150645984  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  2,009.58   6/1/2006  364,000.00
150649168  Primary    SFR             360      357  37.18   6.25   5/1/2006   7/1/2006   4/1/2036  2,130.21   6/1/2006  409,000.00
150670651  Primary    SFR             360      356  79.64  6.125   4/1/2006   7/1/2006   3/1/2036  1,441.42   6/1/2006  282,400.00
150682532  Primary    Condo - Low     360      357     95  6.625   5/1/2006   7/1/2006   4/1/2036    608.34   6/1/2006  110,190.00
150687606  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    581.25   6/1/2006  111,600.00
150688067  Primary    SFR             360      357  43.75      6   5/1/2006   7/1/2006   4/1/2036       873   6/1/2006  175,000.00
150704245  Primary    SFR             360      357   73.2  6.625   5/1/2006   7/1/2006   4/1/2036  1,463.02   6/1/2006  265,000.00
150725992  Primary    Condo - Low     360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036  1,170.42   7/1/2006  212,000.00
150727485  Secondary  SFR             360      356  89.99   6.25   4/1/2006   7/1/2006   3/1/2036  1,312.24   6/1/2006  251,950.00
150737229  Primary    Condo - Low     360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,399.87   7/1/2006  280,000.00
150737518  Secondary  SFR             360      357    100   6.25   5/1/2006   8/1/2006   4/1/2036  1,677.08   7/1/2006  322,000.00
150754844  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,000.00   6/1/2006  192,000.00
150760627  Primary    SFR             360      357  46.15   6.25   5/1/2006   7/1/2006   4/1/2036  1,562.50   6/1/2006  300,000.00
150770584  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    829.17   6/1/2006  159,200.00
150773596  Primary    SFR             360      358  79.96    6.5   6/1/2006   8/1/2006   5/1/2036  2,074.58   7/1/2006  383,000.00
150781458  Investor   SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,208.34   6/1/2006  232,000.00
150782068  Investor   SFR             360      357  56.67  6.375   5/1/2006   7/1/2006   4/1/2036     767.7   6/1/2006  144,508.00
150786432  Primary    SFR             360      356     51    6.5   4/1/2006   7/1/2006   3/1/2036  1,381.26   6/1/2006  255,000.00
150787729  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,600.67   6/1/2006  313,600.00
150795094  Primary    SFR             360      357   77.4   6.25   5/1/2006   7/1/2006   4/1/2036  2,015.62   6/1/2006  387,000.00
150804862  Primary    SFR             360      357  72.73   6.25   5/1/2006   7/1/2006   4/1/2036  2,083.33   6/1/2006  400,000.00
150823102  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,799.60   6/1/2006  359,920.00
150830743  Primary    Condo - Low     360      357     80  6.125   5/1/2006   8/1/2006   4/1/2036  1,078.00   7/1/2006  211,200.00
150837771  Investor   SFR             360      358  77.95  6.375   6/1/2006   7/1/2006   5/1/2036    343.72   6/1/2006   64,700.00
150843472  Primary    Condo - Low     360      357  78.85  6.125   5/1/2006   7/1/2006   4/1/2036    951.42   6/1/2006  186,400.00
150848182  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036       720   6/1/2006  144,000.00
150848828  Primary    SFR             360      357  73.91   6.75   5/1/2006   8/1/2006   4/1/2036  1,434.38   7/1/2006  255,000.00
150849958  Investor   SFR             360      357  77.65  6.375   5/1/2006   7/1/2006   4/1/2036    701.25   6/1/2006  132,000.00
150850477  Investor   SFR             360      357  71.51  6.375   5/1/2006   7/1/2006   4/1/2036       680   6/1/2006  128,000.00
150857993  Primary    SFR             360      357  72.86  6.125   5/1/2006   8/1/2006   4/1/2036  2,082.50   7/1/2006  408,000.00
150861086  Primary    SFR             360      357  83.92    6.5   5/1/2006   7/1/2006   4/1/2036    904.58   6/1/2006  167,000.00
150872844  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,092.00   6/1/2006  201,600.00
150881126  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,436.61   6/1/2006  265,220.00
150889574  Primary    SFR             360      357     80  6.125   5/1/2006   8/1/2006   4/1/2036  1,837.50   7/1/2006  360,000.00
150892131  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,796.05   6/1/2006  344,942.00
150893709  Primary    SFR             360      357     75  6.625   5/1/2006   7/1/2006   4/1/2036  1,532.03   6/1/2006  277,500.00
150895142  Primary    SFR             360      357  77.22   6.25   5/1/2006   7/1/2006   4/1/2036  2,171.88   6/1/2006  417,000.00
150899037  Primary    SFR             360      359     80  6.125   7/1/2006   7/1/2006   6/1/2036    910.58   7/1/2006  178,400.00
150899789  Investor   SFR             360      357     90  6.875   5/1/2006   8/1/2006   4/1/2036  1,211.72   7/1/2006  211,500.00
150906014  Primary    SFR             360      357     80      6   5/1/2006   8/1/2006   4/1/2036  1,320.00   7/1/2006  264,000.00
150933794  Primary    SFR             360      357     95  6.125   5/1/2006   7/1/2006   4/1/2036  1,068.63   6/1/2006  209,365.00
150940195  Primary    SFR             360      357     80      6   5/1/2006   8/1/2006   4/1/2036       982   7/1/2006  196,400.00
150943017  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036     999.6   6/1/2006  199,920.00
150948628  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,640.10   6/1/2006  321,324.00
150952711  Primary    SFR             360      357  79.41  6.125   5/1/2006   7/1/2006   4/1/2036  2,067.19   6/1/2006  405,000.00
150953867  Primary    Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,760.00   6/1/2006  352,000.00
150958338  Primary    SFR             360      358     75  6.375   6/1/2006   8/1/2006   5/1/2036  1,892.58   7/1/2006  356,250.00
150972735  Primary    Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    429.17   6/1/2006   82,400.00
150978385  Primary    SFR             360      357  72.16   6.25   5/1/2006   7/1/2006   4/1/2036  1,916.67   6/1/2006  368,000.00
150985018  Primary    SFR             360      358     95    6.5   6/1/2006   7/1/2006   5/1/2036  1,466.56   6/1/2006  270,750.00
150993038  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,610.75   6/1/2006  303,200.00
151001187  Primary    SFR             360      357     95   6.75   5/1/2006   7/1/2006   4/1/2036  1,089.93   6/1/2006  193,800.00
151006681  Primary    PUD Detached    360      357  79.94  6.875   5/1/2006   7/1/2006   4/1/2036     777.3   6/1/2006  135,674.00
151008976  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,061.67   6/1/2006  208,000.00
151009933  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,150.00   6/1/2006  230,000.00
151013299  Primary    Condo - Low     360      357  79.86  6.875   5/1/2006   7/1/2006   4/1/2036    999.17   6/1/2006  174,400.00
151015088  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,615.00   6/1/2006  304,000.00
151015096  Primary    Condo - Low     360      357  88.92   6.25   5/1/2006   7/1/2006   4/1/2036  1,390.62   6/1/2006  267,000.00
151015443  Primary    SFR             360      357     75   6.25   5/1/2006   8/1/2006   4/1/2036    656.25   7/1/2006  126,000.00
151023033  Primary    Condo - Low     360      357  76.74    6.5   5/1/2006   7/1/2006   4/1/2036    893.75   6/1/2006  165,000.00
151043106  Primary    Condo - Low     360      357  79.26  6.375   5/1/2006   7/1/2006   4/1/2036  1,715.79   6/1/2006  323,000.00
151043635  Primary    SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036  1,249.58   7/1/2006  239,920.00
151043981  Secondary  SFR             360      357  78.95  6.125   5/1/2006   7/1/2006   4/1/2036  1,255.24   6/1/2006  245,925.00
151054871  Primary    Condo - Low     360      357  79.31  6.375   5/1/2006   8/1/2006   4/1/2036  1,344.06   7/1/2006  253,000.00
151056694  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,229.17   6/1/2006  236,000.00
151058179  Primary    SFR             360      357  64.82  6.125   5/1/2006   7/1/2006   4/1/2036    932.57   6/1/2006  182,800.00
151061769  Primary    Condo - Low     360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,321.67   6/1/2006  244,000.00
151063195  Investor   SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  2,041.98   6/1/2006  376,980.00
151064201  Primary    SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036  1,047.94   6/1/2006  209,588.00
151071347  Investor   SFR             360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036  1,151.84   6/1/2006  201,048.00
151071495  Secondary  SFR             360      358  93.66  6.125   6/1/2006   8/1/2006   5/1/2036  2,036.56   7/1/2006  399,000.00
151074549  Investor   SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  1,214.58   6/1/2006  220,000.00
151092392  Primary    SFR             360      357  79.37  6.625   5/1/2006   8/1/2006   4/1/2036  2,081.36   7/1/2006  377,000.00
151092467  Primary    SFR             360      357     95  6.375   5/1/2006   7/1/2006   4/1/2036  1,536.28   6/1/2006  289,181.00
151102118  Primary    Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  2,133.33   6/1/2006  409,600.00
151105327  Primary    SFR             360      357  76.13   6.25   5/1/2006   7/1/2006   4/1/2036  1,229.17   6/1/2006  236,000.00
151106747  Primary    SFR             360      357   77.4   6.25   5/1/2006   7/1/2006   4/1/2036  1,733.33   6/1/2006  332,800.00
151109857  Primary    Condo - Low     360      357     70    6.5   5/1/2006   7/1/2006   4/1/2036  1,876.88   6/1/2006  346,500.00
151119807  Primary    SFR             360      357     95  6.375   5/1/2006   7/1/2006   4/1/2036  1,915.80   6/1/2006  360,621.00
151120128  Primary    PUD Detached    360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036    650.16   7/1/2006  122,396.00
151120433  Primary    SFR             360      357  78.87  6.375   5/1/2006   7/1/2006   4/1/2036  1,487.50   6/1/2006  280,000.00
151121811  Primary    SFR             360      357  78.49  6.125   5/1/2006   8/1/2006   4/1/2036  1,061.67   7/1/2006  208,000.00
151122546  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,084.36   6/1/2006  212,546.00
151123015  Primary    SFR             360      358  79.99    6.5   6/1/2006   8/1/2006   5/1/2036  1,911.54   7/1/2006  352,900.00
151132552  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,724.26   6/1/2006  337,815.00
151141397  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,170.00   6/1/2006  234,000.00
151145968  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,572.50   6/1/2006  296,000.00
151153954  Primary    Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,768.12   6/1/2006  353,624.00
151157963  Primary    Condo - Low     360      357  79.92      6   5/1/2006   7/1/2006   4/1/2036  1,015.00   6/1/2006  203,000.00
151161254  Primary    SFR             360      357  79.76    6.5   5/1/2006   8/1/2006   4/1/2036       728   7/1/2006  134,400.00
151165529  Primary    Condo - Low     360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036  1,647.92   7/1/2006  316,400.00
151170719  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  2,188.17   6/1/2006  412,000.00
151174265  Primary    SFR             360      357  71.96    6.5   5/1/2006   7/1/2006   4/1/2036  1,987.85   6/1/2006  367,000.00
151202454  Investor   SFR             360      357  67.77  6.625   5/1/2006   7/1/2006   4/1/2036  1,048.96   6/1/2006  190,000.00
151204526  Primary    Condo - Low     360      357     80  6.125   5/1/2006   8/1/2006   4/1/2036    996.33   7/1/2006  195,200.00
151214251  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036    972.47   6/1/2006  183,088.00
151230752  Primary    SFR             360      358  79.09  6.375   6/1/2006   7/1/2006   5/1/2036    920.13   6/1/2006  173,200.00
151245933  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  2,252.50   6/1/2006  408,000.00
151249901  Primary    SFR             360      358  60.78      6   6/1/2006   8/1/2006   5/1/2036    775.01   7/1/2006  155,000.00
151251022  Investor   PUD Detached    360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  1,141.99   6/1/2006  206,851.00
151278504  Primary    Condo - Low     360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036  1,562.24   7/1/2006  300,000.00
151294873  Investor   4-Family        360      358  21.43  6.375   6/1/2006   8/1/2006   5/1/2036  1,593.75   7/1/2006  300,000.00
151296738  Secondary  Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    901.25   6/1/2006  173,040.00
151308509  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,925.25   6/1/2006  362,400.00
151308632  Primary    SFR             360      357     80      6   5/1/2006   8/1/2006   4/1/2036  1,537.93   7/1/2006  307,920.00
151315462  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,634.90   6/1/2006  326,980.00
151324308  Primary    PUD Detached    360      357  79.42    6.5   5/1/2006   8/1/2006   4/1/2036  1,045.42   7/1/2006  193,000.00
151328044  Primary    SFR             360      358     70  6.875   6/1/2006   7/1/2006   5/1/2036  1,904.95   6/1/2006  332,500.00
151329521  Secondary  Condo - High    360      358     80  7.125   6/1/2006   7/1/2006   5/1/2036  1,520.00   6/1/2006  256,000.00
151339397  Primary    SFR             360      357  69.54  6.875   5/1/2006   8/1/2006   4/1/2036  1,661.46   7/1/2006  290,000.00
151349339  Primary    SFR             360      358  50.34      6   6/1/2006   7/1/2006   5/1/2036  1,875.00   6/1/2006  375,000.00
151368933  Primary    PUD Detached    360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036    820.83   7/1/2006  157,600.00
151370715  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,729.75   6/1/2006  325,600.00
151377264  Primary    SFR             360      358  79.74  6.375   6/1/2006   7/1/2006   5/1/2036  1,630.94   6/1/2006  307,000.00
151384245  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,891.04   6/1/2006  356,000.00
151400629  Primary    SFR             360      357  65.16    6.5   5/1/2006   7/1/2006   4/1/2036  2,258.75   6/1/2006  417,000.00
151429305  Primary    SFR             360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036  2,018.42   7/1/2006  365,600.00
151430402  Primary    SFR             360      359     80  6.375   7/1/2006   9/1/2006   6/1/2036  2,142.00   8/1/2006  403,200.00
151431939  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  2,061.25   6/1/2006  388,000.00
151435583  Investor   SFR             360      358     65    6.5   6/1/2006   7/1/2006   5/1/2036  1,140.81   6/1/2006  210,611.00
151435922  Primary    SFR             360      358     75   6.75   6/1/2006   9/1/2006   5/1/2036    531.07   8/1/2006   94,413.00
151449337  Primary    SFR             360      358   75.1      6   6/1/2006   7/1/2006   5/1/2036    938.75   6/1/2006  187,750.00
151465887  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,863.33   6/1/2006  344,000.00
151487444  Primary    Condo - Low     360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036    734.98   7/1/2006  144,000.00
151487667  Primary    SFR             360      357  73.77  6.375   5/1/2006   7/1/2006   4/1/2036  1,195.32   6/1/2006  225,000.00
151487915  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  2,256.85   6/1/2006  416,650.00
151500121  Investor   SFR             360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036  1,098.01   7/1/2006  202,708.00
151502135  Primary    Condo - Low     360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,619.60   7/1/2006  324,000.00
151519428  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036       880   6/1/2006  176,000.00
151522588  Primary    Condo - High    360      357  34.75  6.125   5/1/2006   7/1/2006   4/1/2036  1,250.52   6/1/2006  245,000.00
151532207  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036  1,837.50   7/1/2006  360,000.00
151532645  Investor   SFR             360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036    699.35   6/1/2006  122,068.00
151535671  Primary    SFR             360      358  86.63      6   6/1/2006   7/1/2006   5/1/2036  1,732.49   6/1/2006  346,500.00
151545597  Investor   SFR             360      357  79.99    6.5   5/1/2006   7/1/2006   4/1/2036  1,191.94   6/1/2006  220,050.00
151569605  Primary    Condo - Low     360      358     80      6   6/1/2006   8/1/2006   5/1/2036  2,064.00   7/1/2006  412,800.00
151585791  Primary    SFR             360      358     40    6.5   6/1/2006   7/1/2006   5/1/2036       975   6/1/2006  180,000.00
151587334  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,632.93   6/1/2006  319,920.00
151591211  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,874.51   7/1/2006  360,000.00
151606373  Primary    Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036       795   6/1/2006  144,000.00
151606746  Primary    SFR             360      358     35  6.125   6/1/2006   7/1/2006   5/1/2036    714.58   6/1/2006  140,000.00
151612603  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,465.92   6/1/2006  287,200.00
151616687  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,247.96   6/1/2006  317,600.00
151627627  Secondary  SFR             360      358   79.7  6.375   6/1/2006   7/1/2006   5/1/2036    855.26   6/1/2006  161,000.00
151630407  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,600.84   6/1/2006  301,333.00
151643111  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    975.92   6/1/2006  191,200.00
151649613  Primary    SFR             360      358  79.98    6.5   6/1/2006   8/1/2006   5/1/2036    823.06   7/1/2006  151,950.00
151655313  Primary    SFR             360      358  64.74    6.5   6/1/2006   7/1/2006   5/1/2036  1,367.71   6/1/2006  252,500.00
151660008  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    982.04   6/1/2006  192,400.00
151662087  Primary    SFR             360      358     70   6.75   6/1/2006   7/1/2006   5/1/2036  1,512.00   6/1/2006  268,800.00
151663721  Primary    SFR             360      358  76.36  6.375   6/1/2006   7/1/2006   5/1/2036  1,785.00   6/1/2006  336,000.00
151668936  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,147.50   7/1/2006  216,000.00
151670361  Primary    Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  2,089.81   6/1/2006  401,242.00
151672466  Primary    SFR             360      358  56.14      6   6/1/2006   8/1/2006   5/1/2036       800   7/1/2006  160,000.00
151675139  Primary    SFR             360      357  94.99  6.375   5/1/2006   7/1/2006   4/1/2036  1,288.31   6/1/2006  242,650.00
151682515  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,792.58   6/1/2006  351,200.00
151691268  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,429.17   6/1/2006  280,000.00
151698156  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  1,156.00   6/1/2006  231,200.00
151720968  Primary    SFR             360      358     80  6.375   6/1/2006   9/1/2006   5/1/2036    655.69   8/1/2006  123,424.00
151728243  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,875.00   6/1/2006  360,000.00
151763471  Primary    SFR             360      357     90    6.5   5/1/2006   8/1/2006   4/1/2036  1,579.01   7/1/2006  291,510.00
151768108  Investor   SFR             360      358  74.72  6.375   6/1/2006   7/1/2006   5/1/2036  1,047.36   6/1/2006  197,250.00
151772647  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  2,083.33   7/1/2006  400,000.00
151777596  Primary    SFR             360      358  48.92    6.5   6/1/2006   7/1/2006   5/1/2036  2,252.25   6/1/2006  415,800.00
151787033  Primary    Condo - Low     360      358  57.74    6.5   6/1/2006   8/1/2006   5/1/2036    828.75   7/1/2006  153,000.00
151793072  Primary    SFR             360      358     75  6.625   6/1/2006   7/1/2006   5/1/2036  1,655.79   6/1/2006  300,000.00
151799228  Primary    SFR             360      358  87.96    6.5   6/1/2006   7/1/2006   5/1/2036    514.58   6/1/2006   95,000.00
151803954  Primary    SFR             360      358  86.49      6   6/1/2006   7/1/2006   5/1/2036  1,120.00   6/1/2006  224,000.00
151809472  Primary    PUD Detached    360      357     80      6   5/1/2006   7/1/2006   4/1/2036    975.96   6/1/2006  195,192.00
151811429  Primary    SFR             360      358  48.87    6.5   6/1/2006   7/1/2006   5/1/2036  1,760.42   6/1/2006  325,000.00
151815099  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,200.33   6/1/2006  221,600.00
151833142  Investor   SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036    618.75   6/1/2006  108,000.00
151835725  Secondary  SFR             360      358  79.99  6.375   6/1/2006   8/1/2006   5/1/2036  1,372.22   7/1/2006  258,300.00
151836335  Secondary  SFR             360      358     80  7.125   6/1/2006   8/1/2006   5/1/2036  2,137.03   7/1/2006  359,920.00
151854379  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,785.00   6/1/2006  336,000.00
151869302  Primary    Condo - High    360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036    918.67   7/1/2006  169,600.00
151874245  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,222.00   6/1/2006  225,600.00
151880689  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,126.25   6/1/2006  212,000.00
151901543  Primary    SFR             360      358  77.42   6.25   6/1/2006   8/1/2006   5/1/2036    623.44   7/1/2006  120,000.00
151906344  Primary    Condo - Low     360      358  79.09  6.375   6/1/2006   8/1/2006   5/1/2036  1,848.75   7/1/2006  348,000.00
151922168  Secondary  SFR             360      359  69.87  6.125   7/1/2006   7/1/2006   6/1/2036  2,041.67   7/1/2006  400,000.00
151945029  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036       765   6/1/2006  144,000.00
151945615  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  2,048.50   6/1/2006  385,600.00
151946803  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  1,944.31   7/1/2006  360,000.00
151950359  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,455.63   6/1/2006  274,000.00
151966959  Primary    SFR             360      358  76.35   6.25   6/1/2006   7/1/2006   5/1/2036  1,327.75   6/1/2006  255,000.00
151969409  Primary    SFR             360      359   79.3    6.5   7/1/2006   8/1/2006   6/1/2036  1,473.33   7/1/2006  272,000.00
151978053  Primary    SFR             360      358  74.55    6.5   6/1/2006   7/1/2006   5/1/2036  1,126.63   6/1/2006  208,000.00
151991817  Primary    SFR             360      358  72.73  6.375   6/1/2006   7/1/2006   5/1/2036  2,125.00   6/1/2006  400,000.00
151996071  Primary    SFR             360      359  77.22      6   7/1/2006   7/1/2006   6/1/2036  2,085.00   7/1/2006  417,000.00
152009031  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036  2,127.69   7/1/2006  416,960.00
152065058  Primary    PUD Detached    360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    723.98   6/1/2006  141,840.00
152074084  Primary    SFR             360      358   77.2  6.875   6/1/2006   7/1/2006   5/1/2036  1,609.90   6/1/2006  281,000.00
152137675  Primary    SFR             360      358  79.91   6.75   6/1/2006   7/1/2006   5/1/2036  1,047.38   6/1/2006  186,200.00
152146528  Secondary  SFR             360      359     80    6.5   7/1/2006   7/1/2006   6/1/2036  1,001.00   7/1/2006  184,800.00
152167409  Primary    SFR             360      358  79.98   6.25   6/1/2006   8/1/2006   5/1/2036  2,108.33   7/1/2006  404,800.00
152175337  Primary    Condo - Low     360      359     80   6.25   7/1/2006   7/1/2006   6/1/2036       825   7/1/2006  158,400.00
152177259  Secondary  Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036     744.9   6/1/2006  137,520.00
152208971  Primary    SFR             360      358  78.89  6.625   6/1/2006   8/1/2006   5/1/2036  1,959.90   7/1/2006  355,000.00
152268074  Primary    SFR             360      359     80  6.125   7/1/2006   8/1/2006   6/1/2036    775.83   7/1/2006  152,000.00
152282737  Investor   SFR             360      359  64.29   6.75   7/1/2006   7/1/2006   6/1/2036  1,265.63   7/1/2006  225,000.00
152410833  Primary    SFR             360      359  66.67   6.75   7/1/2006   8/1/2006   6/1/2036  2,250.00   7/1/2006  400,000.00
 63077077  Investor   SFR             360      356  57.14    6.5   4/1/2006   7/1/2006   3/1/2036  2,166.67   6/1/2006  400,000.00

LOANID     COBAL       PURPOSE   DOC          OAPPVAL       FRTRDATE   CEILING  FLOOR   CAPINT  MARGIN  INDEX       ODATE
------------------------------------------------------------------------------------------------------------------------------

  5753725   91,574.39  Purchase  AUS            400,000.00   7/1/2007   12.125    2.75       2    2.75  1 YR CMT     6/15/2000
  5837889  355,920.49  Purchase  Asset Only     476,000.00   1/1/2008     12.5    2.75       2    2.75  1 YR CMT     12/7/2000
  8094588  278,968.58  Purchase  AUS            380,000.00   7/1/2007    12.25    2.75       2    2.75  1 YR CMT     6/15/2000
  8124452  325,784.74  Purchase  AUS            436,000.00   8/1/2007       13    2.75       2    2.75  1 YR CMT      8/2/2000
  8215771  231,515.55  R/T Refi  AUS            350,000.00   7/1/2007     13.5    2.75       2    2.75  1 YR CMT     6/21/2000
  8286257  324,790.51  Purchase  AUS            510,000.00  11/1/2007    12.75    2.75       2    2.75  1 YR CMT    10/17/2000
 33355553  319,337.79  R/T Refi  AUS            565,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT      9/2/2003
 41003062  254,204.26  Purchase  Full           318,000.00   8/1/2011   11.125    2.75       2    2.75  1 YR CMT      7/2/2004
 44441996  406,000.00  Purchase  Asset Only     507,500.00   8/1/2011       11    2.75       2    2.75  1 YR CMT     7/12/2004
 44887545  185,685.51  R/T Refi  Full           247,000.00   9/1/2011       11    2.75       2    2.75  1 YR CMT      8/2/2004
 48367692  239,900.00  Purchase  Full           304,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/29/2005
 53048302  133,197.92  Purchase  Full           432,000.00   6/1/2012    11.25    2.75       2    2.75  1 YR CMT     5/25/2005
 53115556  297,618.82  R/T Refi  Asset Only     391,000.00   5/1/2012   11.125    2.75       2    2.75  1 YR CMT     4/29/2005
 53138301  393,086.53  Purchase  Asset Only     510,000.00   6/1/2012       11    2.75       2    2.75  1 YR CMT      5/2/2005
 53282166  119,963.20  R/T Refi  Full           155,000.00   6/1/2012       11    2.75       2    2.75  1 YR CMT     5/10/2005
 56982226  431,100.00  Purchase  Full           485,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT     9/23/2005
 57736621  214,700.00  Purchase  Asset Only     229,100.00   8/1/2012    11.25    2.75       2    2.75  1 YR CMT     7/25/2005
 57923781  220,000.00  C/O Refi  Full           275,000.00   9/1/2012       11    2.75       2    2.75  1 YR CMT      8/5/2005
 58149782  127,653.79  C/O Refi  Full           160,000.00   9/1/2012       11    2.75       2    2.75  1 YR CMT     8/19/2005
 58185315  176,000.00  Purchase  Full           228,000.00   9/1/2012       11    2.75       2    2.75  1 YR CMT     8/22/2005
 58701061  244,022.46  Purchase  Asset Only     259,900.00  10/1/2012    11.25    2.75       2    2.75  1 YR CMT     9/16/2005
 58730193  359,381.09  C/O Refi  Full           575,000.00   9/1/2012       11    2.75       2    2.75  1 YR CMT     8/23/2005
 58845009  165,148.00  Purchase  Full           207,500.00   9/1/2012       11    2.75       2    2.75  1 YR CMT     8/31/2005
 58871302  123,289.34  Purchase  Asset Only     130,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT     9/30/2005
 58900853  176,943.10  C/O Refi  Full           225,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT     9/12/2005
 58933789  119,799.25  Purchase  Full           168,000.00  10/1/2012   11.125    2.75       2    2.75  1 YR CMT     9/19/2005
 58997537  166,788.00  Purchase  Full           209,000.00  10/1/2012   11.125    2.75       2    2.75  1 YR CMT     9/26/2005
 59800094  140,789.31  Purchase  Full           176,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/30/2005
 59882415   69,508.37  Purchase  Full           120,000.00   1/1/2013   11.125    2.75       2    2.75  1 YR CMT    12/15/2005
 59967208  263,208.00  Purchase  Asset Only     461,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT     12/7/2005
 59971747  148,308.16  Purchase  Full           188,000.00  11/1/2012       11    2.75       2    2.75  1 YR CMT     10/3/2005
 60253903  245,005.00  Purchase  Asset Only     405,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT    12/23/2005
 60418761   34,328.21  Purchase  Asset Only     170,000.00  12/1/2012    11.25    2.75       2    2.75  1 YR CMT    11/17/2005
 60459773  379,500.00  R/T Refi  Full           530,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT     11/8/2005
 60594181  183,920.00  Purchase  Full           230,000.00  11/1/2012   11.125    2.75       2    2.75  1 YR CMT    10/18/2005
 60629946  229,757.64  C/O Refi  Full           333,000.00  12/1/2012    11.25    2.75       2    2.75  1 YR CMT    11/23/2005
 60631603  195,119.36  Purchase  Full           243,900.00  12/1/2012     11.5    2.75       2    2.75  1 YR CMT    11/18/2005
 60691532  128,960.00  Purchase  Full           148,000.00   1/1/2013    11.25    2.75       2    2.75  1 YR CMT    12/28/2005
 60921905  209,850.00  Purchase  Full           235,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT    11/25/2005
 61000832  150,792.00  Purchase  Full           189,000.00  11/1/2012       11    2.75       2    2.75  1 YR CMT     11/4/2005
 61007886  404,000.00  Purchase  Full           515,000.00   1/1/2013   11.125    2.75       2    2.75  1 YR CMT    12/16/2005
 61101564  363,000.00  Purchase  Full           410,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT    12/20/2005
 61245429  145,511.93  Purchase  Full           182,500.00   1/1/2013     11.5    2.75       2    2.75  1 YR CMT    12/21/2005
 61396495   68,000.00  Purchase  Full            85,000.00   1/1/2013   11.125    2.75       2    2.75  1 YR CMT    12/16/2005
 61425898  164,685.92  C/O Refi  Full           245,000.00   1/1/2013    11.25    2.75       2    2.75  1 YR CMT    12/12/2005
 61456752  239,161.15  Purchase  Full           420,000.00   1/1/2013    11.25    2.75       2    2.75  1 YR CMT    12/30/2005
 61894598  121,050.00  Purchase  Full           135,000.00   1/1/2013   11.375    2.75       2    2.75  1 YR CMT    12/29/2005
131501124  246,905.00  Purchase  Asset Only     260,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/22/2003
136766144  269,435.06  Purchase  Full           340,000.00   8/1/2011       11    2.75       2    2.75  1 YR CMT     6/28/2004
137213096  316,468.35  Purchase  Full           453,000.00   9/1/2011       11    2.75       2    2.75  1 YR CMT      8/3/2004
138357546  391,091.20  R/T Refi  Asset Only     535,000.00   7/1/2011       11    2.75       2    2.75  1 YR CMT     6/23/2004
138423033  247,000.00  Purchase  Full           260,000.00   7/1/2011    11.25    2.75       2    2.75  1 YR CMT     6/29/2004
138559927  271,567.39  Purchase  Asset Only     375,000.00   8/1/2011       11    2.75       2    2.75  1 YR CMT      7/2/2004
138705751  366,074.95  C/O Refi  Asset Only     550,000.00   8/1/2011    11.25    2.75       2    2.75  1 YR CMT      7/2/2004
138751599  365,999.70  Purchase  Full           465,000.00   9/1/2011       11    2.75       2    2.75  1 YR CMT      8/6/2004
138784707  416,000.00  Purchase  Full           527,000.00   8/1/2011       11    2.75       2    2.75  1 YR CMT     7/28/2004
139052401  209,812.21  Purchase  Full           335,000.00   8/1/2011       11    2.75       2    2.75  1 YR CMT     7/19/2004
142903343  411,378.54  Purchase  Asset Only     440,000.00   6/1/2012     11.5    2.75       2    2.75  1 YR CMT      5/4/2005
143084101  115,765.01  Purchase  AUS            145,000.00   5/1/2012       11    2.75       2    2.75  1 YR CMT     4/13/2005
143169712  340,000.00  Purchase  AUS            360,000.00   5/1/2012    11.25    2.75       2    2.75  1 YR CMT      4/7/2005
143302552  397,898.97  Purchase  Full           500,000.00   4/1/2012       11    2.75       2    2.75  1 YR CMT     3/29/2005
143441459  157,495.00  Purchase  Full           197,000.00   5/1/2012   11.125    2.75       2    2.75  1 YR CMT     4/26/2005
143571404  188,000.00  Purchase  AUS            360,000.00   5/1/2012       11    2.75       2    2.75  1 YR CMT     4/28/2005
143653178  330,000.00  C/O Refi  Full           450,000.00   5/1/2012       11    2.75       2    2.75  1 YR CMT     4/13/2005
143673911   76,800.00  Purchase  Asset Only      96,500.00   5/1/2012    11.25    2.75       2    2.75  1 YR CMT     4/29/2005
143806107  185,449.00  Purchase  Full           217,500.00   5/1/2012   11.375    2.75       2    2.75  1 YR CMT     4/14/2005
143833192  151,000.00  Purchase  Asset Only     175,000.00   5/1/2012   11.125    2.75       2    2.75  1 YR CMT     4/29/2005
144029402  200,000.00  C/O Refi  Asset Only     250,000.00   6/1/2012       11    2.75       2    2.75  1 YR CMT      5/9/2005
144062643  338,560.94  Purchase  Full           345,000.00   6/1/2012       11    2.75       2    2.75  1 YR CMT     5/13/2005
144065729  155,582.00  C/O Refi  Full           198,000.00   6/1/2012       11    2.75       2    2.75  1 YR CMT     5/17/2005
144269099  237,500.00  Purchase  Full           252,000.00   6/1/2012       11    2.75       2    2.75  1 YR CMT     5/13/2005
146489919  178,400.00  Purchase  Full           223,000.00   9/1/2012       11    2.75       2    2.75  1 YR CMT      9/1/2005
146504295  366,135.51  Purchase  Asset Only     505,082.00   9/1/2012       11    2.75       2    2.75  1 YR CMT      8/4/2005
146588835  157,592.55  Purchase  Full           197,000.00   9/1/2012       11    2.75       2    2.75  1 YR CMT      8/8/2005
146650924  322,612.42  Purchase  Full           406,000.00   9/1/2012   11.125    2.75       2    2.75  1 YR CMT      8/3/2005
146682687  137,387.34  Purchase  Full           173,108.00   9/1/2012       11    2.75       2    2.75  1 YR CMT     8/18/2005
146750187  152,800.00  Purchase  Full           196,000.00  10/1/2012   11.125    2.75       2    2.75  1 YR CMT     9/14/2005
146780515  230,850.00  Purchase  Asset Only     330,000.00   9/1/2012   11.125    2.75       2    2.75  1 YR CMT     8/30/2005
146785472  222,937.20  Purchase  Full           300,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT      9/9/2005
146841473  222,750.00  C/O Refi  Asset Only     297,000.00   9/1/2012    11.25    2.75       2    2.75  1 YR CMT     8/23/2005
147000541  200,900.00  Purchase  Full           255,000.00  10/1/2012    11.25    2.75       2    2.75  1 YR CMT     9/14/2005
147025951  121,500.00  C/O Refi  AUS            165,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT      9/2/2005
147132195  151,200.00  Purchase  Full           204,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT      9/8/2005
147159503  343,900.00  Purchase  Full           430,000.00   9/1/2012       11    2.75       2    2.75  1 YR CMT     8/22/2005
147204028  340,917.00  Purchase  Asset Only     430,000.00  10/1/2012   11.125    2.75       2    2.75  1 YR CMT      9/9/2005
147236871  283,000.00  C/O Refi  Full           365,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT      9/9/2005
147439004  247,500.00  C/O Refi  AUS            330,000.00  11/1/2012   11.375    2.75       2    2.75  1 YR CMT     9/30/2005
147609747  180,273.22  Purchase  Asset Only     191,000.00  12/1/2012     11.5    2.75       2    2.75  1 YR CMT    11/21/2005
147719686  310,455.92  Purchase  Full           390,000.00  11/1/2012   11.125    2.75       2    2.75  1 YR CMT     10/7/2005
147857585  116,963.00  Purchase  Full           150,000.00  10/1/2012       11    2.75       2    2.75  1 YR CMT     9/24/2005
147974372  396,833.60  Purchase  Asset Only     520,000.00  11/1/2012   11.125    2.75       2    2.75  1 YR CMT     10/7/2005
148044571  238,600.00  R/T Refi  AUS            306,000.00  12/1/2012   11.375    2.75       2    2.75  1 YR CMT     11/8/2005
148182397  344,267.75  Purchase  Asset Only     455,000.00  11/1/2012       11    2.75       2    2.75  1 YR CMT    10/17/2005
148244536  248,000.00  Purchase  Full           316,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT     12/9/2005
148358393  268,000.00  C/O Refi  Asset Only     335,000.00  11/1/2012    11.25    2.75       2    2.75  1 YR CMT    10/26/2005
148409113  410,660.00  Purchase  Full           526,500.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/28/2005
148439367  212,000.00  Purchase  Full           265,000.00  11/1/2012   11.125    2.75       2    2.75  1 YR CMT    10/27/2005
148446644  388,474.37  Purchase  Full           450,000.00  11/1/2012     11.5    2.75       2    2.75  1 YR CMT     11/3/2005
148519952  289,799.82  Purchase  AUS            365,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/18/2005
148531759  312,476.00  Purchase  AUS            395,000.00  12/1/2012    11.25    2.75       2    2.75  1 YR CMT     11/9/2005
148541352  121,492.34  Purchase  AUS            135,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
148567027  287,000.00  C/O Refi  Asset Only     372,000.00   1/1/2013   11.125    2.75       2    2.75  1 YR CMT    12/15/2005
148589377  225,100.00  Purchase  AUS            285,000.00  11/1/2012    11.25    2.75       2    2.75  1 YR CMT     11/2/2005
148603582  390,000.00  C/O Refi  AUS            600,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/15/2005
148646946  219,947.46  C/O Refi  Full           275,000.00  12/1/2012    11.25    2.75       2    2.75  1 YR CMT    11/15/2005
148657232  385,000.00  C/O Refi  Asset Only     575,000.00  12/1/2012    11.25    2.75       2    2.75  1 YR CMT    11/10/2005
148679129  240,000.00  C/O Refi  Full           300,000.00  11/1/2012       11    2.75       2    2.75  1 YR CMT    10/25/2005
148685571  231,880.00  Purchase  Full           295,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/10/2005
148721277  360,000.00  C/O Refi  Asset Only     480,000.00  11/1/2012   11.125    2.75       2    2.75  1 YR CMT    10/28/2005
148722879  180,000.00  Purchase  AUS            225,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT    11/16/2005
148748817  208,000.00  Purchase  AUS            260,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT     11/9/2005
148751852  322,414.34  R/T Refi  Asset Only     430,000.00   1/1/2013   11.375    2.75       2    2.75  1 YR CMT     12/2/2005
148753411  354,532.41  Purchase  Full           445,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT     11/9/2005
148770332  244,000.00  Purchase  Asset Only     317,500.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/10/2005
148784192  244,342.14  Purchase  Full           307,000.00  12/1/2012   11.375    2.75       2    2.75  1 YR CMT    11/16/2005
148804685  356,000.00  Purchase  Full           445,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT    12/14/2005
148837669  235,959.95  C/O Refi  Full           295,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/15/2005
148867237  398,259.60  C/O Refi  AUS            750,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT     12/5/2005
148876899  380,000.00  Purchase  AUS            546,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/29/2005
148889785  393,264.17  C/O Refi  Asset Only     525,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT    11/29/2005
148891559  349,959.38  C/O Refi  Asset Only     440,000.00  12/1/2012   11.375    2.75       2    2.75  1 YR CMT    11/23/2005
148904568  281,325.00  Purchase  Full           356,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT    12/22/2005
148905748  399,994.64  C/O Refi  AUS            555,000.00  12/1/2012   11.375    2.75       2    2.75  1 YR CMT    11/17/2005
148906837  152,000.00  Purchase  Full           195,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/21/2005
148911035  300,000.00  C/O Refi  AUS            385,000.00   1/1/2013    11.25    2.75       2    2.75  1 YR CMT     12/5/2005
148924178  292,000.00  R/T Refi  Full           435,000.00  12/1/2012   11.375    2.75       2    2.75  1 YR CMT    11/16/2005
148927775  333,965.88  C/O Refi  AUS            465,000.00   1/1/2013   11.375    2.75       2    2.75  1 YR CMT     12/9/2005
148955008  210,350.00  Purchase  Full           265,000.00  12/1/2012    11.25    2.75       2    2.75  1 YR CMT    11/23/2005
148956964  295,960.00  Purchase  Asset Only     371,000.00   1/1/2013    11.25    2.75       2    2.75  1 YR CMT    12/15/2005
148960248  204,800.00  Purchase  Asset Only     256,000.00  12/1/2012   11.375    2.75       2    2.75  1 YR CMT    11/29/2005
148976491  385,000.00  Purchase  Asset Only     495,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/29/2005
148986201  397,500.00  C/O Refi  AUS            530,000.00   1/1/2013    11.25    2.75       2    2.75  1 YR CMT    12/12/2005
148993629  282,892.65  R/T Refi  Asset Only     366,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/22/2005
149007593  140,000.00  Purchase  Full           175,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT    11/30/2005
149018574  203,632.48  Purchase  Full           216,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/16/2005
149020067  403,890.58  Purchase  Asset Only     505,000.00  12/1/2012     11.5    2.75       2    2.75  1 YR CMT    11/14/2005
149020539  180,168.07  Purchase  Asset Only     225,300.00   1/1/2013   11.375    2.75       2    2.75  1 YR CMT    11/30/2005
149029829  392,205.75  Purchase  AUS            548,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT     12/1/2005
149032963  303,425.00  Purchase  AUS            380,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT     12/8/2005
149051161  161,650.00  Purchase  Full           206,000.00   1/1/2013    11.25    2.75       2    2.75  1 YR CMT    12/29/2005
149054884  106,327.54  C/O Refi  Asset Only     133,000.00   1/1/2013     11.5    2.75       2    2.75  1 YR CMT    12/16/2005
149055279  379,953.94  C/O Refi  Full           495,000.00  12/1/2012   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
149062374  380,843.07  R/T Refi  Asset Only     480,000.00   1/1/2013   11.375    2.75       2    2.75  1 YR CMT    11/28/2005
149076796   94,784.14  R/T Refi  Asset Only     130,000.00  12/1/2012    11.25    2.75       2    2.75  1 YR CMT    11/23/2005
149089856  257,446.50  Purchase  Full           325,000.00  12/1/2012   11.625    2.75       2    2.75  1 YR CMT     11/9/2005
149090037  235,000.00  C/O Refi  Full           310,000.00  12/1/2012       11    2.75       2    2.75  1 YR CMT    11/22/2005
149103475  338,879.00  Purchase  Full           390,000.00   1/1/2013       11    2.75       2    2.75  1 YR CMT     12/8/2005
149113524  144,000.00  Purchase  Full           180,000.00  12/1/2012     11.5    2.75       2    2.75  1 YR CMT    11/30/2005
149126344  388,600.00  Purchase  AUS            489,000.00   1/1/2013   11.125    2.75       2    2.75  1 YR CMT    11/29/2005
149316143   81,600.00  Purchase  AUS            160,000.00   1/1/2013   11.375    2.75       2    2.75  1 YR CMT    12/16/2005
   305635  113,050.00  Purchase  Full           125,000.00   7/1/2007     11.5    2.75       2    2.75  1 YR CMT     6/28/2002
   333966  147,296.10  Purchase  AUS            168,000.00   9/1/2007       11    2.25       2    2.25  1 YR LIBOR   8/12/2002
   378066  160,000.00  Purchase  Full           206,000.00   7/1/2007   11.375    2.75       2    2.75  1 YR CMT     6/28/2002
   796637  113,989.93  Purchase  AUS            152,000.00   9/1/2007       11    2.25       2    2.25  1 YR LIBOR    8/9/2002
   856953  377,794.28  Purchase  Asset Only     765,000.00   6/1/2007     11.5    2.25       2    2.25  1 YR LIBOR   5/29/2002
   890666  113,600.00  Purchase  Full           142,000.00   5/1/2007    11.75    2.75       2    2.75  1 YR CMT     4/26/2002
   918302  287,221.95  C/O Refi  Asset Only     565,000.00   6/1/2007       11    2.25       2    2.25  1 YR LIBOR   5/15/2002
   996830  258,856.93  R/T Refi  Full           800,000.00   9/1/2007   11.125    2.75       2    2.75  1 YR CMT     8/23/2002
  4419089  288,143.71  Purchase  AUS            415,000.00   1/1/2007   11.375    2.75       2    2.75  1 YR CMT    12/17/2001
  4731709  259,773.17  R/T Refi  Full           325,000.00  11/1/2006   11.375    2.75       2    2.75  1 YR CMT    10/29/2001
  5738620  291,646.81  R/T Refi  Asset Only   1,000,000.00  12/1/2006   11.375    2.75       2    2.75  1 YR CMT    11/26/2001
  5799614  371,202.11  Purchase  Asset Only     657,000.00  12/1/2006    11.25    2.75       2    2.75  1 YR CMT    11/13/2001
  6255324  329,364.95  Purchase  Asset Only     510,000.00  11/1/2006     11.5    2.75       2    2.75  1 YR CMT    10/31/2001
  8044977  316,425.95  Purchase  AUS            438,000.00   2/1/2005     11.5    2.75       2    2.75  1 YR CMT     1/13/2000
  8062685  257,743.40  Purchase  AUS            403,000.00   3/1/2005   11.625    2.75       2    2.75  1 YR CMT      3/7/2000
  8108298  343,186.52  Purchase  AUS            455,000.00   4/1/2005   13.125    2.75       2    2.75  1 YR CMT     3/27/2000
  8210872  192,726.79  C/O Refi  AUS            508,000.00   8/1/2005       14    2.75       2    2.75  1 YR CMT     6/29/2000
  8834783  244,983.12  R/T Refi  Full           307,600.00   4/1/2007       12    2.75       2    2.75  1 YR CMT      4/5/2002
  9518326  194,372.92  Purchase  Full           227,000.00  11/1/2006   11.375    2.75       2    2.75  1 YR CMT     11/1/2001
  9937110  376,497.06  Purchase  AUS            442,000.00   5/1/2007   11.375    2.75       2    2.75  1 YR CMT     4/12/2002
 16411795  254,989.45  R/T Refi  AUS            750,000.00  12/1/2007   11.125    2.75       2    2.75  1 YR CMT     11/8/2002
 16601692  210,228.10  R/T Refi  Asset Only     350,000.00   1/1/2008    11.25    2.75       2    2.75  1 YR CMT    12/26/2002
 39041934  394,789.22  C/O Refi  Full         1,400,000.00   8/1/2009   11.375    2.75       2    2.75  1 YR CMT      7/6/2004
 39966031   77,986.33  Purchase  Full           100,000.00   8/1/2009    11.25    2.75       2    2.75  1 YR CMT      7/9/2004
 40596587  170,625.01  Purchase  Full           192,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT      5/2/2005
 44019388  151,200.00  Purchase  Full           192,000.00   8/1/2009   11.125    2.75       2    2.75  1 YR CMT     7/30/2004
 44414902  348,032.31  C/O Refi  Asset Only     550,000.00   8/1/2009    11.25    2.75       2    2.75  1 YR CMT     7/15/2004
 44656197  145,700.00  Purchase  Asset Only     268,000.00   7/1/2009   11.125    2.75       2    2.75  1 YR CMT     6/29/2004
 44967867  399,092.00  Purchase  Full           500,000.00   4/1/2010       11    2.75       2    2.75  1 YR CMT      3/7/2005
 48974646  184,825.62  Purchase  Full           240,000.00  10/1/2010   11.125    2.75       2    2.75  1 YR CMT     9/22/2005
 49220742  229,053.84  Purchase  Full           255,000.00   8/1/2010       11    2.75       2    2.75  1 YR CMT     7/28/2005
 51155455  146,800.00  Purchase  Full           190,000.00   4/1/2010       11    2.75       2    2.75  1 YR CMT      3/8/2005
 51257913  159,200.00  Purchase  Full           199,000.00   4/1/2010   11.125    2.75       2    2.75  1 YR CMT      4/6/2005
 51718948  167,200.00  Purchase  Full           209,000.00   5/1/2010    11.25    2.75       2    2.75  1 YR CMT      4/7/2005
 52160157  327,750.00  Purchase  Full           345,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT     4/13/2005
 52190618  150,088.58  Purchase  Full           196,000.00   5/1/2010   11.375    2.75       2    2.75  1 YR CMT     4/29/2005
 52215043  286,556.91  Purchase  Full           318,590.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/20/2005
 52239878  160,990.69  C/O Refi  Full           245,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT      4/7/2005
 52260627  141,540.50  Purchase  Full           151,000.00  10/1/2010   11.125    2.75       2    2.75  1 YR CMT     9/21/2005
 52308814  157,605.59  Purchase  Full           226,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/12/2005
 52369873  106,400.00  Purchase  Full           135,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/27/2005
 52713138  129,010.00  Purchase  Full           136,000.00   7/1/2010   11.125    2.75       2    2.75  1 YR CMT     6/20/2005
 52785268  336,000.00  Purchase  Full           426,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/29/2005
 52793114  186,750.00  Purchase  Full           210,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/14/2005
 52911542  112,400.00  C/O Refi  Full           140,500.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     5/24/2005
 52920329   88,000.00  R/T Refi  Full           110,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT     4/26/2005
 52935772  180,800.00  Purchase  Full           226,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/14/2005
 53050076  273,599.11  Purchase  Full           342,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/29/2005
 53174686  292,650.56  Purchase  Asset Only     370,000.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/17/2006
 53237418  225,387.64  Purchase  Full           282,000.00   6/1/2010    11.25    2.75       2    2.75  1 YR CMT     5/17/2005
 53365995  197,600.00  Purchase  Full           208,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT     4/28/2005
 53537593  162,799.36  C/O Refi  Asset Only     349,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     4/28/2005
 53681045  193,705.00  Purchase  Asset Only     203,900.00   6/1/2010   11.125    2.75       2    2.75  1 YR CMT     5/31/2005
 53737078  244,352.75  Purchase  Asset Only     532,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT      5/4/2005
 54225008  247,600.00  Purchase  Full           310,250.00   7/1/2010       11    2.75       2    2.75  1 YR CMT      6/6/2005
 54542642  168,318.91  Purchase  Full           212,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     6/28/2005
 54680038  214,017.00  Purchase  Full           227,000.00   8/1/2010       11    2.75       2    2.75  1 YR CMT     7/20/2005
 54814793  169,949.73  Purchase  Full           189,000.00  11/1/2010     11.5    2.75       2    2.75  1 YR CMT    10/31/2005
 54952734  104,873.77  Purchase  Asset Only     205,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT      6/1/2005
 55097901  162,160.00  Purchase  Full           205,500.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/18/2005
 55111207  207,003.83  Purchase  Full           219,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     6/20/2005
 56694581  112,327.00  Purchase  Full           132,500.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/10/2005
 56789605  280,220.50  Purchase  Full           298,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     6/22/2005
 56894108  227,700.00  Purchase  Asset Only     253,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     6/30/2005
 56945348  332,100.00  Purchase  Asset Only     385,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/10/2005
 56960404  200,000.00  C/O Refi  Full           290,000.00   8/1/2010       11    2.75       2    2.75  1 YR CMT     7/18/2005
 57555419  359,650.00  Purchase  Full           550,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/2/2005
 57817348  106,000.00  Purchase  Full           133,000.00   8/1/2010       11    2.75       2    2.75  1 YR CMT     7/19/2005
 57860454  192,760.00  Purchase  Full           248,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/19/2005
 57874687  144,944.12  C/O Refi  Full           184,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/25/2005
 57947137  167,895.49  Purchase  Full           211,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/16/2005
 57951568  139,500.00  Purchase  Full           155,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT      8/9/2005
 58012154  111,972.85  R/T Refi  Full           125,000.00   2/1/2011   11.125    2.75       2    2.75  1 YR CMT      1/9/2006
 58023813  152,000.00  Purchase  Full           210,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/18/2005
 58080821  291,000.00  R/T Refi  Full           330,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/18/2005
 58121385  266,250.00  Purchase  Full           369,900.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/23/2005
 58161589  186,672.54  Purchase  Full           200,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/15/2005
 58186883  227,600.00  Purchase  Full           285,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/2/2005
 58206111  198,000.00  Purchase  Full           225,000.00  10/1/2010   11.375    2.75       2    2.75  1 YR CMT     9/23/2005
 58207754  111,029.74  Purchase  Full           144,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/31/2005
 58214792  159,920.00  Purchase  Full           201,900.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/11/2005
 58228446  147,715.32  C/O Refi  Full           188,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/22/2005
 58291972  188,494.35  Purchase  Full           238,500.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/15/2005
 58367988  152,000.00  Purchase  Full           190,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT      8/9/2005
 58460072  151,990.00  Purchase  Asset Only     159,990.00  10/1/2010    11.25    2.75       2    2.75  1 YR CMT     9/28/2005
 58638628  139,360.54  Purchase  Full           157,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/27/2005
 58695529   83,920.00  Purchase  Full           104,900.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/27/2005
 58700626  138,646.00  Purchase  Full           146,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/1/2005
 58722968  214,499.00  Purchase  Asset Only     226,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/6/2005
 58725839  252,000.00  Purchase  Full           315,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/24/2005
 58747858  168,596.00  Purchase  Full           227,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/26/2005
 58748393  191,200.00  Purchase  Full           239,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/31/2005
 58776311  154,400.00  Purchase  Full           193,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/23/2005
 58780396  132,741.00  Purchase  Full           160,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/22/2005
 58843392  266,800.00  Purchase  Full           340,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/14/2005
 58867987  243,997.66  R/T Refi  Full           380,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/11/2005
 58868209   71,200.00  Purchase  Full            91,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/1/2005
 58869983   95,980.80  R/T Refi  Asset Only     108,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/21/2005
 58887878   76,000.00  Purchase  Asset Only     118,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/27/2005
 58911538  391,900.00  Purchase  Full           491,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT      4/5/2006
 58937152  103,422.39  Purchase  Full           118,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/11/2005
 58967241  139,999.90  Purchase  Full           175,000.00  10/1/2010   11.125    2.75       2    2.75  1 YR CMT     9/30/2005
 58983412  217,559.00  Purchase  Full           231,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT     10/3/2005
 58991571  371,200.00  Purchase  Full           465,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/11/2005
 59007849  216,000.00  Purchase  Full           272,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/26/2005
 59019596  167,157.00  Purchase  Full           200,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
 59036848  132,000.00  R/T Refi  Full           171,000.00  10/1/2010   11.375    2.75       2    2.75  1 YR CMT     9/14/2005
 59054361  170,552.00  Purchase  Full           213,200.00   9/1/2010    11.25    2.75       2    2.75  1 YR CMT      9/7/2005
 59068288  143,200.00  Purchase  Full           211,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/21/2005
 59161489   75,814.09  Purchase  Full           102,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/10/2005
 59161679  275,350.00  C/O Refi  Asset Only     375,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/23/2005
 59192286  415,607.37  Purchase  Full           521,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/30/2006
 59263368  184,291.00  Purchase  Full           205,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/13/2005
 59299651  198,000.00  Purchase  Full           220,000.00  10/1/2010    11.25    2.75       2    2.75  1 YR CMT     9/22/2005
 59454504  349,912.50  Purchase  Asset Only     507,400.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/3/2005
 59458265  359,650.00  Purchase  Full           400,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/17/2005
 59494161  372,649.61  Purchase  Full           482,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/11/2005
 59532606  291,899.13  C/O Refi  Full           365,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/2/2005
 59573196  189,272.00  Purchase  Full           250,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/8/2005
 59718262  304,000.00  C/O Refi  Full           380,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT     10/5/2005
 59743849  410,750.00  Purchase  Full           510,000.00  11/1/2010     11.5    2.75       2    2.75  1 YR CMT    10/17/2005
 59838474  265,830.75  Purchase  Full           296,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/16/2005
 59850065  330,776.83  Purchase  Full           414,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/15/2005
 59851725  179,910.00  Purchase  Full           210,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT     12/8/2005
 59869248  305,000.00  Purchase  Full           410,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/21/2005
 59884775  156,000.00  Purchase  Full           195,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/26/2005
 59914549  412,573.70  Purchase  Full           525,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/22/2005
 59917088  288,000.00  Purchase  Asset Only     360,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/3/2005
 59957803   79,110.00  Purchase  Full            90,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT     10/6/2005
 59964551  213,265.00  Purchase  Asset Only     224,500.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/21/2005
 59969659   78,709.54  Purchase  Full            92,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT     10/7/2005
 60009388  164,729.60  Purchase  Full           307,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT     10/3/2005
 60036324  130,410.00  Purchase  Full           145,590.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/14/2005
 60113651  151,905.00  Purchase  Full           162,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/9/2005
 60148244   72,250.00  Purchase  Full            85,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/31/2005
 60167525  209,610.00  Purchase  Full           233,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/20/2005
 60169265  360,000.00  Purchase  Full           450,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/2/2005
 60172517  145,083.72  Purchase  Full           181,500.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
 60200623  130,385.57  Purchase  Full           167,000.00  10/1/2010    11.25    2.75       2    2.75  1 YR CMT     9/30/2005
 60215803  219,522.12  Purchase  Full           287,500.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/17/2005
 60222288  196,610.00  Purchase  Full           216,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT     11/4/2005
 60248473  304,720.00  C/O Refi  Full           495,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/11/2005
 60251113  115,750.00  Purchase  Asset Only     170,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/16/2005
 60268521  169,765.00  Purchase  Asset Only     179,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/27/2005
 60270865  201,600.00  Purchase  Full           252,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/22/2005
 60271418  144,000.00  C/O Refi  Full           180,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/25/2005
 60293446  197,505.00  Purchase  Full           208,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/16/2005
 60336203   71,760.00  Purchase  Asset Only     100,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
 60348133  136,755.09  Purchase  Full           175,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/28/2005
 60388576  220,000.00  Purchase  Full           276,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/30/2005
 60389178  128,000.00  Purchase  Full           160,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/28/2005
 60468998  208,297.95  Purchase  Asset Only     310,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
 60483914  146,664.00  Purchase  Full           190,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/16/2005
 60575222  132,720.00  Purchase  Full           175,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/9/2005
 60580818  174,400.00  Purchase  Full           255,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/30/2005
 60586138  156,000.00  Purchase  Full           198,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/17/2005
 60627866  237,942.00  Purchase  Asset Only     272,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT     12/9/2005
 60638392  380,000.00  Purchase  Full           475,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/9/2005
 60639275  384,000.00  Purchase  Full           489,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/8/2005
 60644218  264,194.00  Purchase  Full           290,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/16/2005
 60673795  237,021.00  Purchase  Asset Only     271,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT     12/9/2005
 60682051  229,900.00  Purchase  Full           287,376.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/8/2005
 60682564  210,000.00  Purchase  Full           265,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/29/2005
 60690641  415,000.00  C/O Refi  Full           535,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/23/2005
 60699428  300,800.00  C/O Refi  Full           376,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/30/2005
 60700911  395,550.00  Purchase  Full           474,700.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/28/2005
 60725819  123,050.00  Purchase  Asset Only     200,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/18/2005
 60739521  175,000.00  C/O Refi  Full           255,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/14/2005
 60744794  290,000.00  C/O Refi  Full           400,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/14/2005
 60746294  114,940.00  Purchase  Asset Only     120,990.00   1/1/2011     11.5    2.75       2    2.75  1 YR CMT    12/28/2005
 60746658  259,981.00  Purchase  Asset Only     310,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/23/2005
 60756558  168,000.00  C/O Refi  Full           225,500.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     12/1/2005
 60761202  240,000.00  C/O Refi  Full           330,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/14/2005
 60807419  280,250.00  Purchase  Full           300,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/15/2005
 60820263  242,900.00  C/O Refi  Full           402,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/14/2005
 60862281  268,073.76  Purchase  Asset Only     305,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/12/2005
 60867777  298,592.00  Purchase  Full           375,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT     12/1/2005
 60867801  229,542.60  C/O Refi  Full           287,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/23/2005
 60873114  104,500.00  Purchase  Asset Only     135,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/18/2005
 60896248  284,999.80  Purchase  Full           315,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/23/2005
 60918877  209,796.78  R/T Refi  Full           360,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/21/2005
 60935343  164,800.00  Purchase  Full           230,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/10/2005
 60937869  139,120.00  Purchase  Full           176,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/9/2005
 60939634  119,200.00  Purchase  Full           149,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/18/2005
 60941705  204,400.00  Purchase  Full           265,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/1/2005
 60948718  252,000.00  C/O Refi  Full           315,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/30/2005
 60994837  260,736.84  C/O Refi  Full           327,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/23/2005
 60995628  180,191.00  Purchase  Full           210,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/14/2005
 60997558  292,500.00  Purchase  Full           330,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/21/2005
 61002853  149,600.00  Purchase  Full           187,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/21/2005
 61016432  204,112.00  Purchase  Full           256,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/21/2005
 61023503  356,250.00  C/O Refi  Full           475,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/30/2005
 61025367  235,000.00  Purchase  Full           248,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT     12/8/2005
 61037123  240,500.00  Purchase  Full           269,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/18/2005
 61042644  157,900.00  C/O Refi  Full           200,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/11/2005
 61062089  184,500.00  Purchase  Asset Only     205,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/29/2005
 61089371  144,000.00  C/O Refi  Full           180,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    11/28/2005
 61114112  133,855.00  Purchase  Full           143,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/30/2005
 61127031  299,845.02  Purchase  Full           375,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/23/2005
 61132577   93,592.00  Purchase  Full           117,000.00  12/1/2010   11.625    2.75       2    2.75  1 YR CMT    11/10/2005
 61133575  287,627.19  Purchase  Full           360,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     12/1/2005
 61138434  224,000.00  Purchase  Full           288,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/28/2005
 61157723  203,620.00  Purchase  Full           256,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/6/2005
 61164653  138,400.00  C/O Refi  Full           166,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/18/2005
 61175691  176,955.75  C/O Refi  Full           234,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT     12/1/2005
 61183349  215,517.23  Purchase  Full           284,500.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/9/2005
 61187217  156,750.00  Purchase  Asset Only     171,000.00  12/1/2010   11.625    2.75       2    2.75  1 YR CMT     11/2/2005
 61191938  415,999.55  C/O Refi  Full           520,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT     12/5/2005
 61192779  120,000.00  C/O Refi  Full           167,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/16/2005
 61218418  172,720.00  Purchase  Full           220,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/18/2005
 61228755  163,710.00  Purchase  Full           183,900.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/29/2005
 61239489  313,500.00  Purchase  Asset Only     330,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/18/2005
 61252789   89,100.00  Purchase  Full            99,000.00   2/1/2011   11.625    2.75       2    2.75  1 YR CMT     1/27/2006
 61258489   37,901.25  Purchase  Asset Only      51,000.00  12/1/2010    11.75    2.75       2    2.75  1 YR CMT    11/17/2005
 61262564  243,926.81  C/O Refi  Asset Only     380,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/29/2005
 61277521  340,000.00  Purchase  Full           435,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT     12/1/2005
 61289435  360,000.00  C/O Refi  Asset Only     490,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/9/2005
 61293551  168,000.00  Purchase  Full           210,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/30/2005
 61298832  127,566.11  C/O Refi  Full           161,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/22/2005
 61370599  298,185.56  C/O Refi  Asset Only     975,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/12/2005
 61379202  252,000.00  C/O Refi  Full           315,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/9/2005
 61386256  188,000.00  R/T Refi  Full           235,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/30/2005
 61409082  249,000.00  R/T Refi  Full           293,000.00   2/1/2011   11.125    2.75       2    2.75  1 YR CMT      1/3/2006
 61420881  246,024.00  Purchase  Full           307,530.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/22/2005
 61427803  271,600.00  Purchase  Asset Only     350,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/13/2005
123720344  366,890.34  Purchase  AUS            406,000.00   1/1/2008   11.125    2.25       2    2.25  1 YR LIBOR   12/3/2002
125041392   83,646.49  R/T Refi  Asset Only     113,000.00  12/1/2007       11    2.75       2    2.75  1 YR CMT    11/22/2002
137001335  132,715.00  Purchase  Asset Only     164,000.00   7/1/2009    11.25    2.75       2    2.75  1 YR CMT     6/30/2004
138096532  149,961.72  Purchase  Asset Only     161,000.00   7/1/2009   11.125    2.75       2    2.75  1 YR CMT     6/28/2004
138508387  390,207.69  Purchase  Full           490,000.00   8/1/2009       11    2.75       2    2.75  1 YR CMT     7/15/2004
138521489  270,504.58  Purchase  Full           320,000.00   8/1/2009       11    2.75       2    2.75  1 YR CMT     7/12/2004
141076463  218,401.64  Purchase  Full           230,000.00   4/1/2010       11    2.75       2    2.75  1 YR CMT     3/22/2005
141497826  251,125.80  Purchase  Full           330,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/28/2005
143117612  199,800.02  C/O Refi  Asset Only     338,000.00   4/1/2010       11    2.75       2    2.75  1 YR CMT     3/31/2005
143228773  395,000.00  C/O Refi  Asset Only     588,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT      4/6/2005
143507937  100,000.00  R/T Refi  Asset Only     140,000.00   4/1/2010   11.125    2.75       2    2.75  1 YR CMT     3/28/2005
143574572  121,260.68  C/O Refi  Asset Only     196,000.00   4/1/2010       11    2.75       2    2.75  1 YR CMT     3/24/2005
143618163  121,474.94  Purchase  Full           135,000.00   7/1/2010   11.375    2.75       2    2.75  1 YR CMT     6/15/2005
143650018  379,100.00  R/T Refi  Asset Only     455,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT      4/8/2005
143667731  354,665.07  Purchase  Asset Only     577,500.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/23/2005
143672129  142,000.00  Purchase  Full           178,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT      4/8/2005
143689214  202,400.00  Purchase  Full           253,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/22/2005
143699528  312,000.00  Purchase  Asset Only     390,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/11/2005
143733301  217,830.00  Purchase  Full           246,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT     4/25/2005
143750453  208,853.49  Purchase  Full           266,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT      5/5/2005
143756237  300,000.00  Purchase  Full           375,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/25/2005
143793925  336,000.00  C/O Refi  Full           420,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT      4/7/2005
143820801  392,999.00  Purchase  Asset Only     540,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT     4/11/2005
143829208  238,400.00  Purchase  Asset Only     300,000.00   6/1/2010   11.125    2.75       2    2.75  1 YR CMT      5/2/2005
143858793  377,087.60  R/T Refi  Asset Only     653,000.00   5/1/2010       11    2.25       2    2.25  1 YR LIBOR   4/21/2005
143890705  107,400.00  Purchase  Asset Only     120,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT      5/2/2005
143931095  271,262.82  C/O Refi  Asset Only     340,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/19/2005
143935625  268,000.00  R/T Refi  Asset Only     335,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     5/20/2005
143938553  219,919.68  Purchase  Asset Only     275,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     5/19/2005
143946259  139,500.00  Purchase  Asset Only     155,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     5/31/2005
143962835  140,000.00  R/T Refi  Full           175,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/20/2005
143965754  200,000.00  C/O Refi  Asset Only     252,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     5/27/2005
143986578  100,300.00  Purchase  Full           252,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/22/2005
143987246  278,999.80  Purchase  Asset Only     364,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT     4/15/2005
144026382  250,000.00  R/T Refi  Asset Only     290,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/25/2005
144046687  306,185.00  Purchase  Full           383,000.00   5/1/2010   11.125    2.75       2    2.75  1 YR CMT     4/21/2005
144049301  228,000.00  Purchase  Asset Only     285,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/22/2005
144066727  307,000.00  C/O Refi  Full           342,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/22/2005
144076528  340,373.00  Purchase  Full           575,000.00   5/1/2010       11    2.75       2    2.75  1 YR CMT     4/22/2005
144272721   72,921.67  Purchase  Full            93,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     5/12/2005
144311255  159,100.00  Purchase  AUS            200,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     5/26/2005
144385093  162,503.99  Purchase  Full           204,000.00   6/1/2010   11.125    2.75       2    2.75  1 YR CMT     5/27/2005
144710886  176,000.00  Purchase  AUS            225,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     6/10/2005
144756368  159,930.00  R/T Refi  Asset Only     200,000.00   6/1/2010       11    2.75       2    2.75  1 YR CMT     5/27/2005
144786233  208,350.00  Purchase  Asset Only     231,500.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     6/10/2005
144851912  181,400.73  R/T Refi  Full           230,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT      6/3/2005
144880937  198,675.32  Purchase  Full           345,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/31/2005
144897204  256,000.00  Purchase  AUS            320,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/30/2005
145018453  383,643.34  Purchase  Asset Only     415,000.00   8/1/2010       11    2.75       2    2.75  1 YR CMT     7/29/2005
145018743  280,000.00  C/O Refi  Asset Only     447,000.00   7/1/2010       11    2.75       2    2.75  1 YR CMT     6/10/2005
145279592  402,967.00  Purchase  Asset Only     504,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/23/2005
145461323  183,200.00  R/T Refi  Asset Only     229,000.00   8/1/2010       11    2.75       2    2.75  1 YR CMT     6/28/2005
145733267  109,600.00  Purchase  Full           143,000.00   8/1/2010       11    2.75       2    2.75  1 YR CMT     7/12/2005
145777108  128,800.00  R/T Refi  Asset Only     161,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT      8/9/2005
145813168  203,274.00  Purchase  Full           230,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/15/2005
145890117  247,963.45  C/O Refi  Full           320,000.00   9/1/2010    11.25    2.75       2    2.75  1 YR CMT     8/18/2005
146000294  323,248.50  Purchase  AUS            405,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/9/2005
146066667  288,407.35  R/T Refi  Asset Only     330,000.00   8/1/2010    11.25    2.75       2    2.75  1 YR CMT     7/25/2005
146083779  155,920.00  Purchase  Asset Only     195,000.00   8/1/2010   11.125    2.75       2    2.75  1 YR CMT     7/29/2005
146301957  222,399.22  Purchase  Asset Only     300,000.00   8/1/2010     11.5    2.75       2    2.75  1 YR CMT     7/29/2005
146336045  296,000.00  R/T Refi  Asset Only     370,000.00  10/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/31/2005
146381884  363,950.00  Purchase  Full           387,000.00  10/1/2010   11.125    2.25       2    2.25  1 YR LIBOR   8/31/2005
146392873  304,800.00  R/T Refi  Asset Only     381,000.00   9/1/2010       11    2.25       2    2.25  1 YR LIBOR   8/12/2005
146400841  275,430.00  Purchase  Asset Only     345,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/15/2005
146414149  307,500.00  C/O Refi  Full           410,000.00   8/1/2010   11.125    2.75       2    2.75  1 YR CMT     7/29/2005
146429576  380,000.00  R/T Refi  Asset Only     405,000.00   9/1/2010    11.25    2.75       2    2.75  1 YR CMT     8/25/2005
146505813  374,900.53  Purchase  Asset Only     503,500.00  10/1/2010   11.125    2.75       2    2.75  1 YR CMT      9/8/2005
146508262  320,000.00  C/O Refi  Asset Only     500,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/23/2005
146540919  180,800.00  Purchase  Full           226,000.00   9/1/2010       11    2.25       2    2.25  1 YR LIBOR   8/24/2005
146543335  183,720.00  Purchase  Full           246,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/19/2005
146550975  313,000.00  C/O Refi  Full           397,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/19/2005
146574272  192,000.00  C/O Refi  Full           240,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT      8/9/2005
146593975  195,979.75  Purchase  Asset Only     248,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/16/2005
146610837  175,000.00  C/O Refi  Asset Only     220,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/15/2005
146634043  208,800.00  C/O Refi  Asset Only     360,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/1/2005
146636196   69,565.10  Purchase  Asset Only     330,000.00  10/1/2010       11    2.25       2    2.25  1 YR LIBOR   9/30/2005
146649587  188,000.00  Purchase  AUS            235,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/7/2005
146681242  215,984.93  Purchase  Full           276,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/12/2005
146718044  167,242.00  Purchase  Full           216,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/23/2005
146735469  148,902.56  Purchase  Asset Only     200,000.00   9/1/2010   11.625    2.75       2    2.75  1 YR CMT     8/29/2005
146749577  199,818.40  C/O Refi  Asset Only     236,000.00   9/1/2010    11.25    2.75       2    2.75  1 YR CMT     8/19/2005
146766332  183,889.20  Purchase  Full           230,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/31/2005
146775259  311,500.00  Purchase  Asset Only     390,000.00   9/1/2010       11    2.25       2    2.25  1 YR LIBOR   8/17/2005
146778485  404,999.80  Purchase  Full           475,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/30/2005
146780341  267,578.74  Purchase  Full           285,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/11/2005
146783824  318,400.00  Purchase  Asset Only     398,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/12/2005
146798178  313,563.50  Purchase  Asset Only     455,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/30/2005
146798863  175,062.90  Purchase  Asset Only     223,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/25/2005
146803697  284,000.00  Purchase  Asset Only     355,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/18/2005
146814199  318,570.00  Purchase  Full           335,500.00  10/1/2010   11.125    2.75       2    2.75  1 YR CMT      9/1/2005
146816483  390,000.00  C/O Refi  AUS            735,000.00   9/1/2010       11    2.25       2    2.25  1 YR LIBOR   8/18/2005
146825237  192,517.48  Purchase  Full           207,000.00   9/1/2010   11.125    2.25       2    2.25  1 YR LIBOR   8/29/2005
146865043  240,547.44  Purchase  Asset Only     255,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
146880505  254,000.00  C/O Refi  Asset Only     330,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/17/2005
146896816  149,321.49  Purchase  Full           160,000.00  11/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  10/26/2005
146914122  280,000.00  Purchase  Full           355,000.00   9/1/2010    11.25    2.25       2    2.25  1 YR LIBOR    9/2/2005
146917596  173,938.00  Purchase  Full           222,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/2/2005
146925656  226,400.00  Purchase  Full           283,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/26/2005
146932439  338,227.00  Purchase  Asset Only     422,784.00  12/1/2010   11.125    2.25       2    2.25  1 YR LIBOR   11/7/2005
146936067  305,000.00  C/O Refi  Full           417,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/26/2005
146939996  262,482.21  Purchase  Asset Only     277,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
146950472  274,487.10  C/O Refi  Full           307,000.00  10/1/2010   11.125    2.25       2    2.25  1 YR LIBOR   8/29/2005
146952734  276,733.73  Purchase  Full           365,000.00  10/1/2010   11.125    2.25       2    2.25  1 YR LIBOR   9/29/2005
146966833  157,148.00  Purchase  Full           205,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/18/2005
147004899  380,000.00  C/O Refi  Full           475,000.00   9/1/2010   11.125    2.25       2    2.25  1 YR LIBOR   8/15/2005
147007074  280,000.00  C/O Refi  Asset Only     350,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/9/2005
147013619  109,952.88  R/T Refi  Full           190,000.00  10/1/2010   11.375    2.75       2    2.75  1 YR CMT      9/8/2005
147029763  303,750.00  Purchase  Asset Only     415,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/24/2005
147038566  222,432.00  Purchase  Full           278,100.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/18/2005
147056204  189,345.03  Purchase  Full           203,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/19/2005
147065916  210,300.00  C/O Refi  Full           281,000.00  11/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  10/13/2005
147102032  260,000.00  C/O Refi  Full           325,000.00   9/1/2010    11.25    2.25       2    2.25  1 YR LIBOR   8/18/2005
147126783  332,325.17  C/O Refi  Asset Only     475,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/25/2005
147126874  338,000.00  C/O Refi  Full           520,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/7/2005
147130488   92,800.00  Purchase  Asset Only     116,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/8/2005
147152698   83,800.00  R/T Refi  Full           117,000.00  10/1/2010       11    2.25       2    2.25  1 YR LIBOR   9/16/2005
147156921  289,955.56  C/O Refi  AUS            390,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT      9/7/2005
147192025  287,000.00  Purchase  Asset Only     359,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/12/2005
147198188  187,017.00  Purchase  Full           200,000.00   9/1/2010   11.125    2.75       2    2.75  1 YR CMT     8/22/2005
147245914  250,003.42  R/T Refi  Full           300,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/21/2005
147247589  270,400.00  Purchase  Asset Only     340,000.00  10/1/2010       11    2.25       2    2.25  1 YR LIBOR   9/20/2005
147251383  364,357.50  R/T Refi  Asset Only     490,000.00   9/1/2010       11    2.25       2    2.25  1 YR LIBOR   8/24/2005
147264972  330,000.00  C/O Refi  Asset Only     450,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/21/2005
147287171  219,950.00  Purchase  Full           268,000.00  10/1/2010   11.125    2.25       2    2.25  1 YR LIBOR    9/1/2005
147294425  202,431.36  Purchase  Full           274,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/26/2005
147298012  321,112.37  Purchase  Asset Only     403,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/12/2005
147304604  304,000.00  R/T Refi  Asset Only     380,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/19/2005
147320915  407,068.72  Purchase  Asset Only     510,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT     10/4/2005
147343024  111,050.00  Purchase  Full           140,000.00  10/1/2010   11.125    2.75       2    2.75  1 YR CMT     9/23/2005
147354567  141,600.00  Purchase  Full           178,500.00  10/1/2010   11.375    2.25       2    2.25  1 YR LIBOR    9/6/2005
147376016  209,795.98  R/T Refi  Asset Only     266,000.00  10/1/2010   11.125    2.25       2    2.25  1 YR LIBOR   9/28/2005
147384408  292,500.00  Purchase  AUS            330,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/14/2005
147386122  271,700.00  C/O Refi  Asset Only     340,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/23/2005
147387625  359,200.00  Purchase  Full           450,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT     10/3/2005
147409064  339,500.00  C/O Refi  Asset Only     485,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/8/2005
147417786  232,000.00  Purchase  Full           291,000.00   9/1/2010       11    2.75       2    2.75  1 YR CMT     8/31/2005
147435986  292,000.00  C/O Refi  AUS            365,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT     10/5/2005
147511307  281,000.00  C/O Refi  Full           555,000.00  10/1/2010       11    2.25       2    2.25  1 YR LIBOR   9/16/2005
147742191  343,914.00  Purchase  Asset Only     430,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
147778609  173,610.00  Purchase  Asset Only     193,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/3/2005
147786453  207,958.40  Purchase  Full           260,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/18/2005
147817068  230,999.84  C/O Refi  Asset Only     260,000.00  11/1/2010    11.25    2.25       2    2.25  1 YR LIBOR   10/5/2005
147821706  191,839.36  C/O Refi  Full           243,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/11/2005
147859094  376,000.00  C/O Refi  Asset Only     470,000.00  11/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  10/17/2005
147879514  382,500.00  C/O Refi  Full           510,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/17/2005
147894224  372,000.00  Purchase  Asset Only     495,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/19/2005
147900898  256,339.59  Purchase  Asset Only     285,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/14/2005
147913172  125,927.96  Purchase  Full           148,000.00  10/1/2010     11.5    2.75       2    2.75  1 YR CMT     9/29/2005
147934541  175,000.00  R/T Refi  Asset Only     235,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT     10/7/2005
147943112  150,655.00  Purchase  Full           159,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/30/2005
147955801  139,500.00  Purchase  Full           160,000.00  11/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  10/21/2005
147956569  268,760.00  Purchase  Asset Only     336,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR   10/5/2005
147973291  139,555.00  Purchase  Asset Only     149,500.00  11/1/2010       11    2.75       2    2.75  1 YR CMT     10/7/2005
147983852  252,000.00  Purchase  Asset Only     315,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/30/2005
148013816   86,670.00  Purchase  Full           112,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/27/2005
148028376  207,100.00  Purchase  Asset Only     218,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/23/2005
148028871  114,550.00  Purchase  AUS            143,200.00  11/1/2010   11.375    2.25       2    2.25  1 YR LIBOR  10/13/2005
148034739  312,000.00  C/O Refi  Asset Only     390,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/11/2005
148046287  126,450.00  Purchase  Full           147,000.00  10/1/2010     11.5    2.75       2    2.75  1 YR CMT     9/30/2005
148060627  388,000.00  Purchase  Asset Only     485,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/17/2005
148079072  291,650.00  Purchase  Asset Only     310,000.00   2/1/2011   11.375    2.75       2    2.75  1 YR CMT     1/20/2006
148111867  236,500.00  R/T Refi  Asset Only     325,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/23/2005
148113582  168,792.00  Purchase  Asset Only     210,990.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/14/2005
148125362  379,951.11  C/O Refi  Asset Only     477,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/19/2005
148125776  281,650.00  Purchase  Full           353,000.00  11/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  10/12/2005
148129315  310,000.00  C/O Refi  Asset Only     490,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/26/2005
148129638  372,000.00  R/T Refi  Asset Only     465,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/14/2005
148131311  262,500.00  C/O Refi  Asset Only     350,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/15/2005
148135379  399,121.31  Purchase  Asset Only     470,000.00  11/1/2010   11.375    2.75       2    2.75  1 YR CMT    10/10/2005
148141609  306,000.00  C/O Refi  Asset Only     340,000.00  12/1/2010   11.875    2.75       2    2.75  1 YR CMT     11/2/2005
148143779  256,435.87  C/O Refi  Full           395,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/24/2005
148150188  300,000.00  Purchase  Asset Only     375,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/7/2005
148158033  127,341.02  Purchase  Full           160,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/14/2005
148174931  326,000.00  R/T Refi  Asset Only     416,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/19/2005
148181001  332,000.00  R/T Refi  Full           415,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/1/2005
148185457  170,800.00  Purchase  Asset Only     218,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/21/2005
148191448  365,300.00  R/T Refi  AUS            475,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/31/2005
148193816  308,000.00  R/T Refi  Asset Only     385,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/2/2005
148197189  130,640.00  Purchase  Full           163,500.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/22/2005
148197825  200,000.00  C/O Refi  Asset Only     275,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/21/2005
148202567  357,184.36  C/O Refi  Asset Only     533,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/19/2005
148210032  294,400.00  C/O Refi  AUS            368,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/4/2005
148211931  237,937.71  C/O Refi  Asset Only     340,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT     11/1/2005
148224991  315,000.00  C/O Refi  Asset Only     460,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  10/31/2005
148227309  183,999.17  C/O Refi  Asset Only     397,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/14/2005
148227374  151,476.28  R/T Refi  Asset Only     225,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/21/2005
148233521  257,900.00  Purchase  Full           310,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/11/2005
148242308  312,000.00  R/T Refi  Asset Only     390,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/19/2005
148244205  290,000.00  Purchase  Full           365,000.00  11/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  10/13/2005
148244569  237,000.00  C/O Refi  Full           375,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/27/2005
148256894  278,000.00  C/O Refi  Full           360,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/3/2005
148260755  160,000.00  Purchase  Asset Only     202,000.00  11/1/2010   11.375    2.25       2    2.25  1 YR LIBOR   11/1/2005
148265135  174,465.50  Purchase  Asset Only     190,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/12/2005
148295561  401,745.31  R/T Refi  AUS            525,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/25/2005
148302987  250,648.69  C/O Refi  Asset Only     525,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/25/2005
148306301  149,148.00  Purchase  Full           194,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/21/2005
148307903  295,832.26  C/O Refi  Asset Only     610,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/9/2005
148310204  336,000.00  C/O Refi  Asset Only     420,000.00  11/1/2010   11.375    2.75       2    2.75  1 YR CMT    10/12/2005
148317795  387,990.00  Purchase  Full           490,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/20/2005
148319643  117,000.00  C/O Refi  Full           130,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/24/2005
148321128  399,058.47  Purchase  Asset Only     510,000.00   9/1/2010       11    2.25       2    2.25  1 YR LIBOR   8/16/2005
148323652  176,000.00  C/O Refi  Asset Only     220,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/16/2005
148325129  296,000.00  Purchase  Full           370,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/12/2005
148326739  344,000.50  C/O Refi  Full           460,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/12/2005
148326853  280,729.80  Purchase  AUS            351,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/26/2005
148329147  380,000.00  C/O Refi  Full           475,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/12/2005
148335813  224,000.00  C/O Refi  AUS            280,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/4/2005
148336894  273,028.00  Purchase  AUS            350,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/22/2005
148341563  250,326.00  Purchase  Asset Only     319,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR   11/2/2005
148350481  207,171.00  Purchase  Full           224,500.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
148353444  318,500.00  C/O Refi  Asset Only     455,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/24/2005
148357122  313,120.00  Purchase  Asset Only     330,000.00  11/1/2010   11.625    2.25       2    2.25  1 YR LIBOR  10/12/2005
148357304  332,000.00  C/O Refi  Full           420,000.00  11/1/2010   11.375    2.75       2    2.75  1 YR CMT    10/25/2005
148365513  350,400.00  Purchase  Asset Only     440,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/1/2005
148365786  391,200.00  Purchase  AUS            500,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/22/2005
148368301  166,400.00  Purchase  AUS            221,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/17/2005
148368319  262,500.00  C/O Refi  Asset Only     350,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/31/2005
148375249  260,500.00  C/O Refi  AUS            330,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT     11/2/2005
148375868   80,250.00  C/O Refi  Asset Only     107,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/16/2005
148387327  363,139.10  Purchase  Full           465,000.00   9/1/2010       11    2.25       2    2.25  1 YR LIBOR   8/26/2005
148388499  225,000.00  R/T Refi  Asset Only     395,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/25/2005
148389703  313,120.00  Purchase  Asset Only     330,000.00  11/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  10/21/2005
148394752  229,999.48  C/O Refi  Asset Only     310,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR   11/9/2005
148398431  193,500.00  R/T Refi  Full           285,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/1/2005
148399488  396,000.00  Purchase  AUS            495,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/20/2005
148401235  396,966.06  C/O Refi  Asset Only     630,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/24/2005
148403397  126,200.00  Purchase  Full           142,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/19/2005
148408032  404,000.00  R/T Refi  Asset Only     450,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/11/2005
148408487  307,419.92  Purchase  Asset Only     410,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/11/2005
148412919  154,012.00  Purchase  Full           195,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/21/2005
148414253  252,971.00  Purchase  Full           305,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/26/2005
148434327  231,999.80  C/O Refi  Asset Only     290,000.00  12/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  11/22/2005
148435852  199,000.00  C/O Refi  Asset Only     250,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/26/2005
148437213  367,500.00  Purchase  Asset Only     525,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/31/2005
148440803  411,500.00  C/O Refi  AUS            565,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/1/2005
148445521  260,500.00  Purchase  Full           365,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/27/2005
148446669  367,920.00  Purchase  AUS            460,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/20/2005
148447931   95,819.52  Purchase  Full           126,000.00  12/1/2010   11.375    2.25       2    2.25  1 YR LIBOR  11/29/2005
148450414  147,952.99  Purchase  Full           192,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/1/2005
148458375  168,055.00  Purchase  Asset Only     176,900.00  12/1/2010   11.375    2.25       2    2.25  1 YR LIBOR   11/3/2005
148459902  140,309.36  Purchase  Asset Only     179,000.00  11/1/2010     11.5    2.75       2    2.75  1 YR CMT     11/8/2005
148461106  381,969.60  Purchase  Full           480,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/24/2005
148462526  307,423.12  C/O Refi  Asset Only     410,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/24/2005
148471014  187,920.00  Purchase  AUS            239,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/27/2005
148475288  341,000.00  C/O Refi  Asset Only     470,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/7/2005
148476633  188,500.00  R/T Refi  Full           545,000.00  11/1/2010   11.375    2.75       2    2.75  1 YR CMT    10/28/2005
148486293  149,450.00  Purchase  Full           187,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/26/2005
148488315  233,000.00  R/T Refi  Full           300,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/24/2005
148488679  200,000.00  C/O Refi  Full           250,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/25/2005
148491491   98,600.00  Purchase  Asset Only     124,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/31/2005
148493679  279,658.18  Purchase  Full           350,000.00  11/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  10/17/2005
148495807  256,000.00  Purchase  Full           320,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/1/2005
148500184  250,550.00  Purchase  Asset Only     335,500.00  11/1/2010     11.5    2.75       2    2.75  1 YR CMT    10/26/2005
148508161  112,500.00  C/O Refi  AUS            144,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    10/28/2005
148510712  314,000.00  C/O Refi  Asset Only     415,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/24/2005
148511702  199,900.00  Purchase  Full           297,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/11/2005
148514425  325,000.00  C/O Refi  AUS            800,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/1/2005
148518194   99,175.20  Purchase  Full           142,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/15/2005
148525892  147,913.20  C/O Refi  Full           185,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/9/2005
148528847  361,968.15  R/T Refi  Asset Only     470,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/16/2005
148529191  177,297.00  Purchase  Full           190,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/3/2005
148530132  359,999.98  C/O Refi  Asset Only     520,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/8/2005
148531577  136,502.05  Purchase  Full           209,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/4/2005
148543051   78,181.53  R/T Refi  Asset Only     111,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    10/31/2005
148548639  360,000.00  C/O Refi  Full           450,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  11/16/2005
148550668  144,800.00  Purchase  Full           181,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/15/2005
148552029  149,600.00  R/T Refi  Asset Only     187,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/4/2005
148552979  366,404.56  R/T Refi  Asset Only     395,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  11/23/2005
148556012  367,200.00  Purchase  Full           462,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/10/2005
148558638  284,800.00  Purchase  Full           300,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/4/2005
148559933  412,000.00  Purchase  Asset Only     515,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/1/2005
148561244  239,995.42  C/O Refi  Full           315,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/9/2005
148566516  157,100.00  Purchase  Full           248,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/21/2005
148569627  124,900.00  C/O Refi  Asset Only     161,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/15/2005
148569825  191,000.00  C/O Refi  Asset Only     245,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT     11/1/2005
148570146  372,300.00  Purchase  Full           475,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/18/2005
148570237  300,000.00  C/O Refi  Full           440,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/14/2005
148576499  394,921.00  Purchase  Full           500,000.00  11/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  10/26/2005
148576523  399,867.88  C/O Refi  AUS            500,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/23/2005
148578834  224,319.00  Purchase  AUS            290,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/14/2005
148580418  262,810.30  R/T Refi  Full           330,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/14/2005
148583859  181,895.34  Purchase  Full           235,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/23/2005
148591407  120,566.42  Purchase  Full           127,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT     11/9/2005
148591548  169,000.00  C/O Refi  Asset Only     265,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/4/2005
148603145  325,000.00  Purchase  Full           406,500.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/14/2005
148604317  326,250.00  C/O Refi  Asset Only     435,000.00  12/1/2010   11.875    2.75       2    2.75  1 YR CMT     11/1/2005
148604655  225,100.00  Purchase  Full           240,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/27/2005
148610827  403,720.41  Purchase  Full           505,000.00  12/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  10/31/2005
148613565  284,574.16  C/O Refi  Full           370,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/24/2005
148615966  121,070.07  Purchase  Full           151,500.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/4/2005
148620313  102,000.00  Purchase  Full           405,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/27/2005
148622665  235,799.86  Purchase  Asset Only     297,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
148623804  197,199.00  C/O Refi  Asset Only     246,500.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/4/2005
148627656  216,000.00  Purchase  Asset Only     292,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR   11/1/2005
148631633  165,500.00  C/O Refi  AUS            215,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/15/2005
148636426  322,238.82  R/T Refi  Full           403,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/10/2005
148636459  404,000.00  C/O Refi  Full           505,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR   11/8/2005
148644727  366,605.00  Purchase  Full           385,900.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT     11/7/2005
148645195  117,685.41  Purchase  Asset Only   1,000,000.00  12/1/2010   11.375    2.25       2    2.25  1 YR LIBOR   11/1/2005
148647092  135,966.00  Purchase  Full           171,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR  10/28/2005
148650799  412,000.00  Purchase  Full           515,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/1/2005
148655251  219,200.00  C/O Refi  AUS            320,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/3/2005
148656606  401,145.00  Purchase  AUS            538,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/7/2005
148659048  156,804.98  Purchase  Asset Only     196,500.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
148665615  194,400.00  Purchase  Asset Only     243,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/31/2005
148672223  152,000.00  R/T Refi  Full           165,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/22/2005
148674195  210,400.00  Purchase  Asset Only     263,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/3/2005
148683808  129,565.60  R/T Refi  Asset Only     162,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/17/2005
148686181  237,000.00  C/O Refi  Asset Only     330,000.00  11/1/2010       11    2.75       2    2.75  1 YR CMT    10/26/2005
148690068  294,251.27  C/O Refi  Asset Only     395,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/9/2005
148697667  408,500.00  R/T Refi  Asset Only     570,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/14/2005
148697915   77,254.11  Purchase  Asset Only      82,500.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/15/2005
148699267  106,400.00  Purchase  Full           133,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/21/2005
148703507  370,000.00  C/O Refi  AUS            525,000.00   1/1/2011       11    2.25       2    2.25  1 YR LIBOR   12/2/2005
148707433  274,000.00  Purchase  Asset Only     345,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/4/2005
148719628  230,400.00  Purchase  Asset Only     289,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  11/15/2005
148720758  180,000.00  Purchase  Full           230,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/21/2005
148721087  257,550.16  R/T Refi  Full           286,500.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/8/2005
148721665  180,000.00  Purchase  Full           230,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/21/2005
148734239  399,960.00  Purchase  Full           500,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/23/2005
148740723  175,000.00  C/O Refi  Full           591,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/3/2005
148740756   92,913.00  Purchase  Full           125,000.00  11/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/4/2005
148750565  222,751.21  C/O Refi  Full           300,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/14/2005
148752645  374,992.54  C/O Refi  Asset Only     525,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/8/2005
148754161  268,000.00  C/O Refi  AUS            335,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/16/2005
148755143  400,000.00  Purchase  Asset Only     550,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    10/31/2005
148757206  185,801.60  Purchase  Full           300,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/1/2005
148758345  360,796.77  Purchase  AUS            511,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/12/2005
148760382  150,000.00  C/O Refi  Asset Only     475,000.00  12/1/2010     11.5    2.25       2    2.25  1 YR LIBOR  11/21/2005
148764244  255,000.00  R/T Refi  Asset Only     276,000.00   2/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   1/26/2006
148768757  296,250.00  C/O Refi  Asset Only     395,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/14/2005
148774573  212,000.00  C/O Refi  AUS            272,000.00   2/1/2011       11    2.75       2    2.75  1 YR CMT    12/21/2005
148775281  203,920.00  Purchase  Asset Only     254,900.00   1/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   12/5/2005
148777493  292,000.00  C/O Refi  Asset Only     380,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/18/2005
148777626  368,000.00  C/O Refi  AUS            465,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/8/2005
148780562  157,400.00  R/T Refi  Full           260,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/18/2005
148783004  279,872.80  Purchase  Full           360,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/1/2005
148784416  348,000.00  Purchase  AUS            435,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/7/2005
148796824  168,495.82  C/O Refi  Full           220,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/18/2005
148796857  415,850.00  Purchase  Full           577,000.00  11/1/2010    11.25    2.75       2    2.75  1 YR CMT    10/28/2005
148803216  352,000.00  R/T Refi  Asset Only     492,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/16/2005
148805153   28,732.50  Purchase  AUS            353,500.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/11/2005
148805849  397,351.54  Purchase  Full           500,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/30/2005
148810492  143,000.00  C/O Refi  AUS            170,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT     12/8/2005
148810963  370,400.00  C/O Refi  Income Only    463,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/21/2005
148811888  256,984.93  Purchase  Full           322,000.00   1/1/2011       11    2.25       2    2.25  1 YR LIBOR  12/22/2005
148812845  283,200.00  C/O Refi  Asset Only     354,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/7/2005
148813439  396,000.00  R/T Refi  Asset Only     495,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT     11/1/2005
148824642  192,355.00  Purchase  Full           241,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/2/2005
148825185  359,650.00  Purchase  Full           497,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/11/2005
148828676  402,500.00  R/T Refi  Asset Only     575,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/23/2005
148829864  407,999.75  R/T Refi  AUS            510,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/22/2005
148833304  387,882.02  C/O Refi  AUS            520,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/9/2005
148835812  247,994.72  C/O Refi  Full           310,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/22/2005
148839608  398,400.00  Purchase  AUS            498,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    11/22/2005
148839772  340,000.00  C/O Refi  AUS            425,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/23/2005
148840606  336,000.00  C/O Refi  Full           420,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  11/21/2005
148841976  318,000.00  Purchase  Full           400,000.00  12/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  11/15/2005
148845787  373,947.09  C/O Refi  AUS            476,500.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/7/2005
148850498  416,000.00  C/O Refi  AUS            520,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/27/2005
148851074  236,200.00  Purchase  Full           272,000.00  11/1/2010   11.125    2.75       2    2.75  1 YR CMT    10/31/2005
148852577  260,000.00  R/T Refi  Asset Only     280,000.00   1/1/2011     11.5    2.75       2    2.75  1 YR CMT     12/7/2005
148855109  143,800.00  C/O Refi  AUS            182,000.00   1/1/2011     11.5    2.25       2    2.25  1 YR LIBOR  11/30/2005
148858947  403,500.00  Purchase  Asset Only     589,000.00  11/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  10/25/2005
148859564  164,217.62  Purchase  Full           209,000.00  12/1/2010   11.125    2.25       2    2.25  1 YR CMT    11/30/2005
148863285  414,846.00  Purchase  AUS            438,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/17/2005
148867377  386,000.00  Purchase  Asset Only     485,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/21/2005
148869415  224,000.00  Purchase  Full           280,000.00   1/1/2011     11.5    2.25       2    2.25  1 YR LIBOR  12/12/2005
148870587  241,773.29  C/O Refi  Asset Only     305,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/21/2005
148879513  183,200.00  Purchase  Full           230,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/9/2005
148882145  241,814.77  Purchase  Full           303,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
148893571  282,250.00  Purchase  Full           297,500.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/1/2005
148894314  322,388.00  Purchase  Full           412,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT     11/9/2005
148895295  271,200.00  Purchase  AUS            375,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/23/2005
148896954  380,000.00  Purchase  AUS            475,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/17/2005
148898745  316,000.00  Purchase  Full           405,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  11/17/2005
148899552  312,000.00  Purchase  Full           435,000.00   1/1/2011   11.375    2.25       2    2.25  1 YR LIBOR  12/15/2005
148903636  324,000.00  Purchase  Asset Only     410,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT     12/8/2005
148904543  255,960.00  Purchase  AUS            322,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   12/8/2005
148905441  215,000.00  Purchase  AUS            520,000.00   2/1/2011       11    2.75       2    2.75  1 YR CMT    12/28/2005
148908528  396,243.40  C/O Refi  Asset Only     615,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/15/2005
148910367  385,000.00  C/O Refi  Asset Only     856,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
148915549  270,002.00  C/O Refi  AUS            340,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT     11/8/2005
148915705  398,950.00  Purchase  Asset Only     585,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/30/2005
148915846  235,000.00  C/O Refi  AUS            670,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/22/2005
148922024  173,900.00  C/O Refi  AUS            230,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/23/2005
148924244  150,500.00  R/T Refi  Full           190,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/10/2005
148928898  335,378.00  Purchase  Full           428,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/30/2005
148929771  239,259.31  C/O Refi  AUS            317,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/28/2005
148930233  112,261.80  Purchase  AUS            150,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/17/2005
148931355  187,550.00  Purchase  Full           240,000.00  12/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  11/18/2005
148933682  135,994.09  R/T Refi  Income Only    170,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/18/2005
148936107  261,249.94  Purchase  Asset Only     275,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT     12/1/2005
148946197  410,368.04  Purchase  Full           520,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT     12/9/2005
148946866  315,450.00  Purchase  Full           395,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/10/2005
148947591  223,983.26  R/T Refi  Full           280,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/14/2005
148947781  239,985.88  R/T Refi  Full           300,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/14/2005
148947955  259,986.29  R/T Refi  Full           325,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/14/2005
148948565  240,799.17  C/O Refi  Asset Only     301,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/15/2005
148952997  360,000.00  C/O Refi  AUS            450,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/22/2005
148953847  392,000.00  Purchase  AUS            490,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/16/2005
148957129  351,200.00  R/T Refi  Asset Only     439,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/1/2005
148957517  379,999.20  Purchase  Full           405,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/1/2005
148960669  203,120.00  Purchase  Full           257,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT    12/14/2005
148961337  120,145.57  Purchase  Full           136,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/28/2005
148962038  120,106.28  Purchase  Full           136,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/28/2005
148964422  319,836.68  C/O Refi  Full           400,000.00  12/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  11/23/2005
148965809  400,000.00  Purchase  Asset Only     500,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/23/2005
148966559  138,835.00  C/O Refi  Full           155,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   12/2/2005
148971245  295,050.00  Purchase  Full           348,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/30/2005
148972672  169,600.00  Purchase  Asset Only     215,000.00  12/1/2010   11.375    2.25       2    2.25  1 YR LIBOR  11/18/2005
148976822  272,000.00  Purchase  Full           340,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR  11/22/2005
148977267  359,648.00  R/T Refi  Full           455,000.00  11/1/2010   11.125    2.25       2    2.25  1 YR LIBOR  10/24/2005
148978281  136,000.00  Purchase  Full           170,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   12/1/2005
148979875  204,000.00  Purchase  Full           256,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/29/2005
148983331  189,050.00  Purchase  AUS            200,500.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/6/2005
148986565  189,600.00  C/O Refi  Asset Only     237,000.00  12/1/2010   11.625    2.25       2    2.25  1 YR LIBOR  11/23/2005
148993603  104,000.00  Purchase  Asset Only     130,000.00   2/1/2011       11    2.75       2    2.75  1 YR CMT      1/4/2006
148996747  200,000.00  C/O Refi  AUS            250,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   12/9/2005
148999899  331,308.83  Purchase  Full           358,500.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/10/2005
149002008  342,000.00  C/O Refi  Asset Only     435,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/18/2005
149006587  203,420.00  Purchase  Asset Only     258,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR  12/23/2005
149013062  308,000.00  C/O Refi  Asset Only     385,000.00   2/1/2011       11    2.75       2    2.75  1 YR CMT     1/17/2006
149013211  308,000.00  C/O Refi  Full           385,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/6/2005
149014714  134,400.00  Purchase  Full           169,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/21/2005
149017683  369,979.85  Purchase  Full           473,500.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/21/2005
149018087  168,000.00  Purchase  Asset Only     220,000.00  12/1/2010   11.375    2.25       2    2.25  1 YR LIBOR  11/21/2005
149021586  225,000.00  C/O Refi  Asset Only     300,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    11/28/2005
149030744  357,827.00  Purchase  Full           400,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT    12/15/2005
149030785  399,529.67  C/O Refi  Asset Only     625,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/23/2005
149038416  272,000.00  C/O Refi  Full           340,000.00  12/1/2010    11.75    2.75       2    2.75  1 YR CMT    11/18/2005
149043978  200,000.00  C/O Refi  Asset Only     250,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/22/2005
149046211  311,200.00  Purchase  Asset Only     389,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   12/2/2005
149051898  215,200.00  Purchase  Full           270,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT     11/7/2005
149054603  264,000.00  C/O Refi  AUS            334,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/22/2005
149055386  261,894.74  R/T Refi  Asset Only     335,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/8/2005
149055592  400,000.00  C/O Refi  Full           910,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT     11/8/2005
149058208  292,004.00  Purchase  Full           366,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/19/2005
149058398  400,000.00  C/O Refi  AUS            515,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  11/22/2005
149071201  381,500.00  R/T Refi  Asset Only     690,000.00   1/1/2011   11.125    2.75       2    2.75  1 YR CMT     12/1/2005
149071607  156,000.00  Purchase  Full           196,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/23/2005
149075103  218,603.00  Purchase  Full           251,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/2/2005
149075996  186,151.68  Purchase  Asset Only     235,000.00   1/1/2011   11.625    2.75       2    2.75  1 YR CMT     12/5/2005
149077885  415,862.00  Purchase  Asset Only     445,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT    12/28/2005
149086639  164,000.00  Purchase  Full           205,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/15/2005
149087413  378,734.25  R/T Refi  Asset Only     505,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/5/2005
149089146  168,689.80  Purchase  Full           225,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/21/2005
149089187  324,000.00  Purchase  Full           405,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/28/2005
149095895  247,496.27  C/O Refi  Asset Only     330,000.00   1/1/2011     11.5    2.75       2    2.75  1 YR CMT     12/5/2005
149097248  320,000.00  C/O Refi  Asset Only     429,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/21/2005
149105058  183,950.00  Purchase  Full           235,000.00   1/1/2011    11.25    2.75       2    2.75  1 YR CMT     12/7/2005
149106684  275,350.00  Purchase  Full           350,000.00  12/1/2010     11.5    2.75       2    2.75  1 YR CMT    11/22/2005
149111544  163,717.54  R/T Refi  Asset Only     205,000.00   1/1/2011       11    2.25       2    2.25  1 YR LIBOR  12/23/2005
149116261  270,112.00  Purchase  Full           338,000.00  12/1/2010   11.125    2.75       2    2.75  1 YR CMT    11/23/2005
149116444  284,139.00  Purchase  Full           355,174.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   12/9/2005
149116931  266,612.00  Purchase  Full           333,500.00   2/1/2011     11.5    2.75       2    2.75  1 YR CMT     1/10/2006
149117582  365,750.00  Purchase  Asset Only     385,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/5/2005
149118788  395,500.00  C/O Refi  AUS            530,000.00   1/1/2011   11.375    2.75       2    2.75  1 YR CMT     12/6/2005
149118986  359,650.00  Purchase  AUS            500,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   12/8/2005
149127201  259,600.00  C/O Refi  Full           462,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/23/2005
149132243  261,594.00  Purchase  Full           330,000.00  12/1/2010       11    2.75       2    2.75  1 YR CMT    11/22/2005
149137846  268,000.00  Purchase  AUS            335,000.00   1/1/2011       11    2.75       2    2.75  1 YR CMT    12/15/2005
149138554  329,800.00  Purchase  Full           451,000.00  12/1/2010    11.25    2.75       2    2.75  1 YR CMT    11/14/2005
149139578  194,750.00  Purchase  Full           205,000.00  12/1/2010   11.375    2.75       2    2.75  1 YR CMT    11/23/2005
149054447  398,900.00  Purchase  Full           560,000.00   7/1/2010   11.375    2.25       2    2.25  1 YR LIBOR    6/8/2005
149227191  391,900.00  Purchase  Full           490,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/15/2006
149335184  159,966.50  C/O Refi  Full           200,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR  12/21/2005
149352452  412,000.00  Purchase  AUS            515,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   2/27/2006
149432304  196,000.00  Purchase  Full           245,000.00   1/1/2011       11    2.25       2    2.25  1 YR LIBOR   12/6/2005
149446957  337,200.00  Purchase  Asset Only     424,000.00   2/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/13/2006
149473753  160,000.00  R/T Refi  Asset Only     203,000.00   2/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   1/25/2006
149500068  168,000.00  Purchase  Full           215,000.00   2/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/19/2006
149518441  279,787.77  C/O Refi  Full           445,000.00  12/1/2010    11.25    2.25       2    2.25  1 YR LIBOR  11/16/2005
149533929  127,920.00  Purchase  Full           161,000.00  12/1/2010       11    2.25       2    2.25  1 YR LIBOR   11/9/2005
149545592  180,000.00  R/T Refi  Asset Only     245,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR  12/16/2005
149558579  245,866.23  C/O Refi  Asset Only     330,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/31/2006
149585903  120,000.00  R/T Refi  Asset Only     155,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/30/2006
149648057  258,400.00  C/O Refi  Full           323,000.00   1/1/2011     11.5    2.25       2    2.25  1 YR LIBOR  12/22/2005
149653933  265,000.00  C/O Refi  Full           345,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   12/1/2005
149669459  252,000.00  Purchase  Full           315,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/11/2006
149696742  236,000.00  R/T Refi  Full           305,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR  12/21/2005
149697559  200,000.00  Purchase  Asset Only     255,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/23/2006
149715013  370,000.00  C/O Refi  Asset Only     650,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    1/5/2006
149763443  350,000.00  C/O Refi  Asset Only     602,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/26/2006
149774275  187,200.00  Purchase  Full           212,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/18/2006
149792129  273,600.00  C/O Refi  AUS            342,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/13/2006
149813206  168,206.00  Purchase  Full           192,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/6/2006
149819625  329,880.00  Purchase  Full           412,350.00   2/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/20/2006
149820284  270,000.00  C/O Refi  Full           386,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    2/9/2006
149820334  112,000.00  C/O Refi  Full           140,000.00   2/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   1/11/2006
149820748  250,295.90  C/O Refi  Income Only    302,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   12/2/2005
149838179  225,600.00  Purchase  Asset Only     320,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/27/2006
149856262  356,250.00  C/O Refi  Asset Only     475,000.00   1/1/2011       11    2.25       2    2.25  1 YR LIBOR  12/23/2005
149875817  156,487.23  Purchase  Asset Only     166,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/20/2006
149876195  398,784.81  C/O Refi  Full           530,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/18/2006
149904203  326,400.00  Purchase  Asset Only     415,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR   2/24/2006
149907354  284,000.00  Purchase  Full           355,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/11/2006
149908576  232,000.00  C/O Refi  Full           306,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/23/2006
149910622  370,000.00  R/T Refi  Asset Only     515,000.00   1/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   12/9/2005
149910861  237,900.00  C/O Refi  Full           270,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR  12/20/2005
149918054  159,200.00  Purchase  Full           199,999.00   2/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   1/18/2006
149920803  138,688.00  Purchase  AUS            175,000.00   3/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   2/17/2006
149923872  400,000.00  Purchase  Full           529,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR  12/30/2005
149938862  138,559.57  Purchase  Full           156,000.00   2/1/2011       12    2.25       2    2.25  1 YR LIBOR   1/20/2006
149943102  290,424.35  Purchase  AUS            364,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/13/2006
149988701  182,496.74  Purchase  Full           233,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/18/2006
149991325  127,200.00  Purchase  Full           159,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/17/2006
149992539  325,000.00  C/O Refi  Full           410,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/30/2006
149993107  257,300.00  Purchase  AUS            338,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/25/2006
150002509  157,500.00  Purchase  Asset Only     210,000.00   2/1/2011   11.875    2.25       2    2.25  1 YR LIBOR   1/27/2006
150011641  272,000.00  C/O Refi  Full           363,250.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/26/2006
150014199  219,939.27  Purchase  Asset Only     275,000.00   2/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   1/27/2006
150030252  149,900.00  Purchase  Full           199,900.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/17/2006
150053551  284,000.00  C/O Refi  Full           355,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR    1/9/2006
150053791  242,250.00  Purchase  Asset Only     255,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/24/2006
150082014  237,844.00  C/O Refi  Full           342,500.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/25/2006
150085322  228,000.00  C/O Refi  AUS            285,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    2/8/2006
150115954  194,560.00  Purchase  Asset Only     243,200.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/30/2006
150132355  201,000.00  C/O Refi  Full           257,000.00   2/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   1/31/2006
150139772  231,904.77  Purchase  Full           290,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    3/2/2006
150148195   74,400.00  Purchase  AUS             93,000.00   2/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   1/26/2006
150155976  352,000.00  Purchase  Full           440,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/17/2006
150162659  134,500.00  R/T Refi  Income Only    177,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR  12/23/2005
150166536  416,000.00  C/O Refi  AUS            580,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/23/2006
150167575  280,400.00  C/O Refi  Full           350,500.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/30/2006
150168581  363,449.25  R/T Refi  Full           492,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR  12/28/2005
150183226  189,158.00  Purchase  Full           237,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   12/8/2005
150184604  212,000.00  Purchase  Asset Only     267,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR    2/9/2006
150184653  199,598.35  C/O Refi  Asset Only     300,000.00   2/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/20/2006
150185528  324,000.00  C/O Refi  Asset Only     405,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    2/6/2006
150185692  313,927.00  Purchase  Full           385,000.00   1/1/2011    11.25    2.25       2    2.25  1 YR LIBOR  12/13/2005
150191674  271,628.12  R/T Refi  Asset Only     340,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/2/2006
150203982  255,999.67  Purchase  Asset Only     326,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/16/2006
150216463  341,000.00  C/O Refi  Full           385,000.00   1/1/2011     11.5    2.25       2    2.25  1 YR LIBOR  12/28/2005
150219111  187,034.31  Purchase  Full           235,000.00   1/1/2011   11.375    2.25       2    2.25  1 YR LIBOR  12/21/2005
150229789  262,763.45  Purchase  Full           295,000.00   2/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   1/30/2006
150232692  136,000.00  C/O Refi  Asset Only     170,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/3/2006
150243228  273,930.07  Purchase  Asset Only     345,000.00   2/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/25/2006
150272912  178,500.00  R/T Refi  Full           298,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/6/2006
150284503  160,000.00  C/O Refi  Asset Only     200,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/26/2006
150306652  331,999.58  R/T Refi  Full           415,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/27/2006
150318145  135,000.00  C/O Refi  Asset Only     182,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   1/20/2006
150333508  355,000.00  C/O Refi  Asset Only     640,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/6/2006
150349827  379,900.00  Purchase  Full           540,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    1/9/2006
150367084  335,999.50  C/O Refi  AUS            420,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR    2/8/2006
150373215  204,018.00  Purchase  AUS            260,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/17/2006
150379329  117,179.60  Purchase  Full           147,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/15/2006
150382737  356,000.00  Purchase  Full           445,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/10/2006
150387645  270,000.00  C/O Refi  Asset Only     360,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR    2/1/2006
150390201  184,000.00  Purchase  Asset Only     240,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/27/2006
150400166  207,897.75  Purchase  Full           259,900.00   3/1/2011       12    2.25       2    2.25  1 YR LIBOR   2/21/2006
150400661  367,106.29  Purchase  Asset Only     459,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/10/2006
150407013  312,000.00  C/O Refi  Full           390,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/13/2006
150410017  277,886.40  C/O Refi  Asset Only     406,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/7/2006
150412526  260,000.00  Purchase  Full           325,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/13/2006
150438364  404,800.00  Purchase  Asset Only     506,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/9/2006
150438992  250,000.00  C/O Refi  Full           335,000.00   2/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   1/13/2006
150443232  236,800.00  C/O Refi  Asset Only     296,000.00   3/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   2/28/2006
150443265  309,859.38  C/O Refi  AUS            352,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    2/8/2006
150449361  119,997.92  C/O Refi  AUS            163,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    2/9/2006
150462232  254,400.00  Purchase  Full           320,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR   2/24/2006
150465979  274,000.00  Purchase  Full           360,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   3/10/2006
150466001  400,000.00  R/T Refi  Asset Only     510,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/22/2006
150474344  151,999.88  Purchase  Full           255,000.00   2/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    2/3/2006
150478733  176,000.00  Purchase  Asset Only     230,000.00   3/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   2/15/2006
150505824  371,913.38  C/O Refi  Asset Only     487,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/10/2006
150515534  168,550.00  Purchase  Full           220,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/17/2006
150523447  306,256.29  C/O Refi  Full           383,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR   2/15/2006
150543171  241,699.14  Purchase  Full           310,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    3/1/2006
150544872  327,200.00  Purchase  Full           409,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR   2/24/2006
150545572  379,900.00  C/O Refi  Asset Only     475,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR    3/1/2006
150558724  347,998.74  R/T Refi  Full           435,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/22/2006
150560183  316,716.00  Purchase  AUS            399,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR   2/24/2006
150570356  179,824.16  Purchase  Asset Only     227,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/27/2006
150576494  146,249.34  Purchase  Full           195,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    2/7/2006
150606382  105,400.00  Purchase  Full           135,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/24/2006
150606481  260,000.00  R/T Refi  Full           325,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   3/14/2006
150607463  282,650.00  Purchase  Full           340,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/13/2006
150607489  372,000.00  Purchase  Full           465,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/12/2006
150608149  204,595.74  Purchase  Full           260,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/13/2006
150608537  287,875.19  C/O Refi  Asset Only     360,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/19/2006
150633022  346,400.00  Purchase  Asset Only     433,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/24/2006
150639441  405,000.00  Purchase  Full           540,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/27/2006
150640746  284,000.00  C/O Refi  Asset Only     355,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/27/2006
150641439  367,800.00  Purchase  Full           460,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/27/2006
150659118  196,000.00  C/O Refi  Asset Only     325,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/20/2006
150660975  296,000.00  Purchase  Full           370,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/8/2006
150662427  154,400.00  Purchase  Asset Only     193,000.00   3/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   2/20/2006
150664951  260,000.00  R/T Refi  Asset Only     335,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/3/2006
150688844  392,000.00  Purchase  AUS            490,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/16/2006
150688927  196,050.00  R/T Refi  Asset Only     207,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/21/2006
150689768  402,341.00  Purchase  Full           515,000.00   3/1/2011     11.5    2.25       2    2.25  1 YR LIBOR    3/2/2006
150690972  288,000.00  Purchase  Full           360,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/7/2006
150693034  349,260.00  Purchase  Full           440,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/28/2006
150694586  246,574.10  Purchase  Full           315,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    3/3/2006
150695815  215,200.00  Purchase  Full           270,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/28/2006
150696466  184,000.00  Purchase  Full           230,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/17/2006
150696672  184,000.00  Purchase  Full           230,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/24/2006
150700359  100,000.00  Purchase  Full           127,000.00   3/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   2/22/2006
150703551  263,920.00  Purchase  Full           338,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR    3/3/2006
150720316  399,999.81  R/T Refi  Full           535,000.00   2/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   1/26/2006
150720472  197,200.00  C/O Refi  AUS            278,000.00   3/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   2/17/2006
150722296  116,000.00  Purchase  AUS            150,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/10/2006
150725646  292,000.00  Purchase  Full           375,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/29/2006
150729895  313,495.52  Purchase  AUS            330,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   3/21/2006
150733616  222,976.74  C/O Refi  Full           250,000.00   2/1/2011       11    2.25       2    2.25  1 YR LIBOR   1/10/2006
150733673  203,200.00  C/O Refi  Full           254,000.00   1/1/2011   11.125    2.25       2    2.25  1 YR LIBOR  12/27/2005
150736767  204,906.94  R/T Refi  Asset Only     280,000.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/30/2006
150789873  296,000.00  R/T Refi  Asset Only     375,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    3/7/2006
150793933  352,000.00  C/O Refi  AUS            555,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/7/2006
150798916  221,500.00  Purchase  AUS            285,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/2/2006
150800399  276,000.00  Purchase  Asset Only     350,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/13/2006
150804185  188,650.00  Purchase  Full           238,000.00   4/1/2011   11.625    2.25       2    2.25  1 YR LIBOR    3/9/2006
150805372  168,000.00  Purchase  Asset Only     235,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/14/2006
150805893  415,500.00  Purchase  AUS            540,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    3/9/2006
150816239  180,000.00  Purchase  AUS            231,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/14/2006
150823367  210,000.00  C/O Refi  Asset Only     565,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/13/2006
150825115  162,200.00  Purchase  Full           203,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR   2/15/2006
150826063  179,752.00  Purchase  Full           225,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR    3/3/2006
150856615  212,000.00  Purchase  Asset Only     265,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/9/2006
150859601  174,954.43  Purchase  Full           256,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/28/2006
150887909  127,434.27  C/O Refi  Full           170,000.00   4/1/2011    11.75    2.25       2    2.25  1 YR LIBOR   3/10/2006
150890846  208,000.00  Purchase  Full           260,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/23/2006
150933729  301,150.00  C/O Refi  Full           376,500.00   2/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   1/27/2006
150935278  345,000.00  C/O Refi  Asset Only     440,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/21/2006
150940831  196,000.00  Purchase  Full           246,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/13/2006
150947182  180,000.00  R/T Refi  Full           225,000.00   4/1/2011   11.625    2.25       2    2.25  1 YR LIBOR    3/9/2006
150951085  325,000.00  C/O Refi  Asset Only     505,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/27/2006
150953891  267,600.00  R/T Refi  Asset Only     335,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/31/2006
150964195  273,000.00  R/T Refi  Asset Only     445,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/22/2006
150990547   88,000.00  Purchase  Full           113,000.00   3/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   2/24/2006
150993822  384,000.00  C/O Refi  AUS            480,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    3/9/2006
150998649  348,000.00  C/O Refi  AUS            435,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    4/4/2006
151017852  303,200.00  Purchase  Full           380,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/14/2006
151031614  298,000.00  R/T Refi  Asset Only     396,000.00   5/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   4/11/2006
151041647  220,400.00  Purchase  Full           275,500.00   3/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   2/24/2006
151041845  140,000.00  Purchase  Full           175,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/24/2006
151056116  200,000.00  Purchase  Full           259,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    3/8/2006
151057296  147,000.00  C/O Refi  AUS            290,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    4/5/2006
151059573  371,400.00  C/O Refi  Asset Only     465,000.00   4/1/2011   11.875    2.25       2    2.25  1 YR LIBOR   3/16/2006
151064797  196,800.00  Purchase  Full           246,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/9/2006
151073533  240,000.00  Purchase  Asset Only     315,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/24/2006
151082054  190,980.52  Purchase  Full           295,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    3/2/2006
151085834  137,270.00  Purchase  Full           160,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/9/2006
151089935  128,000.00  Purchase  Asset Only     161,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/15/2006
151105608  251,600.00  Purchase  Full           320,000.00   4/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   3/28/2006
151105905  380,000.00  Purchase  Asset Only     475,000.00   6/1/2011     11.5    2.25       2    2.25  1 YR LIBOR    5/9/2006
151113628  265,200.00  Purchase  Asset Only     360,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/10/2006
151125937  212,000.00  Purchase  Full           265,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/13/2006
151134301  284,875.00  Purchase  Full           385,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/16/2006
151137767  259,653.28  C/O Refi  Asset Only     470,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   3/20/2006
151143146  331,500.00  Purchase  AUS            415,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/30/2006
151148863  294,000.00  Purchase  Asset Only     430,000.00   4/1/2011   11.625    2.25       2    2.25  1 YR LIBOR    3/8/2006
151160173  334,814.76  C/O Refi  Full           419,000.00   4/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   3/14/2006
151171857  242,400.00  R/T Refi  Full           310,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    3/9/2006
151183969  194,800.00  Purchase  AUS            243,500.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   3/28/2006
151185709  353,282.00  Purchase  Asset Only     442,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/16/2006
151202157  142,500.00  Purchase  Full           160,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/21/2006
151207024  248,000.00  C/O Refi  Asset Only     398,500.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/13/2006
151211638  219,920.00  Purchase  Full           276,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/22/2006
151216967  244,000.00  Purchase  Full           305,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/28/2006
151217916  201,000.00  R/T Refi  Asset Only     255,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/28/2006
151219284  321,242.00  Purchase  Asset Only     445,000.00   5/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    4/3/2006
151232246  329,600.00  Purchase  Asset Only     412,000.00   5/1/2011    11.75    2.25       2    2.25  1 YR LIBOR   4/13/2006
151233392  283,500.00  C/O Refi  Full           372,000.00   4/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   3/28/2006
151237831  320,000.00  Purchase  Full           400,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/16/2006
151243615  403,750.00  Purchase  Full           425,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/20/2006
151248002  222,000.00  Purchase  Full           290,000.00   3/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   2/23/2006
151252236  244,000.00  C/O Refi  Full           305,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR    4/5/2006
151278793  302,204.00  Purchase  Asset Only     385,520.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    4/5/2006
151282712  202,320.00  Purchase  Full           255,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/21/2006
151298353  144,000.00  C/O Refi  Full           180,000.00   5/1/2011    11.75    2.25       2    2.25  1 YR LIBOR    4/6/2006
151302593  165,905.17  C/O Refi  Full           185,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/30/2006
151302742  200,000.00  Purchase  Full           260,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/27/2006
151304144  273,000.00  C/O Refi  Full           395,000.00   4/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   3/24/2006
151305737  236,900.00  Purchase  Full           312,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/31/2006
151309622  187,000.00  C/O Refi  Full           250,000.00   3/1/2011       11    2.25       2    2.25  1 YR LIBOR    2/8/2006
151312667  400,000.00  C/O Refi  Asset Only     500,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   3/27/2006
151335536  240,829.00  Purchase  Asset Only     315,000.00   4/1/2011    11.75    2.25       2    2.25  1 YR LIBOR   3/29/2006
151342359  170,000.00  C/O Refi  Asset Only     214,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/29/2006
151354578  299,941.75  C/O Refi  Asset Only     375,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/14/2006
151355427  181,600.00  C/O Refi  AUS            227,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/23/2006
151368743  376,000.00  C/O Refi  AUS            470,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/12/2006
151383288  360,000.00  Purchase  Asset Only     452,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR    4/4/2006
151392131  184,000.00  C/O Refi  Asset Only     235,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR    4/7/2006
151404605  348,000.00  Purchase  Full           435,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    3/8/2006
151412624  180,674.49  Purchase  Asset Only     230,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/11/2006
151421831  412,500.00  C/O Refi  Asset Only     550,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/29/2006
151427945  313,000.00  C/O Refi  Full           485,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/31/2006
151428729  354,392.64  C/O Refi  Full           450,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/16/2006
151434065  173,662.95  Purchase  Full           220,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/21/2006
151435724  199,920.00  Purchase  Full           250,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/27/2006
151438215  236,000.00  C/O Refi  Asset Only     295,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/10/2006
151447158  101,120.00  Purchase  Full           136,500.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   3/15/2006
151465408  224,000.00  Purchase  Asset Only     300,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/18/2006
151470648  320,000.00  C/O Refi  Asset Only     430,000.00   5/1/2011    11.75    2.25       2    2.25  1 YR LIBOR   4/17/2006
151479623  388,000.00  Purchase  AUS            490,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/27/2006
151485646  167,249.34  R/T Refi  Full           223,000.00   3/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   2/14/2006
151493079  357,437.52  C/O Refi  Full           448,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/24/2006
151493715  313,600.00  Purchase  Full           450,000.00   3/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   2/22/2006
151511151  290,320.00  R/T Refi  Asset Only     362,900.00   5/1/2011       12    2.25       2    2.25  1 YR LIBOR   4/28/2006
151514577  399,986.07  C/O Refi  Asset Only     500,000.00   6/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/26/2006
151534971  375,945.11  C/O Refi  Full           470,000.00   5/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   4/13/2006
151542271  264,800.00  Purchase  Full           333,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/20/2006
151562055  162,400.00  Purchase  Full           205,000.00   4/1/2011       11    2.25       2    2.25  1 YR LIBOR   3/28/2006
151570736  400,000.00  C/O Refi  AUS            540,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/25/2006
151572146  269,850.00  C/O Refi  AUS            356,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR   4/18/2006
151581188  312,000.00  Purchase  Asset Only     392,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/14/2006
151582541  320,000.00  Purchase  Full           575,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/31/2006
151599727  266,800.00  Purchase  Asset Only     334,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/12/2006
151605136  251,900.00  C/O Refi  Full           318,000.00   5/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   4/21/2006
151609153  261,200.00  Purchase  AUS            330,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/10/2006
151613007  281,600.00  C/O Refi  Asset Only     352,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    4/5/2006
151621505  196,000.00  C/O Refi  Full           245,000.00   4/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   3/27/2006
151631207  303,920.00  Purchase  Asset Only     380,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR   4/14/2006
151646155  215,929.76  Purchase  Full           270,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/23/2006
151651247  211,950.00  Purchase  Full           265,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/28/2006
151703139  380,000.00  C/O Refi  Asset Only     475,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/20/2006
151711017  254,400.00  Purchase  Full           310,000.00   5/1/2011    12.25    2.25       2    2.25  1 YR LIBOR    4/5/2006
151712445  188,000.00  Purchase  Asset Only     239,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR   4/25/2006
151718269  168,150.00  Purchase  Full           215,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR    4/3/2006
151726627  395,000.00  R/T Refi  Full           503,500.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/14/2006
151738069  105,600.00  Purchase  AUS            135,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/27/2006
151738671  307,960.00  Purchase  AUS            390,000.00   6/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    5/5/2006
151740503  199,500.00  C/O Refi  Asset Only     285,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR    4/5/2006
151742574  239,486.80  C/O Refi  Asset Only     378,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/27/2006
151744505  407,200.00  Purchase  Full           510,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/17/2006
151768926  248,800.00  Purchase  Full           312,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR   4/20/2006
151769395  201,211.00  C/O Refi  Asset Only     265,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/21/2006
151792058  171,291.09  R/T Refi  Asset Only     390,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/20/2006
151806536  266,212.61  Purchase  Full           340,000.00   4/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   3/31/2006
151807047   92,000.00  R/T Refi  Full           115,000.00   5/1/2011   11.875    2.25       2    2.25  1 YR LIBOR   4/21/2006
151827847  399,210.00  Purchase  Full           510,000.00   5/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   4/11/2006
151837341  257,541.67  Purchase  Asset Only     322,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/13/2006
151844701  215,829.94  Purchase  AUS            270,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR   4/20/2006
151852829  183,200.00  Purchase  Full           230,000.00   4/1/2011     11.5    2.25       2    2.25  1 YR LIBOR    4/3/2006
151856473  279,452.87  Purchase  Full           350,000.00   5/1/2011   11.125    2.25       2    2.25  1 YR LIBOR   4/13/2006
151873858  380,000.00  C/O Refi  Full           478,000.00   5/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   4/24/2006
151928686  101,335.94  Purchase  Asset Only     127,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR    5/4/2006
151946266  326,400.00  Purchase  Full           410,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR   4/28/2006
151970654  285,000.00  C/O Refi  Full           410,000.00   4/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   3/10/2006
151986551  360,000.00  R/T Refi  Asset Only     475,000.00   6/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/27/2006
152007571  395,000.00  Purchase  Full           500,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/19/2006
152011219  360,000.00  C/O Refi  Full           450,000.00   6/1/2011    11.25    2.25       2    2.25  1 YR LIBOR    5/3/2006
152020442  172,000.00  Purchase  Full           269,450.00   5/1/2011   11.625    2.25       2    2.25  1 YR LIBOR   4/26/2006
152042552  298,502.98  Purchase  Asset Only     380,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/28/2006
152059259  288,000.00  Purchase  AUS            360,000.00   6/1/2011       11    2.25       2    2.25  1 YR LIBOR    5/1/2006
152062949  263,000.00  C/O Refi  Asset Only     330,000.00   6/1/2011    11.75    2.25       2    2.25  1 YR LIBOR   4/28/2006
152200432  232,000.00  C/O Refi  AUS            310,000.00   6/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/27/2006
152223178  202,800.00  Purchase  Full           284,000.00   5/1/2011       11    2.25       2    2.25  1 YR LIBOR   4/21/2006
152277562  168,000.00  R/T Refi  Full           210,000.00   5/1/2011   11.125    2.25       2    2.25  1 YR LIBOR    4/7/2006
152283305  155,750.00  C/O Refi  Full           210,000.00   5/1/2011    11.25    2.25       2    2.25  1 YR LIBOR   4/24/2006
152328704  405,000.00  Purchase  AUS            855,000.00   5/1/2011   11.375    2.25       2    2.25  1 YR LIBOR   4/28/2006
152379988  388,000.00  Purchase  Full           520,000.00   5/1/2011     11.5    2.25       2    2.25  1 YR LIBOR   4/18/2006
 51562536  159,016.00  Purchase  Full           199,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/28/2006
 52940772  399,996.68  Purchase  Full           728,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/12/2006
 54411723  295,969.00  Purchase  Full           350,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT      4/7/2006
 54621982  396,924.73  Purchase  Full           425,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/27/2006
 61041794  101,280.00  Purchase  Full           128,000.00   6/1/2013     11.5    2.75       2    2.75  1 YR CMT     5/12/2006
 61198271  247,473.00  Purchase  Full           355,000.00   5/1/2013   11.125    2.75       2    2.75  1 YR CMT     4/12/2006
 61397808  236,728.00  Purchase  Full           300,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/28/2006
 61612669  146,198.24  Purchase  Full           183,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/10/2006
 61809265  355,167.94  Purchase  Full           450,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/25/2006
 63353783  262,500.00  C/O Refi  Full           375,000.00   5/1/2013   11.125    2.75       2    2.75  1 YR CMT     4/14/2006
 63363857  217,300.00  R/T Refi  Full           290,000.00   5/1/2013   11.125    2.75       2    2.75  1 YR CMT     4/14/2006
 63364327  406,250.00  C/O Refi  Full           625,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/14/2006
 63548317  386,800.00  Purchase  Full           485,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT      4/7/2006
 63582951  164,844.00  Purchase  AUS            230,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT      4/7/2006
 63643472  115,155.00  Purchase  Asset Only     128,000.00   6/1/2013   11.125    2.75       2    2.75  1 YR CMT     5/11/2006
 64080534  277,508.11  Purchase  Asset Only     278,000.00   5/1/2013   11.625    2.75       2    2.75  1 YR CMT      4/7/2006
 64134489  285,200.00  Purchase  AUS            357,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT      4/1/2006
 64169709  270,000.00  Purchase  AUS            390,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/10/2006
 64262322  279,559.00  Purchase  Full           350,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/12/2006
 64295702  296,000.00  Purchase  AUS            370,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/10/2006
 64349822  284,720.00  Purchase  AUS            356,000.00   5/1/2013    11.75    2.75       2    2.75  1 YR CMT     4/19/2006
 64451743  149,470.00  Purchase  AUS            189,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/14/2006
 64468077  125,207.92  Purchase  Full           156,900.00   5/1/2013   11.875    2.75       2    2.75  1 YR CMT     4/18/2006
 64518004  153,590.31  Purchase  AUS            192,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/14/2006
 64537293  298,319.88  C/O Refi  AUS            373,000.00   5/1/2013   11.625    2.75       2    2.75  1 YR CMT     4/12/2006
 64551856  182,300.00  Purchase  AUS            192,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/24/2006
 64573017  116,000.00  R/T Refi  AUS            145,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/18/2006
 64623457  387,313.45  C/O Refi  AUS            485,000.00   5/1/2013   11.625    2.75       2    2.75  1 YR CMT     4/13/2006
 64672827  251,920.00  Purchase  AUS            314,900.00   5/1/2013   12.125    2.75       2    2.75  1 YR CMT     4/19/2006
 64717515  119,920.00  Purchase  AUS            149,900.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/26/2006
 64744758   68,400.00  Purchase  Full            77,000.00   5/1/2013    11.75    2.75       2    2.75  1 YR CMT     4/27/2006
 64793839  265,273.00  Purchase  Asset Only     280,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/18/2006
 64932361  127,200.00  Purchase  AUS            160,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/21/2006
 64958911  205,804.00  Purchase  AUS            270,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/25/2006
 65035347  268,800.00  R/T Refi  Asset Only     423,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/21/2006
146035423  408,000.00  Purchase  Full           510,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT      4/6/2006
150452621  155,840.00  Purchase  Full           200,000.00   3/1/2013   11.125    2.75       2    2.75  1 YR CMT     2/28/2006
150581676  165,000.00  C/O Refi  Asset Only     225,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/11/2006
150627735  349,907.03  C/O Refi  Asset Only     585,000.00   3/1/2013   11.375    2.75       2    2.75  1 YR CMT     2/20/2006
150702017  135,936.25  Purchase  Asset Only     170,000.00   4/1/2013   11.125    2.75       2    2.75  1 YR CMT     3/28/2006
150765568  184,000.00  Purchase  Full           230,000.00   4/1/2013    11.75    2.75       2    2.75  1 YR CMT     3/31/2006
150892198  414,996.01  R/T Refi  Asset Only     528,000.00   4/1/2013       11    2.75       2    2.75  1 YR CMT     3/17/2006
150901031  300,984.64  Purchase  Asset Only     380,000.00   2/1/2013   11.375    2.25       2    2.25  1 YR CMT     1/24/2006
150947547  243,999.64  Purchase  Full           333,000.00   4/1/2013       12    2.75       2    2.75  1 YR CMT     3/23/2006
151077872  170,000.00  R/T Refi  Full           180,000.00   4/1/2013   11.375    2.75       2    2.75  1 YR CMT     3/31/2006
151083193  154,255.37  C/O Refi  Asset Only     193,000.00   5/1/2013   11.625    2.75       2    2.75  1 YR CMT      4/7/2006
151106655  157,520.00  Purchase  Asset Only     199,000.00   4/1/2013       11    2.75       2    2.75  1 YR CMT     3/30/2006
151108347  279,920.00  Purchase  AUS            350,000.00   4/1/2013       11    2.75       2    2.75  1 YR CMT     3/31/2006
151108685  307,687.68  Purchase  AUS            385,000.00   6/1/2013       11    2.75       2    2.75  1 YR CMT      5/3/2006
151110178  368,000.00  R/T Refi  Asset Only     710,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/28/2006
151117165  154,500.00  Purchase  Full           194,000.00   4/1/2013   11.375    2.75       2    2.75  1 YR CMT     3/31/2006
151138948  380,000.00  C/O Refi  Asset Only     475,000.00   4/1/2013   11.375    2.75       2    2.75  1 YR CMT     3/15/2006
151176161  384,897.73  C/O Refi  Asset Only     555,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     3/28/2006
151190014  155,460.00  Purchase  Asset Only     195,000.00   4/1/2013       11    2.75       2    2.75  1 YR CMT     3/30/2006
151214129  266,500.00  R/T Refi  AUS            350,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/15/2006
151244175  220,000.00  C/O Refi  Asset Only     315,000.00   4/1/2013   11.375    2.75       2    2.75  1 YR CMT     3/27/2006
151258571  375,000.00  C/O Refi  Asset Only   1,000,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     3/29/2006
151281698  140,549.99  Purchase  Full           183,000.00   4/1/2013   11.125    2.75       2    2.75  1 YR CMT     3/20/2006
151298221   68,800.00  Purchase  Full            93,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/20/2006
151310091  344,000.00  R/T Refi  Asset Only     430,000.00   6/1/2013       12    2.75       2    2.75  1 YR CMT      5/4/2006
151323573  131,900.00  Purchase  Asset Only     170,000.00   4/1/2013       11    2.75       2    2.75  1 YR CMT     3/22/2006
151329455  262,960.00  Purchase  Asset Only     335,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/21/2006
151340734  375,936.67  C/O Refi  AUS            470,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT      4/3/2006
151360864  168,500.00  Purchase  Full           375,000.00   4/1/2013   11.625    2.75       2    2.75  1 YR CMT     3/23/2006
151383718  364,629.25  C/O Refi  Asset Only     535,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     3/30/2006
151389186  351,000.00  Purchase  Full           540,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/12/2006
151397098  360,000.00  C/O Refi  Full           450,000.00   4/1/2013    11.25    2.75       2    2.75  1 YR CMT     3/28/2006
151399086  300,000.00  Purchase  Asset Only     375,000.00   4/1/2013    11.75    2.75       2    2.75  1 YR CMT     3/27/2006
151404878  218,000.00  Purchase  Full           277,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/21/2006
151408929  214,320.00  Purchase  AUS            272,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/20/2006
151424991  172,705.57  Purchase  Full           216,000.00   4/1/2013     11.5    2.75       2    2.75  1 YR CMT     3/29/2006
151463767  251,200.00  C/O Refi  Asset Only     314,000.00   4/1/2013   11.375    2.75       2    2.75  1 YR CMT     3/23/2006
151478187  260,000.00  Purchase  AUS            325,000.00   6/1/2013    11.25    2.75       2    2.75  1 YR CMT      5/5/2006
151489127  230,400.00  Purchase  Full           310,000.00   4/1/2013     11.5    2.75       2    2.75  1 YR CMT     3/31/2006
151506912  242,000.00  R/T Refi  Asset Only     305,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT      4/7/2006
151517265  308,000.00  Purchase  Asset Only     390,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT      4/7/2006
151517646  304,000.00  Purchase  Asset Only     381,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/20/2006
151534625  325,000.00  R/T Refi  Full           615,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/11/2006
151554797  120,000.00  Purchase  Asset Only     150,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT      4/3/2006
151640687  304,800.00  Purchase  Full           400,000.00   2/1/2013       11    2.75       2    2.75  1 YR CMT     1/31/2006
151669017  219,962.06  C/O Refi  AUS            280,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/18/2006
151671971  248,700.00  Purchase  Full           315,000.00   4/1/2013   11.125    2.75       2    2.75  1 YR CMT     3/28/2006
151678356  400,000.00  C/O Refi  AUS            500,000.00   5/1/2013    11.75    2.75       2    2.75  1 YR CMT     4/17/2006
151689825  370,000.00  R/T Refi  AUS            480,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/17/2006
151696879  132,800.00  Purchase  Asset Only     177,000.00   4/1/2013   11.625    2.75       2    2.75  1 YR CMT     4/10/2006
151698552  265,000.00  C/O Refi  AUS            350,000.00   5/1/2013   11.125    2.75       2    2.75  1 YR CMT     4/14/2006
151714615  143,200.00  Purchase  AUS            180,000.00   5/1/2013   11.125    2.75       2    2.75  1 YR CMT     4/21/2006
151733201  284,000.00  Purchase  AUS            355,000.00   5/1/2013       11    2.75       2    2.75  1 YR CMT     4/18/2006
151764024  363,634.29  Purchase  Asset Only     460,000.00   5/1/2013   11.125    2.75       2    2.75  1 YR CMT     4/14/2006
151773298  260,320.00  Purchase  Full           326,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/11/2006
151820537  142,000.00  Purchase  Full           178,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/20/2006
151825734  417,000.00  C/O Refi  AUS            530,000.00   5/1/2013    11.25    2.75       2    2.75  1 YR CMT     4/12/2006
151843943  235,000.00  Purchase  Full           485,000.00   5/1/2013    11.75    2.75       2    2.75  1 YR CMT      4/4/2006
151850583  167,120.00  Purchase  Asset Only     215,000.00   5/1/2013   11.375    2.75       2    2.75  1 YR CMT     4/14/2006
151881992  319,000.00  R/T Refi  Asset Only     400,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/14/2006
151975166  256,000.00  R/T Refi  Asset Only     320,000.00   5/1/2013    11.75    2.75       2    2.75  1 YR CMT     4/20/2006
152061842   70,000.00  C/O Refi  AUS            465,000.00   5/1/2013     11.5    2.75       2    2.75  1 YR CMT     4/20/2006
152134987  368,000.00  Purchase  Full           460,000.00   5/1/2013   11.625    2.75       2    2.75  1 YR CMT     4/13/2006
 50349828  196,821.00  Purchase  Full           218,690.00   3/1/2011       11    2.75       2    2.75  1 YR CMT     2/10/2006
 51754083  281,000.00  Purchase  Full           340,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/25/2006
 53788501  317,200.00  Purchase  Full           407,000.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/21/2006
 57615734  122,967.07  Purchase  Full           262,000.00   3/1/2011    11.25    2.75       2    2.75  1 YR CMT     2/15/2006
 59448258  288,201.00  Purchase  Full           361,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT      4/6/2006
 59585372  368,978.89  Purchase  Asset Only     425,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/31/2006
 59800821  309,882.00  Purchase  Full           388,935.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/16/2006
 59936013  173,850.00  Purchase  Asset Only     185,000.00   4/1/2011       12    2.75       2    2.75  1 YR CMT     3/24/2006
 60396918  399,520.54  Purchase  Full           501,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/10/2006
 60426343  186,095.50  Purchase  Full           195,890.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/20/2006
 60455482  111,684.53  Purchase  AUS            150,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/28/2006
 60736188  410,212.00  Purchase  Full           520,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/19/2006
 60859956  324,984.58  Purchase  Asset Only     409,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT      3/9/2006
 61240446  260,667.40  Purchase  Full           290,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/23/2006
 61360293  218,916.00  Purchase  Full           273,645.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/13/2006
 61538468  207,000.00  C/O Refi  Full           268,000.00   1/1/2011    11.75    2.75       2    2.75  1 YR CMT    12/19/2005
 61820734  250,200.00  Purchase  Full           320,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/14/2006
 62007232  324,000.00  Purchase  Asset Only     360,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/14/2006
 62111901  181,599.20  C/O Refi  Full           227,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/21/2006
 62112313  133,855.00  Purchase  Full           147,500.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/20/2006
 62167812  173,840.00  Purchase  Full           188,000.00   2/1/2011   11.375    2.75       2    2.75  1 YR CMT     1/13/2006
 62267539  199,648.92  Purchase  Full           251,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/21/2006
 62295746   83,092.00  Purchase  Full           107,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/24/2006
 62397344  268,320.00  Purchase  Full           340,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/13/2006
 62446158  188,000.00  Purchase  Full           235,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/27/2006
 62479159  379,961.21  Purchase  Asset Only     475,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/28/2006
 62551072  113,708.00  Purchase  Full           145,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/14/2006
 62636238  309,204.00  Purchase  Full           400,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/26/2006
 62674098  415,000.00  C/O Refi  Asset Only     525,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/24/2006
 62688478  404,000.00  Purchase  Full           505,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/18/2006
 62699061  251,606.00  Purchase  Full           330,500.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/18/2006
 62730676  231,600.00  Purchase  Full           291,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/19/2006
 62733837  319,919.96  Purchase  Full           403,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/27/2006
 62740949  318,400.00  Purchase  Full           398,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/28/2006
 62877576  129,437.00  Purchase  Full           162,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/13/2006
 62936117  286,000.00  C/O Refi  Full           360,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/15/2006
 62980917  162,495.00  Purchase  Full           204,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/27/2006
 63029607  270,088.00  Purchase  Full           342,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/27/2006
 63047435  181,899.82  C/O Refi  Full           260,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/17/2006
 63104996  221,250.00  C/O Refi  Full           336,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/18/2006
 63105076  230,000.00  C/O Refi  Full           296,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT      4/7/2006
 63110902  170,400.00  Purchase  Full           213,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/18/2006
 63133441  305,000.00  C/O Refi  Full           389,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT      3/1/2006
 63158935  215,960.00  Purchase  Full           280,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/16/2006
 63179956  254,000.00  R/T Refi  Asset Only     364,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/27/2006
 63184519  110,610.00  Purchase  Asset Only     122,900.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
 63194062  208,000.00  Purchase  Full           315,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/21/2006
 63238976  338,708.00  Purchase  Full           459,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT      3/9/2006
 63261176  134,622.91  C/O Refi  Asset Only     180,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/17/2006
 63262992  280,000.00  R/T Refi  Full           350,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/15/2006
 63264774  223,600.00  Purchase  Full           285,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/24/2006
 63271027  186,750.00  Purchase  Full           207,500.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/18/2006
 63285803  155,329.89  Purchase  Full           200,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/23/2006
 63298665  192,017.39  Purchase  Full           242,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/29/2006
 63303952  163,680.00  Purchase  Full           208,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT      3/9/2006
 63368021  159,256.90  Purchase  Full           200,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/13/2006
 63373021  195,959.98  Purchase  Full           249,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/17/2006
 63415921  225,509.85  Purchase  Full           240,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/21/2006
 63470462  136,000.00  C/O Refi  Full           170,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/24/2006
 63471544  198,400.00  C/O Refi  Full           248,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT      3/3/2006
 63472757  172,000.00  R/T Refi  Full           250,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/13/2006
 63533822  342,223.17  Purchase  Full           362,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/27/2006
 63557789  118,000.00  C/O Refi  Full           328,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/20/2006
 63573596  291,900.00  Purchase  Full           381,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/24/2006
 63600944   91,500.00  Purchase  Full           165,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/17/2006
 63636393  326,000.00  C/O Refi  Asset Only     795,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/17/2006
 63644181  273,804.53  Purchase  Full           306,000.00   4/1/2011    11.75    2.75       2    2.75  1 YR CMT     3/28/2006
 63650683  263,497.95  Purchase  Full           330,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
 63652135  368,000.00  C/O Refi  Full           460,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/24/2006
 63657712  265,952.00  Purchase  Full           285,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT      4/4/2006
 63691521  179,266.00  Purchase  Full           192,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/31/2006
 63709687  322,910.84  Purchase  Full           410,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/20/2006
 63719322  172,000.00  Purchase  Full           218,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/28/2006
 63737472  154,000.00  C/O Refi  Full           220,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/27/2006
 63757553  124,800.00  Purchase  Full           158,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/14/2006
 63761704  183,600.00  Purchase  Full           230,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/24/2006
 63767123  171,200.00  Purchase  Full           215,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/28/2006
 63768501  213,524.66  Purchase  Full           270,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/24/2006
 63778625  129,510.00  Purchase  Asset Only     144,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/25/2006
 63802466  389,630.00  Purchase  Full           490,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/15/2006
 63810394  180,000.00  C/O Refi  Full           225,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/27/2006
 63834261  107,919.34  Purchase  Full           135,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/22/2006
 63878169  337,500.00  C/O Refi  Full           450,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/21/2006
 63886196  299,250.00  Purchase  Asset Only     316,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/26/2006
 63888887  170,320.00  Purchase  Full           213,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/27/2006
 63908172  231,930.38  Purchase  Full           290,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/15/2006
 63932008  168,000.00  Purchase  Full           216,000.00   6/1/2011    11.25    2.75       2    2.75  1 YR CMT      5/5/2006
 63936215  380,000.00  Purchase  Asset Only     730,000.00   6/1/2011   11.125    2.75       2    2.75  1 YR CMT      5/2/2006
 63995245  306,392.00  Purchase  Full           382,990.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/13/2006
 64001787  383,162.35  Purchase  Asset Only     565,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/24/2006
 64024227  347,960.00  Purchase  Full           445,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/17/2006
 64024888  274,320.00  Purchase  Asset Only     650,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/31/2006
 64026669  188,500.00  Purchase  Asset Only     285,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/21/2006
 64034739  235,192.00  Purchase  Full           294,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/14/2006
 64042872  123,100.00  Purchase  Full           154,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/31/2006
 64046345  253,520.00  Purchase  AUS            316,900.00   6/1/2011    11.25    2.75       2    2.75  1 YR CMT      5/5/2006
 64070873  373,600.00  R/T Refi  Full           510,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/27/2006
 64081706  123,992.00  Purchase  Full           155,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/28/2006
 64100951  261,200.00  C/O Refi  AUS            340,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/28/2006
 64112634  289,595.11  C/O Refi  AUS            362,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/24/2006
 64126808  164,099.20  Purchase  AUS            210,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
 64132905   87,920.00  Purchase  AUS            138,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/24/2006
 64138068  229,500.00  C/O Refi  Asset Only     255,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/28/2006
 64140221  295,000.00  C/O Refi  Full           386,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT      4/7/2006
 64148984  199,700.00  C/O Refi  AUS            284,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/27/2006
 64151277  342,000.00  Purchase  AUS            430,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/20/2006
 64165665  345,000.00  Purchase  Asset Only     455,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT      4/5/2006
 64180326  393,153.88  C/O Refi  AUS            506,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/28/2006
 64185317  183,658.25  Purchase  Income Only    230,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/24/2006
 64197759  267,471.17  R/T Refi  AUS            335,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/21/2006
 64204936  375,000.00  Purchase  AUS            485,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/11/2006
 64212491  200,000.00  C/O Refi  AUS            250,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/18/2006
 64214083  297,265.00  Purchase  AUS            404,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/25/2006
 64215635  384,000.00  Purchase  AUS            480,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/14/2006
 64221864  229,890.00  Purchase  AUS            295,500.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/10/2006
 64229016  368,000.00  Purchase  AUS            460,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/29/2006
 64242688  118,631.82  Purchase  AUS            148,410.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/30/2006
 64246952  150,320.00  Purchase  AUS            220,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/30/2006
 64251291  285,000.00  C/O Refi  Asset Only     401,500.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/20/2006
 64265838  109,600.00  Purchase  AUS            137,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/31/2006
 64268725  132,720.00  Purchase  AUS            165,900.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/29/2006
 64278989  399,100.00  Purchase  AUS            620,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/19/2006
 64284219  178,320.00  Purchase  AUS            225,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/28/2006
 64284813  292,286.63  Purchase  Full           373,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/31/2006
 64286602  116,792.00  Purchase  AUS            146,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/31/2006
 64287642  230,000.00  C/O Refi  Full           355,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/18/2006
 64290299  225,600.00  C/O Refi  AUS            282,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/21/2006
 64293681  174,556.00  Purchase  AUS            230,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/25/2006
 64303944  388,375.00  R/T Refi  Asset Only     505,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/21/2006
 64335821  392,000.00  R/T Refi  Full           490,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/17/2006
 64339906  246,446.41  Purchase  AUS            268,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/24/2006
 64342744  175,200.00  Purchase  AUS            240,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/18/2006
 64351026  208,000.00  Purchase  AUS            260,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/21/2006
 64372691  400,000.00  Purchase  Asset Only     500,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT      5/1/2006
 64391105  361,000.00  Purchase  Asset Only     380,000.00   4/1/2011   11.875    2.75       2    2.75  1 YR CMT     3/31/2006
 64400575  189,900.00  Purchase  Asset Only     201,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/31/2006
 64415441  175,920.00  Purchase  AUS            225,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/28/2006
 64417868  194,000.00  Purchase  Asset Only     250,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT      5/5/2006
 64421548  219,000.00  C/O Refi  AUS            306,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/21/2006
 64423791  383,160.00  Purchase  AUS            484,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/20/2006
 64464399  256,000.00  Purchase  Full           322,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/21/2006
 64488869  215,120.00  Purchase  AUS            275,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/21/2006
 64495575  121,995.31  R/T Refi  Full           186,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/24/2006
 64495732  417,000.00  Purchase  AUS            660,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/27/2006
 64507114  223,920.00  Purchase  AUS            285,000.00   6/1/2011     11.5    2.75       2    2.75  1 YR CMT      5/1/2006
 64508542  281,096.00  Purchase  Full           424,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/28/2006
 64528516  121,600.00  Purchase  AUS            152,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/28/2006
 64532781  300,886.00  Purchase  AUS            405,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/13/2006
 64587777  350,000.00  C/O Refi  AUS            525,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/18/2006
 64591431  348,000.00  Purchase  Full           435,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
 64596778  196,555.00  Purchase  AUS            210,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/21/2006
 64600844  152,000.00  Purchase  Asset Only     160,900.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT      5/1/2006
 64611635  227,000.00  Purchase  AUS            294,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/21/2006
 64614423  174,790.00  Purchase  AUS            185,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/25/2006
 64625155  172,755.00  Purchase  AUS            216,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/20/2006
 64632086  158,320.00  Purchase  AUS            215,000.00   6/1/2011   11.625    2.75       2    2.75  1 YR CMT      5/5/2006
 64633324  206,400.00  Purchase  Full           264,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/25/2006
 64639008  226,320.00  Purchase  Full           291,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/27/2006
 64647175  199,999.78  C/O Refi  AUS            271,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/20/2006
 64650724  227,999.96  Purchase  Full           285,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
 64651037  199,000.00  C/O Refi  AUS            233,000.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/27/2006
 64656358  320,000.00  C/O Refi  Asset Only     421,500.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/19/2006
 64656861  331,433.17  C/O Refi  AUS            460,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/21/2006
 64663503  251,800.00  C/O Refi  Asset Only     315,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/24/2006
 64681323  230,829.12  C/O Refi  AUS            289,000.00   5/1/2011   12.125    2.75       2    2.75  1 YR CMT     4/21/2006
 64691223  301,520.00  Purchase  Full           402,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/25/2006
 64692924  366,000.00  C/O Refi  Full           580,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/21/2006
 64704901  285,000.00  Purchase  AUS            368,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/27/2006
 64705536  390,000.00  C/O Refi  AUS            550,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/24/2006
 64705593  109,344.00  Purchase  AUS            140,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/28/2006
 64725575  144,640.00  Purchase  AUS            192,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
 64728462  247,390.00  Purchase  AUS            310,000.00   6/1/2011       11    2.75       2    2.75  1 YR CMT      5/8/2006
 64738362  359,300.31  Purchase  Asset Only     450,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/25/2006
 64742307  411,733.87  C/O Refi  Asset Only     550,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/18/2006
 64744725  364,592.00  Purchase  AUS            475,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/27/2006
 64755358  178,974.00  Purchase  Full           210,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/27/2006
 64756463  159,200.00  Purchase  AUS            215,000.00   6/1/2011   11.875    2.75       2    2.75  1 YR CMT      5/1/2006
 64760093  134,400.00  Purchase  Income Only    168,000.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT      5/2/2006
 64762701  103,769.58  Purchase  Income Only    162,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/19/2006
 64764954  200,000.00  Purchase  AUS            255,000.00   5/1/2011   11.875    2.75       2    2.75  1 YR CMT     4/25/2006
 64794373  217,520.00  Purchase  AUS            315,000.00   6/1/2011    11.75    2.75       2    2.75  1 YR CMT      5/4/2006
 64804487  375,651.75  C/O Refi  AUS            470,000.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/27/2006
 64820624  115,140.00  Purchase  AUS            144,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/28/2006
 64844327  215,927.00  Purchase  AUS            270,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/26/2006
 64862238  179,900.00  Purchase  AUS            230,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/28/2006
 64869936  101,554.26  Purchase  AUS            128,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/27/2006
 64903529  158,289.60  Purchase  Income Only    198,500.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/28/2006
 64916307  246,640.00  Purchase  AUS            323,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/17/2006
 64918824  247,697.42  C/O Refi  Asset Only     310,000.00   6/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/28/2006
 64931264  154,148.00  Purchase  AUS            194,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/28/2006
 64988173  336,000.00  C/O Refi  Asset Only     480,000.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/27/2006
 65010159  332,000.00  Purchase  Full           415,500.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/28/2006
 65010704  398,392.00  Purchase  Asset Only     497,990.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT      5/3/2006
 65014037  129,200.00  Purchase  Asset Only     136,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/27/2006
 65020356  280,000.00  C/O Refi  AUS            350,000.00   6/1/2011    12.25    2.75       2    2.75  1 YR CMT      5/1/2006
 65023988  158,392.00  Purchase  AUS            200,000.00   6/1/2011   11.125    2.75       2    2.75  1 YR CMT      5/1/2006
 65058687  400,468.00  Purchase  AUS            520,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/20/2006
 65088981  180,623.98  Purchase  AUS            247,000.00   6/1/2011    12.25    2.75       2    2.75  1 YR CMT      5/5/2006
 65119042  172,000.00  R/T Refi  AUS            215,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT      5/3/2006
 65135808  307,558.28  Purchase  AUS            446,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/24/2006
 65144792  375,044.00  Purchase  AUS            500,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/28/2006
 65193187  219,920.00  Purchase  AUS            285,000.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT      5/5/2006
 65196008  134,078.17  Purchase  AUS            171,000.00   5/1/2011   11.875    2.75       2    2.75  1 YR CMT     4/28/2006
 65216095  283,874.00  Purchase  AUS            360,000.00   6/1/2011       11    2.75       2    2.75  1 YR CMT      5/5/2006
 65219826  137,000.00  Purchase  AUS            181,000.00   6/1/2011       11    2.75       2    2.75  1 YR CMT      5/9/2006
 65245482  238,392.00  Purchase  AUS            297,990.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/24/2006
 65279713  152,900.00  Purchase  AUS            193,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/28/2006
 65318693  232,000.00  C/O Refi  Asset Only     290,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/27/2006
 65411084  200,000.00  Purchase  AUS            698,000.00   6/1/2011    11.25    2.75       2    2.75  1 YR CMT      5/6/2006
146256722  197,978.00  Purchase  Full           220,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/16/2006
146979208  263,134.00  Purchase  AUS            392,000.00   6/1/2011   11.625    2.75       2    2.75  1 YR CMT      5/4/2006
147073548  158,270.00  Purchase  Asset Only     167,000.00  10/1/2010       11    2.75       2    2.75  1 YR CMT     9/13/2005
148931405  108,024.00  Purchase  Full           137,000.00   3/1/2011   11.375    2.75       2    2.75  1 YR CMT      2/9/2006
149000929  190,290.00  Purchase  Full           243,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     2/24/2006
149312969  357,742.00  Purchase  Full           460,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/23/2006
149509788  208,975.00  Purchase  Full           220,000.00   2/1/2011    11.25    2.75       2    2.75  1 YR CMT     1/27/2006
149545147  168,000.00  Purchase  AUS            245,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/14/2006
149796146  397,624.00  Purchase  AUS            500,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/24/2006
149896516   99,400.00  R/T Refi  AUS            210,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/20/2006
149994212  151,462.12  Purchase  Full           190,000.00   2/1/2011       11    2.75       2    2.75  1 YR CMT     1/10/2006
149996936  268,778.59  Purchase  Full           345,000.00   2/1/2011   11.375    2.75       2    2.75  1 YR CMT     1/10/2006
150028868  139,146.00  Purchase  Full           148,000.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/24/2006
150032647  359,286.00  Purchase  Full           449,300.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/12/2006
150098499  271,200.00  Purchase  Asset Only     339,000.00   3/1/2011   11.625    2.75       2    2.75  1 YR CMT      3/2/2006
150171825  110,616.00  Purchase  AUS            140,000.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/24/2006
150180891  396,000.00  R/T Refi  AUS            495,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/22/2006
150241529  395,488.00  Purchase  Asset Only     494,500.00   3/1/2011    11.75    2.75       2    2.75  1 YR CMT      2/2/2006
150245934  277,547.00  Purchase  Full           293,000.00   2/1/2011       11    2.75       2    2.75  1 YR CMT     1/30/2006
150247641  340,959.00  Purchase  Full           465,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT      3/3/2006
150248672  197,432.00  Purchase  Full           255,000.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT      2/8/2006
150260743  262,122.60  Purchase  Full           330,000.00   3/1/2011   11.375    2.75       2    2.75  1 YR CMT      2/9/2006
150349256  153,600.00  Purchase  Full           195,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT      3/7/2006
150357648  233,200.00  Purchase  Full           291,500.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/20/2006
150405884  259,000.00  Purchase  Full           325,000.00   3/1/2011     11.5    2.75       2    2.75  1 YR CMT     2/24/2006
150427193   84,000.00  Purchase  AUS            110,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/17/2006
150429041   84,000.00  Purchase  AUS            107,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/18/2006
150461093  141,567.72  Purchase  AUS            177,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/10/2006
150476091  196,000.00  Purchase  Asset Only     250,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     4/25/2006
150485985  259,971.83  Purchase  Asset Only     325,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/27/2006
150507168  334,400.00  Purchase  Full           420,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/24/2006
150538676   99,575.00  Purchase  AUS            124,900.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/27/2006
150541894  269,600.00  Purchase  Full           338,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/29/2006
150574291  357,200.00  Purchase  AUS            448,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/16/2006
150587848  130,457.48  Purchase  Full           172,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/31/2006
150591493  365,594.62  Purchase  Asset Only     457,075.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/28/2006
150594778  284,000.00  Purchase  AUS            370,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/10/2006
150599165  386,372.76  Purchase  AUS            500,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/14/2006
150631158  270,320.00  Purchase  Asset Only     340,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT      3/9/2006
150645984  364,000.00  C/O Refi  Asset Only     455,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT      3/1/2006
150649168  409,000.00  R/T Refi  AUS          1,100,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     2/28/2006
150670651  282,400.00  Purchase  Full           370,500.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/28/2006
150682532  110,190.00  Purchase  Asset Only     116,500.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/16/2006
150687606  111,600.00  Purchase  Full           140,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/29/2006
150688067  174,600.00  C/O Refi  Asset Only     400,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/16/2006
150704245  265,000.00  C/O Refi  AUS            362,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/13/2006
150725992  212,000.00  Purchase  AUS            265,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/23/2006
150727485  251,950.00  Purchase  Full           281,000.00   3/1/2011    11.25    2.75       2    2.75  1 YR CMT     2/17/2006
150737229  279,848.91  Purchase  Full           350,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT      4/7/2006
150737518  322,000.00  Purchase  Full           327,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/17/2006
150754844  192,000.00  Purchase  Full           240,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT      3/9/2006
150760627  300,000.00  C/O Refi  Asset Only     650,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/22/2006
150770584  159,200.00  Purchase  Full           199,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT      3/1/2006
150773596  382,999.11  R/T Refi  Asset Only     479,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/20/2006
150781458  231,999.99  Purchase  Full           290,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT      3/1/2006
150782068  144,507.70  C/O Refi  Full           255,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/15/2006
150786432  254,999.99  R/T Refi  Asset Only     500,000.00   3/1/2011     11.5    2.75       2    2.75  1 YR CMT     2/15/2006
150787729  313,600.00  Purchase  Full           400,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/15/2006
150795094  387,000.00  R/T Refi  Asset Only     500,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/17/2006
150804862  400,000.00  C/O Refi  Asset Only     550,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/23/2006
150823102  359,920.00  Purchase  AUS            450,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/13/2006
150830743  211,199.28  Purchase  Asset Only     264,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/20/2006
150837771   64,700.00  Purchase  Full            83,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT      4/5/2006
150843472  186,400.00  Purchase  Full           236,500.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT      3/2/2006
150848182  144,000.00  C/O Refi  AUS            180,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/17/2006
150848828  255,000.00  C/O Refi  Asset Only     345,000.00   4/1/2011    11.75    2.75       2    2.75  1 YR CMT      3/2/2006
150849958  132,000.00  C/O Refi  Full           170,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/15/2006
150850477  128,000.00  R/T Refi  Full           179,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/15/2006
150857993  408,000.00  R/T Refi  Asset Only     560,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/14/2006
150861086  167,000.00  C/O Refi  Asset Only     199,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/17/2006
150872844  201,600.00  C/O Refi  Asset Only     252,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT      3/7/2006
150881126  265,220.00  Purchase  Full           333,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/17/2006
150889574  360,000.00  R/T Refi  Asset Only     450,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/10/2006
150892131  344,842.00  Purchase  Asset Only     431,176.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/15/2006
150893709  277,500.00  C/O Refi  Asset Only     370,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/13/2006
150895142  417,000.00  Purchase  Asset Only     540,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/17/2006
150899037  178,400.00  Purchase  AUS            228,000.00   6/1/2011   11.125    2.75       2    2.75  1 YR CMT      5/2/2006
150899789  211,500.00  Purchase  Full           240,000.00   4/1/2011   11.875    2.75       2    2.75  1 YR CMT     3/10/2006
150906014  264,000.00  Purchase  AUS            330,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/17/2006
150933794  209,364.65  Purchase  Full           255,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT      3/3/2006
150940195  196,400.00  Purchase  AUS            246,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/22/2006
150943017  199,920.00  Purchase  Asset Only     249,900.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/20/2006
150948628  321,324.00  Purchase  Asset Only     405,000.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/24/2006
150952711  405,000.00  Purchase  Asset Only     510,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT      3/7/2006
150953867  352,000.00  R/T Refi  Asset Only     440,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT      3/9/2006
150958338  356,250.00  C/O Refi  AUS            475,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/24/2006
150972735   82,400.00  Purchase  AUS            105,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/13/2006
150978385  368,000.00  C/O Refi  Asset Only     510,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/20/2006
150985018  270,750.00  Purchase  Asset Only     285,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/14/2006
150993038  303,199.18  Purchase  Asset Only     380,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/21/2006
151001187  193,765.87  Purchase  Asset Only     205,000.00   4/1/2011    11.75    2.75       2    2.75  1 YR CMT      4/3/2006
151006681  135,674.00  Purchase  Full           173,000.00   4/1/2011   11.875    2.75       2    2.75  1 YR CMT     3/24/2006
151008976  208,000.00  C/O Refi  Full           260,000.00   3/1/2011   11.125    2.75       2    2.75  1 YR CMT     2/27/2006
151009933  230,000.00  Purchase  Asset Only     289,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/29/2006
151013299  174,400.00  Purchase  Full           218,500.00   4/1/2011   11.875    2.75       2    2.75  1 YR CMT      3/3/2006
151015088  304,000.00  Purchase  Asset Only     380,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT      3/9/2006
151015096  267,000.00  Purchase  AUS            370,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT      3/8/2006
151015443  125,999.90  C/O Refi  Asset Only     168,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/10/2006
151023033  165,000.00  Purchase  Asset Only     215,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/24/2006
151043106  322,972.73  C/O Refi  AUS            407,500.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/13/2006
151043635  239,920.00  Purchase  Asset Only     300,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT      3/7/2006
151043981  245,925.00  Purchase  AUS            317,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT      3/9/2006
151054871  253,000.00  Purchase  Asset Only     320,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/27/2006
151056694  236,000.00  Purchase  Asset Only     300,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/29/2006
151058179  182,706.71  R/T Refi  Full           282,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/15/2006
151061769  244,000.00  Purchase  Full           310,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/20/2006
151063195  376,980.00  Purchase  Full           561,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/31/2006
151064201  209,588.00  Purchase  Full           270,000.00   3/1/2011       11    2.75       2    2.75  1 YR CMT     2/28/2006
151071347  201,048.00  Purchase  Full           270,000.00   4/1/2011   11.875    2.75       2    2.75  1 YR CMT      3/9/2006
151071495  399,000.00  Purchase  Full           430,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/20/2006
151074549  220,000.00  C/O Refi  Full           275,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/17/2006
151092392  377,000.00  C/O Refi  Full           475,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/22/2006
151092467  289,181.00  Purchase  Full           330,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/16/2006
151102118  409,600.00  R/T Refi  Asset Only     512,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/10/2006
151105327  236,000.00  C/O Refi  Full           310,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/21/2006
151106747  332,800.00  R/T Refi  Asset Only     430,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/23/2006
151109857  346,500.00  C/O Refi  Asset Only     495,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT      3/9/2006
151119807  360,621.00  Purchase  Full           385,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT      3/3/2006
151120128  122,370.89  Purchase  Full           153,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT      3/6/2006
151120433  280,000.00  C/O Refi  AUS            355,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/24/2006
151121811  208,000.00  C/O Refi  Full           265,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT      3/2/2006
151122546  212,446.00  Purchase  Full           278,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/27/2006
151123015  352,900.00  Purchase  AUS            441,185.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/30/2006
151132552  337,815.00  Purchase  Full           430,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/22/2006
151141397  234,000.00  Purchase  Full           293,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/24/2006
151145968  296,000.00  Purchase  Full           370,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/21/2006
151153954  353,624.00  Purchase  Full           443,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/24/2006
151157963  202,999.25  Purchase  AUS            254,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/23/2006
151161254  134,360.19  R/T Refi  Asset Only     168,500.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/15/2006
151165529  316,400.00  Purchase  Full           396,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/14/2006
151170719  411,890.56  C/O Refi  AUS            515,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT      3/9/2006
151174265  366,987.92  R/T Refi  Asset Only     510,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/31/2006
151202454  190,000.00  Purchase  Full           283,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT      3/8/2006
151204526  195,200.00  Purchase  AUS            248,500.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/31/2006
151214251  183,053.32  Purchase  Full           229,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT      3/9/2006
151230752  173,200.00  C/O Refi  Asset Only     219,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT      4/5/2006
151245933  408,000.00  R/T Refi  Full           510,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/24/2006
151249901  155,000.00  Purchase  Full           275,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT      4/6/2006
151251022  206,851.00  Purchase  Full           271,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/31/2006
151278504  299,950.00  Purchase  Full           375,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT      3/9/2006
151294873  300,000.00  C/O Refi  Full         1,400,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/14/2006
151296738  173,040.00  Purchase  AUS            221,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/24/2006
151308509  362,400.00  Purchase  Asset Only     453,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/24/2006
151308632  307,317.20  Purchase  Asset Only     386,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/31/2006
151315462  326,980.00  Purchase  Full           516,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
151324308  193,000.00  Purchase  Asset Only     244,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/15/2006
151328044  332,500.00  C/O Refi  Full           475,000.00   5/1/2011   11.875    2.75       2    2.75  1 YR CMT     3/31/2006
151329521  256,000.00  R/T Refi  Asset Only     320,000.00   5/1/2011   12.125    2.75       2    2.75  1 YR CMT     4/20/2006
151339397  290,000.00  C/O Refi  Asset Only     417,000.00   4/1/2011   11.875    2.75       2    2.75  1 YR CMT     3/17/2006
151349339  375,000.00  R/T Refi  AUS            745,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/18/2006
151368933  157,599.98  C/O Refi  Full           197,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/24/2006
151370715  325,600.00  Purchase  Full           407,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/25/2006
151377264  307,000.00  R/T Refi  Asset Only     385,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/19/2006
151384245  355,960.74  Purchase  Asset Only     446,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/27/2006
151400629  416,999.75  C/O Refi  Asset Only     640,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/30/2006
151429305  365,600.00  C/O Refi  AUS            457,000.00   4/1/2011   11.625    2.75       2    2.75  1 YR CMT     3/23/2006
151430402  403,200.00  C/O Refi  AUS            504,000.00   6/1/2011   11.375    2.75       2    2.75  1 YR CMT      5/3/2006
151431939  388,000.00  Purchase  Full           486,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/16/2006
151435583  210,611.00  Purchase  Full           324,500.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT      4/7/2006
151435922   94,413.00  Purchase  Asset Only     138,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/14/2006
151449337  187,749.01  R/T Refi  Asset Only     250,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT      4/5/2006
151465887  344,000.00  Purchase  Asset Only     435,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT      4/5/2006
151487444  143,983.92  Purchase  Full           180,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/18/2006
151487667  225,000.00  R/T Refi  Full           305,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/23/2006
151487915  416,650.00  Purchase  Full           535,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/31/2006
151500121  202,708.00  Purchase  Full           260,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/30/2006
151502135  323,838.02  Purchase  AUS            436,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/28/2006
151519428  175,956.00  Purchase  Full           280,000.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/31/2006
151522588  245,000.00  Purchase  Full           830,000.00   4/1/2011   11.125    2.75       2    2.75  1 YR CMT     3/23/2006
151532207  360,000.00  C/O Refi  Asset Only     450,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/11/2006
151532645  122,068.00  Purchase  Full           154,000.00   4/1/2011   11.875    2.75       2    2.75  1 YR CMT     3/31/2006
151535671  346,498.21  R/T Refi  Asset Only     400,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/18/2006
151545597  220,050.00  Purchase  Full           276,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/22/2006
151569605  412,800.00  Purchase  Asset Only     516,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/24/2006
151585791  180,000.00  C/O Refi  AUS            450,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/19/2006
151587334  319,920.00  Purchase  Full           401,500.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/28/2006
151591211  359,906.25  Purchase  Asset Only     450,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/20/2006
151606373  144,000.00  Purchase  Asset Only     182,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/13/2006
151606746  140,000.00  C/O Refi  Asset Only     400,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT      4/7/2006
151612603  287,200.00  Purchase  AUS            365,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/19/2006
151616687  244,498.82  Purchase  AUS            410,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/19/2006
151627627  160,990.01  Purchase  AUS            205,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/18/2006
151630407  301,332.99  Purchase  Full           411,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/27/2006
151643111  191,200.00  Purchase  AUS            245,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/21/2006
151649613  151,950.00  Purchase  Full           192,500.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/20/2006
151655313  252,500.00  C/O Refi  Asset Only     390,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/26/2006
151660008  192,400.00  Purchase  Full           241,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/19/2006
151662087  268,800.00  Purchase  Asset Only     395,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     3/29/2006
151663721  336,000.00  C/O Refi  Income Only    440,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/12/2006
151668936  216,000.00  Purchase  Asset Only     272,500.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/19/2006
151670361  401,242.00  Purchase  Asset Only     520,000.00   4/1/2011    11.25    2.75       2    2.75  1 YR CMT     3/27/2006
151672466  160,000.00  Purchase  Asset Only     285,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/14/2006
151675139  242,506.07  Purchase  Full           280,000.00   4/1/2011   11.375    2.75       2    2.75  1 YR CMT     3/27/2006
151682515  351,200.00  Purchase  AUS            440,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/26/2006
151691268  280,000.00  Purchase  AUS            350,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/18/2006
151698156  231,200.00  Purchase  Asset Only     305,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/11/2006
151720968  123,424.00  Purchase  Full           155,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/27/2006
151728243  360,000.00  Purchase  Asset Only     450,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/17/2006
151763471  291,510.00  Purchase  Full           330,000.00   4/1/2011     11.5    2.75       2    2.75  1 YR CMT     3/31/2006
151768108  197,150.00  C/O Refi  Full           264,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/24/2006
151772647  399,684.82  C/O Refi  AUS            500,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/14/2006
151777596  415,800.00  R/T Refi  Asset Only     850,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/26/2006
151787033  153,000.00  R/T Refi  AUS            265,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/24/2006
151793072  299,917.19  C/O Refi  AUS            400,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT     4/13/2006
151799228   95,000.00  C/O Refi  AUS            108,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/21/2006
151803954  224,000.00  Purchase  Asset Only     265,000.00   5/1/2011       11    2.75       2    2.75  1 YR CMT     4/13/2006
151809472  195,192.00  Purchase  Full           262,500.00   4/1/2011       11    2.75       2    2.75  1 YR CMT     3/31/2006
151811429  325,000.00  C/O Refi  AUS            665,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/19/2006
151815099  221,600.00  Purchase  Full           277,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/19/2006
151833142  108,000.00  Purchase  Full           137,500.00   5/1/2011   11.875    2.75       2    2.75  1 YR CMT     4/14/2006
151835725  258,300.00  Purchase  AUS            330,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/28/2006
151836335  359,920.00  Purchase  Full           460,000.00   5/1/2011   12.125    2.75       2    2.75  1 YR CMT     4/12/2006
151854379  336,000.00  Purchase  AUS            420,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/28/2006
151869302  169,600.00  Purchase  Asset Only     212,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/28/2006
151874245  225,600.00  Purchase  Asset Only     282,500.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/25/2006
151880689  212,000.00  Purchase  Asset Only     265,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/25/2006
151901543  119,700.00  R/T Refi  Full           155,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/11/2006
151906344  347,907.56  C/O Refi  Asset Only     440,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/19/2006
151922168  400,000.00  Purchase  AUS            572,500.00   6/1/2011   11.125    2.75       2    2.75  1 YR CMT      5/1/2006
151945029  144,000.00  Purchase  Full           180,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/17/2006
151945615  385,600.00  Purchase  Asset Only     482,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/21/2006
151946803  357,894.31  C/O Refi  Asset Only     450,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/14/2006
151950359  274,000.00  Purchase  Asset Only     345,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/24/2006
151966959  254,928.12  C/O Refi  AUS            334,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/24/2006
151969409  272,000.00  C/O Refi  AUS            343,000.00   6/1/2011     11.5    2.75       2    2.75  1 YR CMT      5/4/2006
151978053  207,993.26  C/O Refi  Asset Only     279,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/24/2006
151991817  400,000.00  Purchase  AUS            550,000.00   5/1/2011   11.375    2.75       2    2.75  1 YR CMT     4/27/2006
151996071  417,000.00  Purchase  AUS            543,000.00   6/1/2011       11    2.75       2    2.75  1 YR CMT      5/8/2006
152009031  416,853.59  Purchase  Full           521,200.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/26/2006
152065058  141,840.00  Purchase  Full           185,000.00   5/1/2011   11.125    2.75       2    2.75  1 YR CMT     4/14/2006
152074084  281,000.00  C/O Refi  Asset Only     364,000.00   5/1/2011   11.875    2.75       2    2.75  1 YR CMT     4/20/2006
152137675  186,200.00  Purchase  Asset Only     233,000.00   5/1/2011    11.75    2.75       2    2.75  1 YR CMT     4/26/2006
152146528  184,800.00  Purchase  AUS            231,000.00   6/1/2011     11.5    2.75       2    2.75  1 YR CMT      5/3/2006
152167409  404,800.00  Purchase  Asset Only     507,000.00   5/1/2011    11.25    2.75       2    2.75  1 YR CMT      5/3/2006
152175337  158,400.00  C/O Refi  AUS            198,000.00   6/1/2011    11.25    2.75       2    2.75  1 YR CMT     4/28/2006
152177259  137,520.00  Purchase  AUS            177,000.00   5/1/2011     11.5    2.75       2    2.75  1 YR CMT     4/27/2006
152208971  355,000.00  C/O Refi  Asset Only     450,000.00   5/1/2011   11.625    2.75       2    2.75  1 YR CMT      5/1/2006
152268074  152,000.00  Purchase  Asset Only     190,000.00   6/1/2011   11.125    2.75       2    2.75  1 YR CMT      5/5/2006
152282737  225,000.00  C/O Refi  Full           350,000.00   6/1/2011    11.75    2.75       2    2.75  1 YR CMT      5/3/2006
152410833  400,000.00  Purchase  AUS            600,000.00   6/1/2011    11.75    2.75       2    2.75  1 YR CMT      5/8/2006
 63077077  400,000.00  Purchase  Asset Only     806,000.00   3/1/2011     11.5    2.75       2    2.75  1 YR CMT     2/23/2006

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----------------------

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 64793839  Wells Fargo
 64932361  Wells Fargo
 64958911  Wells Fargo
 65035347  Wells Fargo
146035423  Wells Fargo
150452621  Wells Fargo
150581676  Wells Fargo
150627735  Wells Fargo
150702017  Wells Fargo
150765568  Wells Fargo
150892198  Wells Fargo
150901031  Wells Fargo
150947547  Wells Fargo
151077872  Wells Fargo
151083193  Wells Fargo
151106655  Wells Fargo
151108347  Wells Fargo
151108685  Wells Fargo
151110178  Wells Fargo
151117165  Wells Fargo
151138948  Wells Fargo
151176161  Wells Fargo
151190014  Wells Fargo
151214129  Wells Fargo
151244175  Wells Fargo
151258571  Wells Fargo
151281698  Wells Fargo
151298221  Wells Fargo
151310091  Wells Fargo
151323573  Wells Fargo
151329455  Wells Fargo
151340734  Wells Fargo
151360864  Wells Fargo
151383718  Wells Fargo
151389186  Wells Fargo
151397098  Wells Fargo
151399086  Wells Fargo
151404878  Wells Fargo
151408929  Wells Fargo
151424991  Wells Fargo
151463767  Wells Fargo
151478187  Wells Fargo
151489127  Wells Fargo
151506912  Wells Fargo
151517265  Wells Fargo
151517646  Wells Fargo
151534625  Wells Fargo
151554797  Wells Fargo
151640687  Wells Fargo
151669017  Wells Fargo
151671971  Wells Fargo
151678356  Wells Fargo
151689825  Wells Fargo
151696879  Wells Fargo
151698552  Wells Fargo
151714615  Wells Fargo
151733201  Wells Fargo
151764024  Wells Fargo
151773298  Wells Fargo
151820537  Wells Fargo
151825734  Wells Fargo
151843943  Wells Fargo
151850583  Wells Fargo
151881992  Wells Fargo
151975166  Wells Fargo
152061842  Wells Fargo
152134987  Wells Fargo
 50349828  Wells Fargo
 51754083  Wells Fargo
 53788501  Wells Fargo
 57615734  Wells Fargo
 59448258  Wells Fargo
 59585372  Wells Fargo
 59800821  Wells Fargo
 59936013  Wells Fargo
 60396918  Wells Fargo
 60426343  Wells Fargo
 60455482  Wells Fargo
 60736188  Wells Fargo
 60859956  Wells Fargo
 61240446  Wells Fargo
 61360293  Wells Fargo
 61538468  Wells Fargo
 61820734  Wells Fargo
 62007232  Wells Fargo
 62111901  Wells Fargo
 62112313  Wells Fargo
 62167812  Wells Fargo
 62267539  Wells Fargo
 62295746  Wells Fargo
 62397344  Wells Fargo
 62446158  Wells Fargo
 62479159  Wells Fargo
 62551072  Wells Fargo
 62636238  Wells Fargo
 62674098  Wells Fargo
 62688478  Wells Fargo
 62699061  Wells Fargo
 62730676  Wells Fargo
 62733837  Wells Fargo
 62740949  Wells Fargo
 62877576  Wells Fargo
 62936117  Wells Fargo
 62980917  Wells Fargo
 63029607  Wells Fargo
 63047435  Wells Fargo
 63104996  Wells Fargo
 63105076  Wells Fargo
 63110902  Wells Fargo
 63133441  Wells Fargo
 63158935  Wells Fargo
 63179956  Wells Fargo
 63184519  Wells Fargo
 63194062  Wells Fargo
 63238976  Wells Fargo
 63261176  Wells Fargo
 63262992  Wells Fargo
 63264774  Wells Fargo
 63271027  Wells Fargo
 63285803  Wells Fargo
 63298665  Wells Fargo
 63303952  Wells Fargo
 63368021  Wells Fargo
 63373021  Wells Fargo
 63415921  Wells Fargo
 63470462  Wells Fargo
 63471544  Wells Fargo
 63472757  Wells Fargo
 63533822  Wells Fargo
 63557789  Wells Fargo
 63573596  Wells Fargo
 63600944  Wells Fargo
 63636393  Wells Fargo
 63644181  Wells Fargo
 63650683  Wells Fargo
 63652135  Wells Fargo
 63657712  Wells Fargo
 63691521  Wells Fargo
 63709687  Wells Fargo
 63719322  Wells Fargo
 63737472  Wells Fargo
 63757553  Wells Fargo
 63761704  Wells Fargo
 63767123  Wells Fargo
 63768501  Wells Fargo
 63778625  Wells Fargo
 63802466  Wells Fargo
 63810394  Wells Fargo
 63834261  Wells Fargo
 63878169  Wells Fargo
 63886196  Wells Fargo
 63888887  Wells Fargo
 63908172  Wells Fargo
 63932008  Wells Fargo
 63936215  Wells Fargo
 63995245  Wells Fargo
 64001787  Wells Fargo
 64024227  Wells Fargo
 64024888  Wells Fargo
 64026669  Wells Fargo
 64034739  Wells Fargo
 64042872  Wells Fargo
 64046345  Wells Fargo
 64070873  Wells Fargo
 64081706  Wells Fargo
 64100951  Wells Fargo
 64112634  Wells Fargo
 64126808  Wells Fargo
 64132905  Wells Fargo
 64138068  Wells Fargo
 64140221  Wells Fargo
 64148984  Wells Fargo
 64151277  Wells Fargo
 64165665  Wells Fargo
 64180326  Wells Fargo
 64185317  Wells Fargo
 64197759  Wells Fargo
 64204936  Wells Fargo
 64212491  Wells Fargo
 64214083  Wells Fargo
 64215635  Wells Fargo
 64221864  Wells Fargo
 64229016  Wells Fargo
 64242688  Wells Fargo
 64246952  Wells Fargo
 64251291  Wells Fargo
 64265838  Wells Fargo
 64268725  Wells Fargo
 64278989  Wells Fargo
 64284219  Wells Fargo
 64284813  Wells Fargo
 64286602  Wells Fargo
 64287642  Wells Fargo
 64290299  Wells Fargo
 64293681  Wells Fargo
 64303944  Wells Fargo
 64335821  Wells Fargo
 64339906  Wells Fargo
 64342744  Wells Fargo
 64351026  Wells Fargo
 64372691  Wells Fargo
 64391105  Wells Fargo
 64400575  Wells Fargo
 64415441  Wells Fargo
 64417868  Wells Fargo
 64421548  Wells Fargo
 64423791  Wells Fargo
 64464399  Wells Fargo
 64488869  Wells Fargo
 64495575  Wells Fargo
 64495732  Wells Fargo
 64507114  Wells Fargo
 64508542  Wells Fargo
 64528516  Wells Fargo
 64532781  Wells Fargo
 64587777  Wells Fargo
 64591431  Wells Fargo
 64596778  Wells Fargo
 64600844  Wells Fargo
 64611635  Wells Fargo
 64614423  Wells Fargo
 64625155  Wells Fargo
 64632086  Wells Fargo
 64633324  Wells Fargo
 64639008  Wells Fargo
 64647175  Wells Fargo
 64650724  Wells Fargo
 64651037  Wells Fargo
 64656358  Wells Fargo
 64656861  Wells Fargo
 64663503  Wells Fargo
 64681323  Wells Fargo
 64691223  Wells Fargo
 64692924  Wells Fargo
 64704901  Wells Fargo
 64705536  Wells Fargo
 64705593  Wells Fargo
 64725575  Wells Fargo
 64728462  Wells Fargo
 64738362  Wells Fargo
 64742307  Wells Fargo
 64744725  Wells Fargo
 64755358  Wells Fargo
 64756463  Wells Fargo
 64760093  Wells Fargo
 64762701  Wells Fargo
 64764954  Wells Fargo
 64794373  Wells Fargo
 64804487  Wells Fargo
 64820624  Wells Fargo
 64844327  Wells Fargo
 64862238  Wells Fargo
 64869936  Wells Fargo
 64903529  Wells Fargo
 64916307  Wells Fargo
 64918824  Wells Fargo
 64931264  Wells Fargo
 64988173  Wells Fargo
 65010159  Wells Fargo
 65010704  Wells Fargo
 65014037  Wells Fargo
 65020356  Wells Fargo
 65023988  Wells Fargo
 65058687  Wells Fargo
 65088981  Wells Fargo
 65119042  Wells Fargo
 65135808  Wells Fargo
 65144792  Wells Fargo
 65193187  Wells Fargo
 65196008  Wells Fargo
 65216095  Wells Fargo
 65219826  Wells Fargo
 65245482  Wells Fargo
 65279713  Wells Fargo
 65318693  Wells Fargo
 65411084  Wells Fargo
146256722  Wells Fargo
146979208  Wells Fargo
147073548  Wells Fargo
148931405  Wells Fargo
149000929  Wells Fargo
149312969  Wells Fargo
149509788  Wells Fargo
149545147  Wells Fargo
149796146  Wells Fargo
149896516  Wells Fargo
149994212  Wells Fargo
149996936  Wells Fargo
150028868  Wells Fargo
150032647  Wells Fargo
150098499  Wells Fargo
150171825  Wells Fargo
150180891  Wells Fargo
150241529  Wells Fargo
150245934  Wells Fargo
150247641  Wells Fargo
150248672  Wells Fargo
150260743  Wells Fargo
150349256  Wells Fargo
150357648  Wells Fargo
150405884  Wells Fargo
150427193  Wells Fargo
150429041  Wells Fargo
150461093  Wells Fargo
150476091  Wells Fargo
150485985  Wells Fargo
150507168  Wells Fargo
150538676  Wells Fargo
150541894  Wells Fargo
150574291  Wells Fargo
150587848  Wells Fargo
150591493  Wells Fargo
150594778  Wells Fargo
150599165  Wells Fargo
150631158  Wells Fargo
150645984  Wells Fargo
150649168  Wells Fargo
150670651  Wells Fargo
150682532  Wells Fargo
150687606  Wells Fargo
150688067  Wells Fargo
150704245  Wells Fargo
150725992  Wells Fargo
150727485  Wells Fargo
150737229  Wells Fargo
150737518  Wells Fargo
150754844  Wells Fargo
150760627  Wells Fargo
150770584  Wells Fargo
150773596  Wells Fargo
150781458  Wells Fargo
150782068  Wells Fargo
150786432  Wells Fargo
150787729  Wells Fargo
150795094  Wells Fargo
150804862  Wells Fargo
150823102  Wells Fargo
150830743  Wells Fargo
150837771  Wells Fargo
150843472  Wells Fargo
150848182  Wells Fargo
150848828  Wells Fargo
150849958  Wells Fargo
150850477  Wells Fargo
150857993  Wells Fargo
150861086  Wells Fargo
150872844  Wells Fargo
150881126  Wells Fargo
150889574  Wells Fargo
150892131  Wells Fargo
150893709  Wells Fargo
150895142  Wells Fargo
150899037  Wells Fargo
150899789  Wells Fargo
150906014  Wells Fargo
150933794  Wells Fargo
150940195  Wells Fargo
150943017  Wells Fargo
150948628  Wells Fargo
150952711  Wells Fargo
150953867  Wells Fargo
150958338  Wells Fargo
150972735  Wells Fargo
150978385  Wells Fargo
150985018  Wells Fargo
150993038  Wells Fargo
151001187  Wells Fargo
151006681  Wells Fargo
151008976  Wells Fargo
151009933  Wells Fargo
151013299  Wells Fargo
151015088  Wells Fargo
151015096  Wells Fargo
151015443  Wells Fargo
151023033  Wells Fargo
151043106  Wells Fargo
151043635  Wells Fargo
151043981  Wells Fargo
151054871  Wells Fargo
151056694  Wells Fargo
151058179  Wells Fargo
151061769  Wells Fargo
151063195  Wells Fargo
151064201  Wells Fargo
151071347  Wells Fargo
151071495  Wells Fargo
151074549  Wells Fargo
151092392  Wells Fargo
151092467  Wells Fargo
151102118  Wells Fargo
151105327  Wells Fargo
151106747  Wells Fargo
151109857  Wells Fargo
151119807  Wells Fargo
151120128  Wells Fargo
151120433  Wells Fargo
151121811  Wells Fargo
151122546  Wells Fargo
151123015  Wells Fargo
151132552  Wells Fargo
151141397  Wells Fargo
151145968  Wells Fargo
151153954  Wells Fargo
151157963  Wells Fargo
151161254  Wells Fargo
151165529  Wells Fargo
151170719  Wells Fargo
151174265  Wells Fargo
151202454  Wells Fargo
151204526  Wells Fargo
151214251  Wells Fargo
151230752  Wells Fargo
151245933  Wells Fargo
151249901  Wells Fargo
151251022  Wells Fargo
151278504  Wells Fargo
151294873  Wells Fargo
151296738  Wells Fargo
151308509  Wells Fargo
151308632  Wells Fargo
151315462  Wells Fargo
151324308  Wells Fargo
151328044  Wells Fargo
151329521  Wells Fargo
151339397  Wells Fargo
151349339  Wells Fargo
151368933  Wells Fargo
151370715  Wells Fargo
151377264  Wells Fargo
151384245  Wells Fargo
151400629  Wells Fargo
151429305  Wells Fargo
151430402  Wells Fargo
151431939  Wells Fargo
151435583  Wells Fargo
151435922  Wells Fargo
151449337  Wells Fargo
151465887  Wells Fargo
151487444  Wells Fargo
151487667  Wells Fargo
151487915  Wells Fargo
151500121  Wells Fargo
151502135  Wells Fargo
151519428  Wells Fargo
151522588  Wells Fargo
151532207  Wells Fargo
151532645  Wells Fargo
151535671  Wells Fargo
151545597  Wells Fargo
151569605  Wells Fargo
151585791  Wells Fargo
151587334  Wells Fargo
151591211  Wells Fargo
151606373  Wells Fargo
151606746  Wells Fargo
151612603  Wells Fargo
151616687  Wells Fargo
151627627  Wells Fargo
151630407  Wells Fargo
151643111  Wells Fargo
151649613  Wells Fargo
151655313  Wells Fargo
151660008  Wells Fargo
151662087  Wells Fargo
151663721  Wells Fargo
151668936  Wells Fargo
151670361  Wells Fargo
151672466  Wells Fargo
151675139  Wells Fargo
151682515  Wells Fargo
151691268  Wells Fargo
151698156  Wells Fargo
151720968  Wells Fargo
151728243  Wells Fargo
151763471  Wells Fargo
151768108  Wells Fargo
151772647  Wells Fargo
151777596  Wells Fargo
151787033  Wells Fargo
151793072  Wells Fargo
151799228  Wells Fargo
151803954  Wells Fargo
151809472  Wells Fargo
151811429  Wells Fargo
151815099  Wells Fargo
151833142  Wells Fargo
151835725  Wells Fargo
151836335  Wells Fargo
151854379  Wells Fargo
151869302  Wells Fargo
151874245  Wells Fargo
151880689  Wells Fargo
151901543  Wells Fargo
151906344  Wells Fargo
151922168  Wells Fargo
151945029  Wells Fargo
151945615  Wells Fargo
151946803  Wells Fargo
151950359  Wells Fargo
151966959  Wells Fargo
151969409  Wells Fargo
151978053  Wells Fargo
151991817  Wells Fargo
151996071  Wells Fargo
152009031  Wells Fargo
152065058  Wells Fargo
152074084  Wells Fargo
152137675  Wells Fargo
152146528  Wells Fargo
152167409  Wells Fargo
152175337  Wells Fargo
152177259  Wells Fargo
152208971  Wells Fargo
152268074  Wells Fargo
152282737  Wells Fargo
152410833  Wells Fargo
 63077077  Wells Fargo

                                   EXHIBIT D-2
                       LOAN GROUP 2 MORTGAGE LOAN SCHEDULE

                 [See separate Excel file on Closing Binder CD]

                                      D-2-1

LOANID     OCC        PROPTYPE      OTERM  CORTERM  OLTV   RATE   FPDATE     NDDATE     S_MATDATE  PANDI      PTDATE
-----------------------------------------------------------------------------------------------------------------------

145678181  Primary    SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035   2,560.05   6/1/2006
145683363  Primary    SFR             360      349     70      6   9/1/2005   8/1/2006   8/1/2035   3,675.00   7/1/2006
145692554  Primary    SFR             360      350  69.62  5.875  10/1/2005   7/1/2006   9/1/2035   3,809.51   6/1/2006
145705398  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,115.00   6/1/2006
145720942  Primary    SFR             360      349     65  5.875   9/1/2005   7/1/2006   8/1/2035   4,866.38   6/1/2006
145735783  Primary    SFR             360      350  54.55      6  10/1/2005   7/1/2006   9/1/2035   3,000.00   6/1/2006
145749958  Primary    SFR             360      349  69.62  5.875   9/1/2005   8/1/2006   8/1/2035   2,692.71   7/1/2006
145756698  Primary    SFR             360      349  62.69  5.875   9/1/2005   7/1/2006   8/1/2035   2,056.25   6/1/2006
145790291  Primary    SFR             360      349     70      6   9/1/2005   7/1/2006   8/1/2035   3,811.71   6/1/2006
145833372  Primary    SFR             360      349   89.1      6   9/1/2005   7/1/2006   8/1/2035   2,856.36   6/1/2006
145840161  Primary    SFR             360      350  74.86  5.875  10/1/2005   7/1/2006   9/1/2035   2,712.29   6/1/2006
145850541  Primary    SFR             360      350     80      6  10/1/2005   8/1/2006   9/1/2035   2,160.00   7/1/2006
145858247  Primary    SFR             360      350  76.78  5.875  10/1/2005   7/1/2006   9/1/2035   2,379.37   6/1/2006
145936357  Primary    SFR             360      349   66.2  5.875   9/1/2005   7/1/2006   8/1/2035   2,300.48   6/1/2006
146043971  Primary    SFR             360      350  64.15      6  10/1/2005   7/1/2006   9/1/2035   2,543.86   6/1/2006
146081963  Primary    SFR             360      350  79.48  5.875  10/1/2005   7/1/2006   9/1/2035   2,975.36   6/1/2006
146104575  Primary    SFR             360      349  67.65  5.875   9/1/2005   7/1/2006   8/1/2035   2,805.85   6/1/2006
146107834  Primary    SFR             360      350     95  5.875  10/1/2005   8/1/2006   9/1/2035   3,017.73   7/1/2006
146143391  Primary    SFR             360      349  66.67  5.875   9/1/2005   7/1/2006   8/1/2035   2,677.58   6/1/2006
146178272  Primary    SFR             360      354     75  5.875   2/1/2006   7/1/2006   1/1/2036   6,609.37   6/1/2006
146178793  Investor   Condo - Low     360      350  38.95  5.875  10/1/2005   7/1/2006   9/1/2035   2,709.68   6/1/2006
146209226  Primary    SFR             360      350  78.21  5.875  10/1/2005   8/1/2006   9/1/2035   2,775.94   7/1/2006
146254248  Primary    SFR             360      349   60.1  5.875   9/1/2005   8/1/2006   8/1/2035   2,868.96   7/1/2006
146265541  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   6,462.50   7/1/2006
146273537  Primary    SFR             360      350     65  5.875  10/1/2005   8/1/2006   9/1/2035   2,306.95   7/1/2006
146281662  Primary    SFR             360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035   2,651.97   7/1/2006
146285754  Primary    SFR             360      350  69.89  5.875  10/1/2005   8/1/2006   9/1/2035   3,182.29   7/1/2006
146305032  Primary    SFR             360      350  58.78      6  10/1/2005   8/1/2006   9/1/2035   2,165.14   7/1/2006
146317672  Primary    SFR             360      349     65  5.875   9/1/2005   7/1/2006   8/1/2035   4,773.44   6/1/2006
146330311  Primary    Condo - Low     360      350  72.09  5.875  10/1/2005   7/1/2006   9/1/2035   2,252.08   6/1/2006
146348545  Primary    Condo - Low     360      350  75.75      6  10/1/2005   8/1/2006   9/1/2035   3,068.00   7/1/2006
146372636  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,960.28   6/1/2006
146387907  Primary    Condo - Low     360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,900.78   6/1/2006
146456538  Primary    SFR             360      350  77.14  5.875  10/1/2005   8/1/2006   9/1/2035   2,643.75   7/1/2006
146472477  Primary    SFR             360      350  69.77  5.875  10/1/2005   7/1/2006   9/1/2035   2,937.50   6/1/2006
146475355  Secondary  SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   3,113.75   6/1/2006
146497508  Primary    SFR             360      350     60      6  10/1/2005   8/1/2006   9/1/2035   4,995.00   7/1/2006
146499777  Primary    SFR             360      350  77.84  5.875  10/1/2005   7/1/2006   9/1/2035   2,555.45   6/1/2006
146505201  Primary    SFR             360      350  52.56  5.875  10/1/2005   7/1/2006   9/1/2035   2,766.15   6/1/2006
146526215  Primary    SFR             360      350  63.57   6.25  10/1/2005   7/1/2006   9/1/2035   2,317.68   6/1/2006
146544069  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,187.39   6/1/2006
146545546  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   3,017.23   6/1/2006
146577259  Primary    SFR             360      349     80  6.125   9/1/2005   7/1/2006   8/1/2035   2,971.22   6/1/2006
146589965  Secondary  Condo - High    360      350  79.74  6.125  10/1/2005   8/1/2006   9/1/2035   3,185.00   7/1/2006
146592548  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   8,616.67   6/1/2006
146601737  Primary    SFR             360      350  60.61  6.125  10/1/2005   8/1/2006   9/1/2035   2,552.08   7/1/2006
146608609  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035   2,380.00   6/1/2006
146614557  Primary    Condo - Low     360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,992.58   6/1/2006
146620208  Primary    SFR             360      350     75      6  10/1/2005   7/1/2006   9/1/2035   2,812.50   6/1/2006
146634522  Primary    SFR             360      351  47.06      6  11/1/2005   7/1/2006  10/1/2035   3,000.00   6/1/2006
146636907  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035   2,606.69   6/1/2006
146641568  Primary    SFR             360      351   72.9  5.875  11/1/2005   7/1/2006  10/1/2035   2,937.50   6/1/2006
146652896  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   3,668.00   6/1/2006
146657028  Primary    SFR             360      353  79.95      6   1/1/2006   7/1/2006  12/1/2035   3,118.00   6/1/2006
146658497  Primary    SFR             360      351  59.86      6  11/1/2005   7/1/2006  10/1/2035   2,687.50   6/1/2006
146665039  Secondary  SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   4,406.25   6/1/2006
146684154  Primary    SFR             360      350  32.11      6  10/1/2005   8/1/2006   9/1/2035   2,150.00   7/1/2006
146689161  Primary    SFR             360      350  40.48  5.875  10/1/2005   7/1/2006   9/1/2035   2,080.22   6/1/2006
146694732  Primary    SFR             360      351  64.97      6  11/1/2005   7/1/2006  10/1/2035   3,057.71   6/1/2006
146705371  Primary    Condo - High    360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,252.08   6/1/2006
146707575  Primary    SFR             360      350     70   6.25  10/1/2005   7/1/2006   9/1/2035   3,828.13   6/1/2006
146725858  Primary    SFR             360      351     95   6.25  11/1/2005   9/1/2006  10/1/2035   2,790.62   8/1/2006
146741905  Primary    2-Family        360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,839.58   6/1/2006
146748678  Primary    SFR             360      350     70  6.125  10/1/2005   7/1/2006   9/1/2035   3,447.86   6/1/2006
146755509  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   2,203.12   6/1/2006
146768338  Primary    SFR             360      350  74.56   6.25  10/1/2005   8/1/2006   9/1/2035   2,635.27   7/1/2006
146768718  Primary    SFR             360      350  78.43  5.875  10/1/2005   7/1/2006   9/1/2035   2,438.13   6/1/2006
146774906  Primary    SFR             360      350     75   6.25  10/1/2005   7/1/2006   9/1/2035   2,734.37   6/1/2006
146803457  Primary    Condo - Low     360      350     80      6  10/1/2005   8/1/2006   9/1/2035   3,196.00   7/1/2006
146804935  Primary    PUD Detached    360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,384.27   6/1/2006
146811658  Primary    SFR             360      350  53.57      6  10/1/2005   7/1/2006   9/1/2035   2,250.00   6/1/2006
146815485  Primary    SFR             360      350  50.78  5.875  10/1/2005   8/1/2006   9/1/2035   3,145.08   7/1/2006
146823562  Primary    SFR             360      350  51.09  6.125  10/1/2005   8/1/2006   9/1/2035   2,572.70   7/1/2006
146825377  Primary    SFR             360      350  72.41      6  10/1/2005   7/1/2006   9/1/2035   2,625.00   6/1/2006
146829205  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   2,840.00   6/1/2006
146840723  Primary    SFR             360      351  57.73      6  11/1/2005   7/1/2006  10/1/2035   3,810.00   6/1/2006
146904495  Secondary  Condo - Low     360      351     65  5.875  11/1/2005   7/1/2006  10/1/2035   2,227.60   6/1/2006
146905815  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035   3,415.40   6/1/2006
146909205  Primary    SFR             360      350  79.93      6  10/1/2005   7/1/2006   9/1/2035   2,127.18   6/1/2006
146941778  Primary    SFR             360      350  59.52      6  10/1/2005   7/1/2006   9/1/2035   2,500.00   6/1/2006
146941794  Primary    SFR             360      350  78.29      6  10/1/2005   7/1/2006   9/1/2035   2,197.74   6/1/2006
146942081  Primary    SFR             360      351  71.43  6.125  11/1/2005   8/1/2006  10/1/2035   2,549.53   7/1/2006
146949938  Primary    SFR             360      350  59.09  5.875  10/1/2005   7/1/2006   9/1/2035   3,845.00   6/1/2006
146957147  Primary    SFR             360      351     75  6.125  11/1/2005   7/1/2006  10/1/2035   2,652.97   6/1/2006
146959978  Primary    SFR             360      351  67.57      6  11/1/2005   7/1/2006  10/1/2035   2,500.00   6/1/2006
146968433  Primary    SFR             360      352  77.16      6  12/1/2005   7/1/2006  11/1/2035   3,674.75   6/1/2006
146970611  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   2,460.00   6/1/2006
146973425  Primary    SFR             360      351   76.3      6  11/1/2005   7/1/2006  10/1/2035   2,270.00   6/1/2006
146994926  Primary    SFR             360      351   79.6      6  11/1/2005   7/1/2006  10/1/2035   2,387.79   6/1/2006
147004311  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035   2,797.08   6/1/2006
147022248  Primary    SFR             360      351  47.04  5.875  11/1/2005   7/1/2006  10/1/2035   3,104.20   6/1/2006
147037352  Primary    SFR             360      354  79.95      6   2/1/2006   7/1/2006   1/1/2036   3,328.44   6/1/2006
147059687  Secondary  Condo - Low     360      351  58.82  6.125  11/1/2005   8/1/2006  10/1/2035   3,062.50   7/1/2006
147063952  Primary    SFR             360      351  62.07  5.875  11/1/2005   8/1/2006  10/1/2035   3,190.61   7/1/2006
147073076  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,348.25   6/1/2006
147074454  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   2,127.17   6/1/2006
147087613  Primary    SFR             360      351  66.51      6  11/1/2005   7/1/2006  10/1/2035   3,625.00   6/1/2006
147103592  Investor   SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035   3,221.75   6/1/2006
147112189  Primary    SFR             360      351  78.31  6.125  11/1/2005   7/1/2006  10/1/2035   3,317.71   6/1/2006
147128714  Primary    SFR             360      353  61.43  6.125   1/1/2006   8/1/2006  12/1/2035   2,194.79   7/1/2006
147131486  Primary    SFR             360      351   78.5      6  11/1/2005   7/1/2006  10/1/2035   2,389.83   6/1/2006
147135354  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   2,100.00   6/1/2006
147146401  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   4,797.92   6/1/2006
147148597  Primary    SFR             360      350     80      6  10/1/2005   8/1/2006   9/1/2035   3,188.50   7/1/2006
147154298  Secondary  SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,531.79   6/1/2006
147162051  Primary    SFR             360      352  62.49  6.125  12/1/2005   7/1/2006  11/1/2035   2,695.00   6/1/2006
147162259  Primary    SFR             360      350  48.61  6.125  10/1/2005   7/1/2006   9/1/2035   4,466.14   6/1/2006
147163109  Primary    SFR             360      352  41.66  5.875  12/1/2005   7/1/2006  11/1/2035   4,895.34   6/1/2006
147163133  Primary    SFR             360      351  75.65  5.875  11/1/2005   7/1/2006  10/1/2035   2,518.42   6/1/2006
147168678  Primary    SFR             360      351   77.5  5.875  11/1/2005   7/1/2006  10/1/2035   3,667.54   6/1/2006
147174494  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   3,160.00   6/1/2006
147179006  Primary    SFR             360      350     75      6  10/1/2005   7/1/2006   9/1/2035   2,483.75   6/1/2006
147188643  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035   2,964.50   6/1/2006
147193825  Primary    SFR             360      351  74.96  6.125  11/1/2005   7/1/2006  10/1/2035   2,592.50   6/1/2006
147205504  Primary    SFR             360      352  76.43      6  12/1/2005   7/1/2006  11/1/2035   3,250.00   6/1/2006
147208144  Primary    Condo - Low     360      351     75      6  11/1/2005   7/1/2006  10/1/2035   3,057.48   6/1/2006
147213102  Primary    SFR             360      352  79.27      6  12/1/2005   7/1/2006  11/1/2035   3,250.00   6/1/2006
147214969  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   3,040.00   6/1/2006
147228084  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   3,132.35   7/1/2006
147229884  Primary    SFR             360      351  69.77  5.875  11/1/2005   7/1/2006  10/1/2035   2,271.67   6/1/2006
147231138  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   2,859.99   6/1/2006
147235519  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,937.50   6/1/2006
147244008  Primary    SFR             360      351  77.92  5.875  11/1/2005   7/1/2006  10/1/2035   2,384.27   6/1/2006
147248058  Primary    SFR             360      351  73.03      6  11/1/2005   7/1/2006  10/1/2035   3,250.00   6/1/2006
147252746  Primary    SFR             360      351  71.11  5.875  11/1/2005   7/1/2006  10/1/2035   3,125.65   6/1/2006
147278485  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   2,200.00   6/1/2006
147282586  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,580.00   6/1/2006
147298863  Primary    SFR             360      351  63.99  5.875  11/1/2005   7/1/2006  10/1/2035   3,671.87   6/1/2006
147312037  Primary    SFR             360      351  70.63  5.875  11/1/2005   7/1/2006  10/1/2035   2,472.40   6/1/2006
147319008  Primary    SFR             360      352  71.37  5.875  12/1/2005   8/1/2006  11/1/2035   2,673.12   7/1/2006
147328918  Primary    SFR             360      351  50.53      6  11/1/2005   8/1/2006  10/1/2035   2,398.36   7/1/2006
147338818  Primary    SFR             360      351  68.44  5.875  11/1/2005   7/1/2006  10/1/2035   4,386.07   6/1/2006
147341192  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   3,133.33   6/1/2006
147349872  Primary    Condo - Low     360      351  77.17  5.875  11/1/2005   7/1/2006  10/1/2035   2,739.22   6/1/2006
147359079  Primary    SFR             360      352  70.97      6  12/1/2005   7/1/2006  11/1/2035   3,063.71   6/1/2006
147364855  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,790.62   6/1/2006
147381057  Secondary  SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   2,753.91   6/1/2006
147383442  Primary    SFR             360      352  66.67  5.875  12/1/2005   7/1/2006  11/1/2035   2,957.69   6/1/2006
147386965  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   3,572.00   6/1/2006
147388383  Primary    Condo - Low     360      351     80      6  11/1/2005   8/1/2006  10/1/2035   2,860.00   7/1/2006
147406896  Primary    SFR             360      351  60.79      6  11/1/2005   7/1/2006  10/1/2035   4,239.11   6/1/2006
147408173  Primary    SFR             360      352  67.41      6  12/1/2005   8/1/2006  11/1/2035   2,865.00   7/1/2006
147412639  Primary    SFR             360      351  89.93  5.875  11/1/2005   7/1/2006  10/1/2035   2,343.39   6/1/2006
147418941  Primary    SFR             360      351  74.34      6  11/1/2005   7/1/2006  10/1/2035   2,550.00   6/1/2006
147419832  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,350.00   6/1/2006
147446066  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   3,133.33   6/1/2006
147450324  Primary    SFR             360      352  78.05  5.875  12/1/2005   7/1/2006  11/1/2035   3,133.22   6/1/2006
147453039  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   2,772.84   6/1/2006
147459333  Primary    Condo - Low     360      353     80  6.625   1/1/2006   8/1/2006  12/1/2035   3,713.81   7/1/2006
147466346  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   3,105.58   6/1/2006
147476535  Primary    SFR             360      351  65.82  5.875  11/1/2005   9/1/2006  10/1/2035   2,545.83   8/1/2006
147479604  Primary    SFR             360      351  63.31  5.875  11/1/2005   9/1/2006  10/1/2035   2,602.77   8/1/2006
147483853  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   2,606.39   6/1/2006
147497424  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,095.40   6/1/2006
147508956  Primary    SFR             360      352     70      6  12/1/2005   7/1/2006  11/1/2035   3,255.00   6/1/2006
147518575  Primary    SFR             360      351  68.83  5.875  11/1/2005   7/1/2006  10/1/2035   2,594.79   6/1/2006
147521512  Primary    SFR             360      351     75  6.125  11/1/2005   7/1/2006  10/1/2035   2,487.92   6/1/2006
147525729  Primary    SFR             360      351  79.99  5.875  11/1/2005   7/1/2006  10/1/2035   2,575.94   6/1/2006
147539704  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   3,944.71   6/1/2006
147548937  Primary    SFR             360      352  40.83  5.875  12/1/2005   8/1/2006  11/1/2035   3,598.44   7/1/2006
147569347  Primary    SFR             360      352  79.37      6  12/1/2005   8/1/2006  11/1/2035   2,467.24   7/1/2006
147572739  Primary    SFR             360      351  64.29  5.875  11/1/2005   8/1/2006  10/1/2035   4,406.25   7/1/2006
147583736  Primary    SFR             360      352  48.39  5.875  12/1/2005   7/1/2006  11/1/2035   8,873.07   6/1/2006
147589022  Primary    SFR             360      350  58.82  5.875  10/1/2005   7/1/2006   9/1/2035   4,895.59   6/1/2006
147593586  Primary    SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035   2,340.18   6/1/2006
147597645  Primary    SFR             360      351   60.4      6  11/1/2005   8/1/2006  10/1/2035   2,250.00   7/1/2006
147605414  Primary    SFR             360      353  56.65      6   1/1/2006   7/1/2006  12/1/2035   2,578.07   6/1/2006
147632236  Secondary  SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   2,160.00   6/1/2006
147633986  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   3,714.23   6/1/2006
147640122  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   4,592.29   6/1/2006
147650949  Primary    SFR             360      352     75      6  12/1/2005   7/1/2006  11/1/2035   2,325.01   6/1/2006
147667232  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   2,320.00   6/1/2006
147689111  Primary    SFR             360      352  79.37  5.875  12/1/2005   7/1/2006  11/1/2035   2,447.72   6/1/2006
147695456  Primary    SFR             360      353  78.57  5.875   1/1/2006   7/1/2006  12/1/2035   2,692.71   6/1/2006
147697551  Primary    Condo - Low     360      353     65      6   1/1/2006   8/1/2006  12/1/2035   2,210.00   7/1/2006
147699821  Primary    SFR             360      352  78.68  5.875  12/1/2005   7/1/2006  11/1/2035   2,618.78   6/1/2006
147729784  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   3,133.33   6/1/2006
147754709  Primary    SFR             360      352  64.61      6  12/1/2005   7/1/2006  11/1/2035   2,132.28   6/1/2006
147758205  Primary    SFR             360      351     75   6.25  11/1/2005   7/1/2006  10/1/2035   2,851.56   6/1/2006
147770432  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,424.42   6/1/2006
147775449  Primary    Condo - Low     360      352  69.71  5.875  12/1/2005   7/1/2006  11/1/2035   2,389.17   6/1/2006
147776223  Primary    SFR             360      352  69.28  5.875  12/1/2005   7/1/2006  11/1/2035   3,985.21   6/1/2006
147784631  Primary    SFR             360      352  47.18  5.875  12/1/2005   8/1/2006  11/1/2035   2,252.08   7/1/2006
147799019  Primary    2-Family        360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   3,187.50   6/1/2006
147805253  Primary    SFR             360      352  73.26  5.875  12/1/2005   7/1/2006  11/1/2035   4,895.83   6/1/2006
147808216  Primary    SFR             360      352  64.81  5.875  12/1/2005   7/1/2006  11/1/2035   2,474.84   6/1/2006
147812507  Primary    SFR             360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035   3,645.67   7/1/2006
147817316  Primary    SFR             360      352  74.02   6.25  12/1/2005   7/1/2006  11/1/2035   3,527.34   6/1/2006
147819866  Primary    SFR             360      352  50.67      6  12/1/2005   8/1/2006  11/1/2035   2,037.41   7/1/2006
147823082  Primary    SFR             360      352  78.77  6.375  12/1/2005   7/1/2006  11/1/2035   2,719.28   6/1/2006
147826168  Primary    SFR             360      355     80  6.375   3/1/2006   8/1/2006   2/1/2036   2,443.75   7/1/2006
147832109  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,123.88   6/1/2006
147841456  Primary    SFR             360      352  36.86  5.875  12/1/2005   7/1/2006  11/1/2035   2,294.21   6/1/2006
147843452  Primary    SFR             360      353     70  5.875   1/1/2006   7/1/2006  12/1/2035   3,040.00   6/1/2006
147856835  Primary    SFR             360      352  79.74    6.5  12/1/2005   7/1/2006  11/1/2035   3,906.19   6/1/2006
147881726  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,972.20   6/1/2006
147907174  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,504.00   7/1/2006
147913495  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   3,140.00   6/1/2006
147926539  Primary    SFR             360      352  51.72  5.875  12/1/2005   8/1/2006  11/1/2035   4,436.54   7/1/2006
147929434  Primary    SFR             360      353     65  6.125   1/1/2006   7/1/2006  12/1/2035   2,952.63   6/1/2006
147929632  Primary    Condo - Low     360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   3,121.09   6/1/2006
147931166  Primary    SFR             360      352  57.14  6.125  12/1/2005   7/1/2006  11/1/2035   3,062.50   6/1/2006
147939284  Primary    SFR             360      351  79.87  5.875  11/1/2005   7/1/2006  10/1/2035   2,264.08   6/1/2006
147940357  Primary    SFR             360      352   46.7  5.875  12/1/2005   8/1/2006  11/1/2035   2,665.30   7/1/2006
147948012  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   4,465.00   6/1/2006
147955819  Primary    SFR             360      352     70      6  12/1/2005   7/1/2006  11/1/2035   3,360.00   6/1/2006
147958276  Primary    SFR             360      351  68.02  5.875  11/1/2005   8/1/2006  10/1/2035   3,963.31   7/1/2006
147959431  Primary    SFR             360      352  74.83      6  12/1/2005   8/1/2006  11/1/2035   3,297.53   7/1/2006
147960132  Primary    Condo - High    360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,056.25   6/1/2006
147962062  Primary    SFR             360      352   66.2   6.25  12/1/2005   7/1/2006  11/1/2035   2,443.99   6/1/2006
147962377  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,832.29   7/1/2006
147966022  Primary    Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,225.42   6/1/2006
147980197  Primary    SFR             360      352  65.57  5.875  12/1/2005   7/1/2006  11/1/2035   2,741.67   6/1/2006
147985642  Primary    SFR             360      352  74.84  5.875  12/1/2005   7/1/2006  11/1/2035   2,838.99   6/1/2006
147995914  Primary    SFR             360      352  75.92  6.125  12/1/2005   8/1/2006  11/1/2035   2,220.15   7/1/2006
147999775  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,350.00   6/1/2006
148003791  Primary    SFR             360      353  67.96  5.875   1/1/2006   7/1/2006  12/1/2035   3,424.15   6/1/2006
148023831  Primary    SFR             360      352     70      6  12/1/2005   7/1/2006  11/1/2035   4,900.00   6/1/2006
148027717  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035   2,400.00   7/1/2006
148031305  Secondary  SFR             360      352  38.32  5.875  12/1/2005   8/1/2006  11/1/2035   2,908.12   7/1/2006
148041189  Secondary  Condo - High    360      354  45.29  5.875   2/1/2006   7/1/2006   1/1/2036   2,638.85   6/1/2006
148051485  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,760.00   6/1/2006
148053887  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,200.00   6/1/2006
148064066  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   3,697.67   6/1/2006
148064967  Primary    SFR             360      353  73.64  5.875   1/1/2006   7/1/2006  12/1/2035   3,172.50   6/1/2006
148086093  Primary    SFR             360      353  73.17  6.125   1/1/2006   7/1/2006  12/1/2035   3,645.67   6/1/2006
148097637  Primary    SFR             360      352     70  6.125  12/1/2005   7/1/2006  11/1/2035   2,940.51   6/1/2006
148107568  Primary    SFR             360      352  74.88  5.875  12/1/2005   7/1/2006  11/1/2035   2,291.25   6/1/2006
148121056  Primary    SFR             360      352     80    6.5  12/1/2005   8/1/2006  11/1/2035   2,269.58   7/1/2006
148121601  Primary    SFR             360      352  71.68  5.875  12/1/2005   7/1/2006  11/1/2035   4,895.83   6/1/2006
148128598  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   3,246.25   6/1/2006
148136443  Primary    SFR             360      352  69.08  5.875  12/1/2005   7/1/2006  11/1/2035   2,568.36   6/1/2006
148136641  Primary    SFR             360      352  74.07  5.875  12/1/2005   8/1/2006  11/1/2035   4,895.59   7/1/2006
148138183  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,308.82   6/1/2006
148143431  Primary    SFR             360      354  68.89    6.5   2/1/2006   7/1/2006   1/1/2036   5,878.23   6/1/2006
148151244  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,160.00   6/1/2006
148161219  Primary    SFR             360      352  67.31  6.125  12/1/2005   7/1/2006  11/1/2035   2,678.95   6/1/2006
148179245  Primary    SFR             360      353  78.13  6.375   1/1/2006   7/1/2006  12/1/2035   3,187.50   6/1/2006
148179492  Primary    SFR             360      354  77.18  6.125   2/1/2006   7/1/2006   1/1/2036   2,552.08   6/1/2006
148182348  Primary    SFR             360      352     75      6  12/1/2005   7/1/2006  11/1/2035   2,540.13   6/1/2006
148185267  Primary    SFR             360      352  40.78  6.125  12/1/2005   7/1/2006  11/1/2035   2,552.08   6/1/2006
148186885  Primary    SFR             360      352  69.82      6  12/1/2005   7/1/2006  11/1/2035   2,845.00   6/1/2006
148201007  Primary    SFR             360      352  73.97      6  12/1/2005   7/1/2006  11/1/2035   2,700.00   6/1/2006
148205792  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,323.42   6/1/2006
148226665  Primary    SFR             360      354     75  5.875   2/1/2006   7/1/2006   1/1/2036   2,125.45   6/1/2006
148236482  Primary    SFR             360      353  79.03   6.25   1/1/2006   7/1/2006  12/1/2035   2,552.08   6/1/2006
148239783  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   2,911.91   6/1/2006
148265341  Primary    SFR             360      353  36.36  6.125   1/1/2006   7/1/2006  12/1/2035   5,103.91   6/1/2006
148277437  Primary    Condo - Low     360      352  60.98   6.25  12/1/2005   7/1/2006  11/1/2035   5,208.33   6/1/2006
148283906  Primary    SFR             360      354  58.98      6   2/1/2006   7/1/2006   1/1/2036   2,595.00   6/1/2006
148285505  Primary    SFR             360      352     70   6.25  12/1/2005   7/1/2006  11/1/2035   2,369.79   6/1/2006
148287402  Primary    SFR             360      352  77.52  6.125  12/1/2005   7/1/2006  11/1/2035   2,552.05   6/1/2006
148288384  Primary    SFR             360      352  79.77   6.25  12/1/2005   7/1/2006  11/1/2035   2,488.65   6/1/2006
148291784  Primary    SFR             360      352  46.67   6.25  12/1/2005   8/1/2006  11/1/2035   2,362.21   7/1/2006
148298078  Primary    SFR             360      353  41.67      6   1/1/2006   7/1/2006  12/1/2035   3,748.48   6/1/2006
148300759  Primary    SFR             360      355  77.61  6.375   3/1/2006   7/1/2006   2/1/2036   3,401.59   6/1/2006
148303514  Primary    SFR             360      352     50      6  12/1/2005   7/1/2006  11/1/2035   3,500.00   6/1/2006
148304637  Primary    SFR             360      352     70  6.375  12/1/2005   7/1/2006  11/1/2035   5,103.64   6/1/2006
148306608  Primary    SFR             360      352     75   6.25  12/1/2005   7/1/2006  11/1/2035   3,125.00   6/1/2006
148306962  Primary    SFR             360      353  71.72  6.375   1/1/2006   7/1/2006  12/1/2035   2,762.50   6/1/2006
148309388  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   3,340.00   7/1/2006
148312408  Primary    SFR             360      352  58.04  6.125  12/1/2005   7/1/2006  11/1/2035   3,949.47   6/1/2006
148313646  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,674.58   6/1/2006
148329717  Primary    SFR             360      354  77.08  5.875   2/1/2006   7/1/2006   1/1/2036   3,170.05   6/1/2006
148333438  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   3,332.47   6/1/2006
148333826  Primary    SFR             360      352  69.98   6.25  12/1/2005   7/1/2006  11/1/2035   3,155.92   6/1/2006
148336506  Secondary  SFR             360      352     65   6.25  12/1/2005   7/1/2006  11/1/2035   4,231.77   6/1/2006
148341522  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,702.66   6/1/2006
148348014  Primary    SFR             360      353     75      6   1/1/2006   7/1/2006  12/1/2035   3,225.00   6/1/2006
148366677  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,275.92   6/1/2006
148386584  Primary    SFR             360      354  79.55  6.125   2/1/2006   7/1/2006   1/1/2036   2,273.91   6/1/2006
148388697  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   3,998.92   6/1/2006
148389562  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,286.66   6/1/2006
148389745  Investor   SFR             360      352  73.33    6.5  12/1/2005   7/1/2006  11/1/2035   2,383.33   6/1/2006
148397375  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   3,244.13   6/1/2006
148403264  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,150.22   6/1/2006
148403447  Primary    SFR             360      353  69.09  6.125   1/1/2006   7/1/2006  12/1/2035   2,900.62   6/1/2006
148415862  Primary    SFR             360      354  74.97   6.25   2/1/2006   8/1/2006   1/1/2036   3,260.34   7/1/2006
148421019  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   2,916.67   6/1/2006
148429178  Primary    SFR             360      352  72.11   6.25  12/1/2005   7/1/2006  11/1/2035   2,760.42   6/1/2006
148429202  Primary    SFR             360      353  52.63  5.875   1/1/2006   7/1/2006  12/1/2035   2,692.71   6/1/2006
148440621  Primary    SFR             360      352  79.94   6.25  12/1/2005   8/1/2006  11/1/2035   2,589.47   7/1/2006
148449168  Primary    SFR             360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035   3,292.19   6/1/2006
148461676  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,545.83   7/1/2006
148463748  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,347.92   6/1/2006
148464282  Primary    SFR             360      354  72.13  6.125   2/1/2006   7/1/2006   1/1/2036   2,243.00   6/1/2006
148464795  Primary    SFR             360      355  64.18      6   3/1/2006   7/1/2006   2/1/2036   2,749.86   6/1/2006
148477151  Secondary  SFR             360      353  60.61    6.5   1/1/2006   7/1/2006  12/1/2035   2,708.33   6/1/2006
148482615  Primary    SFR             360      353  59.95   6.25   1/1/2006   7/1/2006  12/1/2035   5,208.33   6/1/2006
148488422  Primary    SFR             360      354  82.42      6   2/1/2006   8/1/2006   1/1/2036   3,597.31   7/1/2006
148500796  Primary    SFR             360      353     40   6.25   1/1/2006   8/1/2006  12/1/2035   3,078.59   7/1/2006
148501372  Primary    SFR             360      352  64.66    6.5  12/1/2005   7/1/2006  11/1/2035   3,954.17   6/1/2006
148518178  Primary    SFR             360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035   3,750.48   6/1/2006
148529035  Primary    SFR             360      353     75  6.375   1/1/2006   7/1/2006  12/1/2035   2,589.84   6/1/2006
148529878  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,791.46   6/1/2006
148533979  Primary    Condo - Low     360      353  76.92   6.25   1/1/2006   7/1/2006  12/1/2035   2,337.31   6/1/2006
148543978  Primary    SFR             360      353  78.57   6.25   1/1/2006   7/1/2006  12/1/2035   2,291.67   6/1/2006
148547714  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   2,654.77   6/1/2006
148548332  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,531.67   6/1/2006
148552003  Primary    SFR             360      352  68.42  6.375  12/1/2005   7/1/2006  11/1/2035   3,453.13   6/1/2006
148557382  Primary    Condo - Low     360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   2,270.70   6/1/2006
148581275  Primary    SFR             360      354  44.44  5.875   2/1/2006   7/1/2006   1/1/2036   2,447.92   6/1/2006
148590482  Primary    SFR             360      351  70.83      6  11/1/2005   7/1/2006  10/1/2035   4,248.93   6/1/2006
148599251  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   2,847.56   6/1/2006
148605504  Primary    SFR             360      353  68.97  6.125   1/1/2006   7/1/2006  12/1/2035   5,104.16   6/1/2006
148612872  Primary    SFR             360      353  71.43  5.875   1/1/2006   7/1/2006  12/1/2035   2,661.92   6/1/2006
148636764  Primary    SFR             360      353     70   6.25   1/1/2006   8/1/2006  12/1/2035   4,373.86   7/1/2006
148639974  Primary    SFR             360      353  79.86   6.25   1/1/2006   7/1/2006  12/1/2035   2,458.33   6/1/2006
148646441  Primary    SFR             360      353  71.83   6.25   1/1/2006   7/1/2006  12/1/2035   2,244.79   6/1/2006
148655418  Primary    SFR             360      353  67.68  5.875   1/1/2006   7/1/2006  12/1/2035   9,025.62   6/1/2006
148660194  Primary    SFR             360      353  50.77  6.375   1/1/2006   7/1/2006  12/1/2035   2,454.38   6/1/2006
148663073  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,579.11   6/1/2006
148664527  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   3,824.29   6/1/2006
148670359  Primary    SFR             360      353  69.69  6.375   1/1/2006   7/1/2006  12/1/2035   5,312.49   6/1/2006
148672728  Primary    SFR             360      353     75      6   1/1/2006   7/1/2006  12/1/2035   2,525.25   6/1/2006
148677149  Primary    SFR             360      353  70.64  5.875   1/1/2006   7/1/2006  12/1/2035   2,438.12   6/1/2006
148680341  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   4,189.50   6/1/2006
148685522  Primary    SFR             360      353  67.33   6.25   1/1/2006   7/1/2006  12/1/2035   2,630.21   6/1/2006
148686041  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,211.87   7/1/2006
148689029  Primary    SFR             360      353  68.16   6.25   1/1/2006   7/1/2006  12/1/2035   3,958.33   6/1/2006
148689367  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   3,486.50   6/1/2006
148698475  Primary    SFR             360      353  25.28   6.25   1/1/2006   7/1/2006  12/1/2035   3,139.81   6/1/2006
148701592  Primary    SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036   3,940.59   6/1/2006
148702541  Primary    SFR             360      353  70.27  5.875   1/1/2006   7/1/2006  12/1/2035   2,511.56   6/1/2006
148704612  Primary    SFR             360      354     75  6.375   2/1/2006   7/1/2006   1/1/2036   2,231.25   6/1/2006
148717309  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   2,910.16   6/1/2006
148722622  Primary    SFR             360      353  68.67  6.375   1/1/2006   7/1/2006  12/1/2035   2,732.80   6/1/2006
148739071  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036   2,443.22   6/1/2006
148739287  Primary    SFR             360      353  72.36      6   1/1/2006   7/1/2006  12/1/2035   3,215.00   6/1/2006
148739543  Primary    Condo - Low     360      353  79.82  6.375   1/1/2006   7/1/2006  12/1/2035   2,374.69   6/1/2006
148740186  Primary    Condo - Low     360      353  69.12      6   1/1/2006   7/1/2006  12/1/2035   2,999.55   6/1/2006
148748619  Primary    SFR             360      353  79.88  5.875   1/1/2006   7/1/2006  12/1/2035   2,682.91   6/1/2006
148757487  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,469.79   6/1/2006
148758568  Primary    SFR             360      353  54.47  6.125   1/1/2006   8/1/2006  12/1/2035   3,570.15   7/1/2006
148781495  Primary    SFR             360      354  71.43   6.25   2/1/2006   7/1/2006   1/1/2036   5,208.07   6/1/2006
148787427  Primary    SFR             360      354  75.39      6   2/1/2006   7/1/2006   1/1/2036   5,000.00   6/1/2006
148788193  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   3,170.65   6/1/2006
148802549  Primary    Cooperative     360      355     80      6   3/1/2006   7/1/2006   2/1/2036   2,116.00   6/1/2006
148814478  Primary    SFR             360      353  65.45  6.625   1/1/2006   8/1/2006  12/1/2035   3,449.57   7/1/2006
148815087  Primary    SFR             360      353  79.32   6.25   1/1/2006   7/1/2006  12/1/2035   3,048.30   6/1/2006
148830763  Primary    SFR             360      353     75  6.125   1/1/2006   7/1/2006  12/1/2035   3,139.06   6/1/2006
148840457  Primary    SFR             360      353  35.16      6   1/1/2006   7/1/2006  12/1/2035   2,725.00   6/1/2006
148844103  Primary    SFR             360      353  46.24      6   1/1/2006   8/1/2006  12/1/2035   2,150.00   7/1/2006
148844384  Primary    SFR             360      353  57.32  5.875   1/1/2006   7/1/2006  12/1/2035   2,198.17   6/1/2006
148853542  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   3,001.25   6/1/2006
148854912  Primary    SFR             360      353  54.05      6   1/1/2006   7/1/2006  12/1/2035   5,000.00   6/1/2006
148868953  Primary    SFR             360      353     70  6.125   1/1/2006   7/1/2006  12/1/2035   5,032.64   6/1/2006
148870298  Primary    SFR             360      353     65  6.375   1/1/2006   7/1/2006  12/1/2035   4,834.38   6/1/2006
148878887  Primary    SFR             360      353  79.37  6.125   1/1/2006   8/1/2006  12/1/2035   5,102.74   7/1/2006
148885262  Primary    SFR             360      352  66.54  5.875  12/1/2005   7/1/2006  11/1/2035   4,234.90   6/1/2006
148890296  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036   2,583.30   7/1/2006
148890601  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,161.23   6/1/2006
148898372  Primary    SFR             360      353  74.29  6.375   1/1/2006   7/1/2006  12/1/2035   3,451.03   6/1/2006
148900301  Primary    SFR             360      354     70   6.25   2/1/2006   7/1/2006   1/1/2036   4,283.85   6/1/2006
148901465  Investor   SFR             360      353  79.92    6.5   1/1/2006   7/1/2006  12/1/2035   3,212.08   6/1/2006
148905862  Primary    SFR             360      353     70  6.375   1/1/2006   7/1/2006  12/1/2035   4,462.50   6/1/2006
148905938  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   3,840.05   6/1/2006
148931231  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,806.93   6/1/2006
148936297  Primary    SFR             360      353  52.12      6   1/1/2006   7/1/2006  12/1/2035   2,994.25   6/1/2006
148937865  Primary    SFR             360      354     75  6.625   2/1/2006   7/1/2006   1/1/2036   2,524.41   6/1/2006
148943228  Primary    SFR             360      353  49.21  6.375   1/1/2006   7/1/2006  12/1/2035   2,492.91   6/1/2006
148950223  Primary    SFR             360      353  48.22  6.375   1/1/2006   7/1/2006  12/1/2035   5,179.69   6/1/2006
148957095  Primary    SFR             360      353     80    6.5   1/1/2006   8/1/2006  12/1/2035   2,312.35   7/1/2006
148958986  Primary    SFR             360      353  79.01  6.375   1/1/2006   7/1/2006  12/1/2035   3,400.00   6/1/2006
148966161  Primary    SFR             360      354  78.84  6.125   2/1/2006   7/1/2006   1/1/2036   3,613.75   6/1/2006
148991334  Primary    SFR             360      353  71.54    6.5   1/1/2006   7/1/2006  12/1/2035   2,383.33   6/1/2006
148998495  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,729.32   6/1/2006
149008054  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036   2,964.18   6/1/2006
149011009  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   3,264.11   6/1/2006
149020075  Primary    Condo - Low     360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036   2,401.25   6/1/2006
149033292  Secondary  SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036   2,735.94   6/1/2006
149034126  Secondary  Condo - High    360      354  58.82    6.5   2/1/2006   8/1/2006   1/1/2036   5,368.92   7/1/2006
149034282  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036   2,320.00   6/1/2006
149043549  Primary    SFR             360      354     75  6.125   2/1/2006   7/1/2006   1/1/2036   2,143.75   6/1/2006
149043705  Primary    Condo - Low     360      353  78.31    6.5   1/1/2006   7/1/2006  12/1/2035   2,502.24   6/1/2006
149045072  Primary    SFR             360      353     75    6.5   1/1/2006   7/1/2006  12/1/2035   3,380.00   6/1/2006
149051674  Primary    SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035   2,361.03   6/1/2006
149055451  Primary    SFR             360      353     50  6.375   1/1/2006   7/1/2006  12/1/2035   3,585.94   6/1/2006
149056988  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036   3,285.54   6/1/2006
149060204  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   3,450.00   6/1/2006
149068264  Primary    SFR             360      353     70  6.375   1/1/2006   7/1/2006  12/1/2035   5,086.93   6/1/2006
149074494  Primary    SFR             360      354  56.91  6.375   2/1/2006   7/1/2006   1/1/2036   2,732.87   6/1/2006
149083842  Primary    SFR             360      353  78.79   6.25   1/1/2006   7/1/2006  12/1/2035   3,385.42   6/1/2006
149091449  Primary    SFR             360      354     70   6.25   2/1/2006   7/1/2006   1/1/2036   4,010.42   6/1/2006
149095861  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036   2,499.35   7/1/2006
149096315  Primary    SFR             360      354   63.4  6.375   2/1/2006   8/1/2006   1/1/2036   3,025.77   7/1/2006
149109225  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036   2,640.00   7/1/2006
149117913  Primary    SFR             360      354  75.19  6.125   2/1/2006   7/1/2006   1/1/2036   2,589.75   6/1/2006
149131567  Primary    SFR             360      354     80  6.625   2/1/2006   8/1/2006   1/1/2036   2,778.08   7/1/2006
149137754  Primary    SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035   3,206.67   6/1/2006
149150658  Primary    SFR             360      354  72.29    6.5   2/1/2006   7/1/2006   1/1/2036   3,792.41   6/1/2006
149153496  Secondary  Condo - Low     360      354     90      6   2/1/2006   8/1/2006   1/1/2036   3,060.00   7/1/2006
149159642  Primary    SFR             360      354  63.33    6.5   2/1/2006   7/1/2006   1/1/2036   4,116.67   6/1/2006
149168932  Primary    Condo - Low     360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036   2,594.59   6/1/2006
149184392  Primary    SFR             360      354   71.1  6.125   2/1/2006   7/1/2006   1/1/2036   2,637.44   6/1/2006
149210015  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035   2,307.42   7/1/2006
149221137  Primary    SFR             360      353  68.72   6.25   1/1/2006   7/1/2006  12/1/2035   3,078.13   6/1/2006
149221145  Primary    SFR             360      354     75    6.5   2/1/2006   7/1/2006   1/1/2036   3,371.42   6/1/2006
149224834  Primary    SFR             360      355     80  6.125   3/1/2006   7/1/2006   2/1/2036   2,551.63   6/1/2006
149225013  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,321.12   6/1/2006
149226284  Primary    2-Family        360      353  77.84    6.5   1/1/2006   7/1/2006  12/1/2035   3,520.83   6/1/2006
149245698  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036   2,465.00   6/1/2006
149249641  Primary    SFR             360      354  59.65  6.375   2/1/2006   7/1/2006   1/1/2036   2,725.06   6/1/2006
149256786  Primary    Condo - Low     360      354     90    6.5   2/1/2006  11/1/2006   1/1/2036   3,612.27  10/1/2006
149260002  Primary    Condo - Low     360      353     75  6.125   1/1/2006   7/1/2006  12/1/2035   2,854.73   6/1/2006
149261364  Primary    SFR             360      355  71.97  6.375   3/1/2006   7/1/2006   2/1/2036   2,523.44   6/1/2006
149271801  Primary    Condo - Low     360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036   2,635.42   7/1/2006
149273757  Primary    PUD Detached    360      353  60.61    6.5   1/1/2006   7/1/2006  12/1/2035   2,708.33   6/1/2006
149279739  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036   2,172.85   6/1/2006
149289621  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,252.08   6/1/2006
149291056  Secondary  Condo - Low     360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036   2,531.67   6/1/2006
149296147  Primary    Condo - Low     360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,245.83   6/1/2006
149306037  Primary    SFR             360      354  60.87   6.25   2/1/2006   7/1/2006   1/1/2036   3,643.23   6/1/2006
149365066  Primary    SFR             360      355  64.12  6.375   3/1/2006   7/1/2006   2/1/2036   2,605.78   6/1/2006
149370462  Primary    SFR             360      354  74.92  6.375   2/1/2006   7/1/2006   1/1/2036   2,427.80   6/1/2006
 46640215  Primary    SFR             360      348     80      6   8/1/2005   7/1/2006   7/1/2035   2,248.05   6/1/2006
 49408743  Primary    SFR             360      350  72.92      6  10/1/2005   7/1/2006   9/1/2035   2,100.00   6/1/2006
 50791557  Primary    SFR             360      347     70  5.875   7/1/2005   7/1/2006   6/1/2035   2,055.27   6/1/2006
 52120052  Investor   SFR             360      353  76.37  5.875   1/1/2006   7/1/2006  12/1/2035   2,737.26   6/1/2006
 53232096  Primary    SFR             360      348  73.23  5.875   8/1/2005   7/1/2006   7/1/2035   2,276.56   6/1/2006
 53466074  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035   2,706.17   6/1/2006
 53558573  Primary    SFR             360      348  57.08  5.875   8/1/2005   7/1/2006   7/1/2035   3,353.65   6/1/2006
 53701041  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035   2,753.91   6/1/2006
 54018155  Primary    SFR             360      347     75  5.875   7/1/2005   7/1/2006   6/1/2035   4,357.45   6/1/2006
 54205216  Primary    SFR             360      348     80      6   8/1/2005   7/1/2006   7/1/2035   2,600.00   6/1/2006
 54266093  Primary    SFR             360      348     80      6   8/1/2005   7/1/2006   7/1/2035   2,879.88   6/1/2006
 54301247  Primary    SFR             360      347     70  5.875   7/1/2005   8/1/2006   6/1/2035   3,769.65   7/1/2006
 54358031  Primary    SFR             360      348  53.67  5.875   8/1/2005   7/1/2006   7/1/2035   2,364.69   6/1/2006
 54407176  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   2,346.08   6/1/2006
 54421029  Primary    SFR             360      348  52.63  5.875   8/1/2005   7/1/2006   7/1/2035   4,895.83   6/1/2006
 54465349  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   2,268.91   6/1/2006
 54480793  Primary    SFR             360      348     80      6   8/1/2005   8/1/2006   7/1/2035   2,679.18   7/1/2006
 54570536  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035   2,287.33   6/1/2006
 54660352  Primary    SFR             360      347  78.87  5.875   7/1/2005   7/1/2006   6/1/2035   2,741.67   6/1/2006
 54777941  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,290.78   6/1/2006
 54906912  Primary    SFR             360      349  58.78  5.875   9/1/2005   7/1/2006   8/1/2035   2,129.69   6/1/2006
 54942792  Primary    SFR             360      348  79.65  5.875   8/1/2005   7/1/2006   7/1/2035   2,200.80   6/1/2006
 54984703  Primary    SFR             360      348     70      6   8/1/2005   7/1/2006   7/1/2035   2,975.00   6/1/2006
 56565807  Secondary  SFR             360      353  43.48  6.375   1/1/2006   7/1/2006  12/1/2035   5,312.50   6/1/2006
 56579535  Primary    SFR             360      350  61.97  5.875  10/1/2005   7/1/2006   9/1/2035   2,154.17   6/1/2006
 56690829  Primary    Condo - Low     360      349     70  5.875   9/1/2005   7/1/2006   8/1/2035   3,869.18   6/1/2006
 56692346  Primary    SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035   2,292.87   6/1/2006
 56800774  Primary    SFR             360      349  68.75  5.875   9/1/2005   7/1/2006   8/1/2035   2,692.03   6/1/2006
 56845761  Primary    SFR             360      349  52.56  5.875   9/1/2005   7/1/2006   8/1/2035   2,264.32   6/1/2006
 56860463  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  12,188.75   6/1/2006
 56986862  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,193.33   6/1/2006
 57021875  Primary    SFR             360      351     75      6  11/1/2005   7/1/2006  10/1/2035   2,791.67   6/1/2006
 57047797  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   2,840.00   6/1/2006
 57058141  Primary    Condo - Low     360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   3,667.53   6/1/2006
 57102345  Primary    SFR             360      350  62.07  5.875  10/1/2005   7/1/2006   9/1/2035   2,200.89   6/1/2006
 57233918  Primary    SFR             360      349  64.93  5.875   9/1/2005   7/1/2006   8/1/2035   4,768.54   6/1/2006
 57269961  Primary    Condo - High    360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   2,428.33   7/1/2006
 57355752  Primary    SFR             360      351  79.93  5.875  11/1/2005   7/1/2006  10/1/2035   2,286.40   6/1/2006
 57393217  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   3,043.25   6/1/2006
 57497828  Primary    SFR             360      350  51.67  5.875  10/1/2005   8/1/2006   9/1/2035   3,667.53   7/1/2006
 57549586  Primary    SFR             360      349     80  6.125   9/1/2005   7/1/2006   8/1/2035   4,491.67   6/1/2006
 57581795  Investor   Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   3,054.25   6/1/2006
 57860942  Primary    SFR             360      352  36.17      6  12/1/2005   7/1/2006  11/1/2035   8,680.00   6/1/2006
 57862161  Primary    SFR             360      350  65.94      6  10/1/2005   7/1/2006   9/1/2035   2,258.50   6/1/2006
 57867889  Primary    SFR             360      350  79.75  5.875  10/1/2005   7/1/2006   9/1/2035   3,182.29   6/1/2006
 57873622  Primary    SFR             360      350   78.8  5.875  10/1/2005   7/1/2006   9/1/2035   2,129.69   6/1/2006
 57943193  Primary    SFR             360      350  62.57      6  10/1/2005   7/1/2006   9/1/2035   2,875.00   6/1/2006
 58055781  Primary    SFR             360      350  59.71  5.875  10/1/2005   7/1/2006   9/1/2035   5,116.15   6/1/2006
 58107632  Primary    SFR             360      350   69.7  5.875  10/1/2005   7/1/2006   9/1/2035   2,815.10   6/1/2006
 58132853  Secondary  SFR             360      351  71.43  5.875  11/1/2005   8/1/2006  10/1/2035   9,791.67   7/1/2006
 58187576  Primary    SFR             360      350  63.35  5.875  10/1/2005   7/1/2006   9/1/2035   2,496.87   6/1/2006
 58226994  Primary    SFR             360      350     70  5.875  10/1/2005   7/1/2006   9/1/2035   3,392.81   6/1/2006
 58277724  Primary    SFR             360      350     75   6.25  10/1/2005   7/1/2006   9/1/2035   2,851.56   6/1/2006
 58301169  Primary    SFR             360      350  50.42  6.125  10/1/2005   7/1/2006   9/1/2035   3,088.02   6/1/2006
 58316506  Secondary  SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,878.75   6/1/2006
 58346875  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   2,200.19   7/1/2006
 58432295  Primary    SFR             360      355  68.75  5.875   3/1/2006   8/1/2006   2/1/2036   5,385.42   7/1/2006
 58449992  Primary    Condo - Low     360      351     70  5.875  11/1/2005   7/1/2006  10/1/2035     481.26   6/1/2006
 58475096  Primary    SFR             360      350  55.56  6.125  10/1/2005   7/1/2006   9/1/2035   5,104.17   6/1/2006
 58477514  Primary    SFR             360      351  88.85  6.375  11/1/2005   7/1/2006  10/1/2035   2,247.19   6/1/2006
 58488305  Primary    SFR             360      350     60      6  10/1/2005   7/1/2006   9/1/2035   2,100.00   6/1/2006
 58490129  Primary    SFR             360      350  59.27  5.875  10/1/2005   7/1/2006   9/1/2035   3,985.64   6/1/2006
 58509167  Primary    Condo - Low     360      352  75.63  5.875  12/1/2005   8/1/2006  11/1/2035   2,661.92   7/1/2006
 58524661  Primary    SFR             360      350  65.31  5.875  10/1/2005   7/1/2006   9/1/2035   2,661.92   6/1/2006
 58560178  Primary    SFR             360      350     70  5.875  10/1/2005   7/1/2006   9/1/2035   8,053.65   6/1/2006
 58572124  Primary    SFR             360      350  63.49  5.875  10/1/2005   7/1/2006   9/1/2035   4,895.79   6/1/2006
 58629593  Primary    SFR             360      350  64.35      6  10/1/2005   8/1/2006   9/1/2035   3,700.00   7/1/2006
 58642026  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,880.71   6/1/2006
 58662834  Primary    SFR             360      350  68.97  5.875  10/1/2005   7/1/2006   9/1/2035   4,895.83   6/1/2006
 58669706  Primary    SFR             360      351     60  5.875  11/1/2005   7/1/2006  10/1/2035   2,203.12   6/1/2006
 58672577  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,185.95   6/1/2006
 58678301  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,818.04   6/1/2006
 58699208  Secondary  Condo - High    360      350     70  5.875  10/1/2005   7/1/2006   9/1/2035   2,214.37   6/1/2006
 58726613  Secondary  SFR             360      350  79.81      6  10/1/2005   7/1/2006   9/1/2035   8,500.00   6/1/2006
 58777673  Primary    SFR             360      352  73.03  5.875  12/1/2005   7/1/2006  11/1/2035   3,845.00   6/1/2006
 58798497  Primary    Condo - Low     360      351  74.08  5.875  11/1/2005   8/1/2006  10/1/2035   2,357.34   7/1/2006
 58811332  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,593.30   6/1/2006
 58823543  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,387.62   6/1/2006
 58896085  Primary    SFR             360      351  73.48      6  11/1/2005   7/1/2006  10/1/2035   2,589.35   6/1/2006
 58896713  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   2,320.00   6/1/2006
 58936634  Primary    SFR             360      350     75  6.125  10/1/2005   7/1/2006   9/1/2035   2,775.39   6/1/2006
 58937194  Primary    SFR             360      350     75      6  10/1/2005   7/1/2006   9/1/2035   7,500.00   6/1/2006
 58972753  Secondary  SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,258.20   6/1/2006
 58974221  Primary    SFR             360      351  74.61      6  11/1/2005   7/1/2006  10/1/2035   2,572.07   6/1/2006
 58994138  Primary    SFR             360      351  79.47  5.875  11/1/2005   8/1/2006  10/1/2035   3,696.35   7/1/2006
 59005652  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   3,304.69   6/1/2006
 59013409  Primary    SFR             360      352  79.31  5.875  12/1/2005   7/1/2006  11/1/2035   2,249.14   6/1/2006
 59028324  Primary    SFR             360      353     60      6   1/1/2006   7/1/2006  12/1/2035  10,939.50   6/1/2006
 59030007  Primary    SFR             360      352  69.36      6  12/1/2005   7/1/2006  11/1/2035   2,999.70   6/1/2006
 59053561  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   6,266.67   6/1/2006
 59085761  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,573.25   6/1/2006
 59098582  Primary    Condo - Low     360      352  78.13  5.875  12/1/2005   7/1/2006  11/1/2035   3,059.90   6/1/2006
 59226522  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   4,566.42   6/1/2006
 59262162  Secondary  Condo - Low     360      351  42.07  5.875  11/1/2005   7/1/2006  10/1/2035   5,972.92   6/1/2006
 59280651  Primary    Condo - Low     360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   2,882.42   6/1/2006
 59292805  Primary    SFR             360      351  67.79  5.875  11/1/2005   8/1/2006  10/1/2035   2,467.31   7/1/2006
 59320556  Primary    SFR             360      351  67.59      6  11/1/2005   7/1/2006  10/1/2035   2,323.11   6/1/2006
 59339374  Primary    SFR             360      351  73.61      6  11/1/2005   7/1/2006  10/1/2035   2,981.25   6/1/2006
 59339911  Primary    SFR             360      353  68.04   6.25   1/1/2006   7/1/2006  12/1/2035   2,238.72   6/1/2006
 59368944  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   2,570.31   6/1/2006
 59405837  Primary    SFR             360      355     75  6.125   3/1/2006   7/1/2006   2/1/2036   2,565.20   6/1/2006
 59488338  Primary    SFR             360      352  71.43  5.875  12/1/2005   7/1/2006  11/1/2035  12,236.59   6/1/2006
 59551606  Primary    SFR             360      352  71.43  5.875  12/1/2005   7/1/2006  11/1/2035   2,447.92   6/1/2006
 59555649  Primary    SFR             360      352  76.61  5.875  12/1/2005   7/1/2006  11/1/2035   2,325.52   6/1/2006
 59575365  Primary    SFR             360      352     70      6  12/1/2005   7/1/2006  11/1/2035   2,397.05   6/1/2006
 59578997  Primary    SFR             360      353  71.53  5.875   1/1/2006   7/1/2006  12/1/2035   3,074.58   6/1/2006
 59636217  Primary    SFR             360      356     80      6   4/1/2006   7/1/2006   3/1/2036   4,927.10   6/1/2006
 59668319  Primary    Condo - Low     360      352     70  6.375  12/1/2005   7/1/2006  11/1/2035   4,090.63   6/1/2006
 59720789  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   6,664.93   6/1/2006
 59771907  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   2,478.51   6/1/2006
 59809103  Primary    SFR             360      351  68.75      6  11/1/2005   7/1/2006  10/1/2035   2,750.00   6/1/2006
 59826024  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,115.00   6/1/2006
 59833608  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   6,880.00   6/1/2006
 59930628  Primary    SFR             360      354  64.15  5.875   2/1/2006   7/1/2006   1/1/2036  12,511.66   6/1/2006
 59948836  Primary    SFR             360      354  79.96   6.25   2/1/2006   7/1/2006   1/1/2036   3,503.10   6/1/2006
 59969444  Primary    Condo - High    360      352  74.07      6  12/1/2005   7/1/2006  11/1/2035  10,000.00   6/1/2006
 59973784  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035   2,448.72   7/1/2006
 59979948  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,540.51   6/1/2006
 60013893  Primary    SFR             360      353  46.39  5.875   1/1/2006   7/1/2006  12/1/2035   2,195.78   6/1/2006
 60027828  Primary    SFR             360      352  67.25      6  12/1/2005   7/1/2006  11/1/2035   2,315.04   6/1/2006
 60053618  Primary    SFR             360      352  75.56  5.875  12/1/2005   7/1/2006  11/1/2035   6,658.33   6/1/2006
 60059433  Primary    SFR             360      352  74.86  5.875  12/1/2005   7/1/2006  11/1/2035   2,638.85   6/1/2006
 60109261  Primary    Condo - Low     360      352  79.31  5.875  12/1/2005   7/1/2006  11/1/2035   2,721.07   6/1/2006
 60126711  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   2,859.33   6/1/2006
 60150067  Primary    SFR             360      352     80  5.875  12/1/2005   9/1/2006  11/1/2035   6,854.17   8/1/2006
 60159654  Primary    SFR             360      355  65.57  5.875   3/1/2006   7/1/2006   2/1/2036   6,854.17   6/1/2006
 60175221  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,095.02   6/1/2006
 60246832  Primary    2-Family        360      354  68.37  5.875   2/1/2006   8/1/2006   1/1/2036   2,875.67   7/1/2006
 60284361  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035   3,460.00   6/1/2006
 60287794  Primary    Condo - Low     360      352  78.74  5.875  12/1/2005   7/1/2006  11/1/2035   2,447.92   6/1/2006
 60320504  Primary    SFR             360      352     70  6.125  12/1/2005   7/1/2006  11/1/2035   5,002.08   6/1/2006
 60332715  Primary    SFR             360      352   69.7  5.875  12/1/2005   7/1/2006  11/1/2035   2,398.96   6/1/2006
 60360088  Primary    SFR             360      352   61.5  5.875  12/1/2005   7/1/2006  11/1/2035   2,408.75   6/1/2006
 60368511  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,793.44   7/1/2006
 60368925  Primary    SFR             360      353     58  6.125   1/1/2006   7/1/2006  12/1/2035   2,664.38   6/1/2006
 60372844  Primary    SFR             360      353     80  5.875   1/1/2006   9/1/2006  12/1/2035   6,441.08   8/1/2006
 60376159  Primary    SFR             360      353  79.49  5.875   1/1/2006   7/1/2006  12/1/2035   4,863.96   6/1/2006
 60384773  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,409.17   6/1/2006
 60394426  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035   2,199.60   7/1/2006
 60409588  Primary    SFR             360      353  84.99  6.375   1/1/2006   7/1/2006  12/1/2035   2,592.50   6/1/2006
 60419322  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   7,500.00   6/1/2006
 60430808  Primary    SFR             360      353  67.69      6   1/1/2006   7/1/2006  12/1/2035   2,200.00   6/1/2006
 60451697  Primary    SFR             360      354   74.7    6.5   2/1/2006   7/1/2006   1/1/2036   3,352.92   6/1/2006
 60469244  Secondary  SFR             360      352  26.81      6  12/1/2005   7/1/2006  11/1/2035   2,225.00   6/1/2006
 60478864  Primary    SFR             360      353     75      6   1/1/2006   7/1/2006  12/1/2035   2,250.00   6/1/2006
 60479193  Secondary  SFR             360      353     70  5.875   1/1/2006   7/1/2006  12/1/2035   3,031.98   6/1/2006
 60483872  Primary    SFR             360      353   42.8  5.875   1/1/2006   7/1/2006  12/1/2035   4,870.16   6/1/2006
 60485042  Primary    SFR             360      353  79.67      6   1/1/2006   7/1/2006  12/1/2035   3,625.00   6/1/2006
 60493715  Primary    SFR             360      354  64.52  5.875   2/1/2006   7/1/2006   1/1/2036   2,447.92   6/1/2006
 60511367  Primary    SFR             360      354   77.6  6.125   2/1/2006   7/1/2006   1/1/2036   2,475.52   6/1/2006
 60514767  Primary    SFR             360      352     65  5.875  12/1/2005   7/1/2006  11/1/2035   2,227.60   6/1/2006
 60519824  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   4,270.23   6/1/2006
 60533908  Primary    SFR             360      353     70  5.875   1/1/2006   7/1/2006  12/1/2035   4,112.50   6/1/2006
 60546298  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   6,054.69   6/1/2006
 60564796  Primary    SFR             360      352     50  5.875  12/1/2005   7/1/2006  11/1/2035   2,937.50   6/1/2006
 60567005  Primary    SFR             360      353  72.67  6.375   1/1/2006   7/1/2006  12/1/2035   2,316.25   6/1/2006
 60603545  Primary    SFR             360      353  44.44      6   1/1/2006   7/1/2006  12/1/2035   5,000.00   6/1/2006
 60622958  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,490.83   6/1/2006
 60628179  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035   3,498.39   7/1/2006
 60632098  Primary    SFR             360      352  79.49   6.25  12/1/2005   7/1/2006  11/1/2035   2,421.74   6/1/2006
 60679867  Primary    SFR             360      353     75  6.125   1/1/2006   7/1/2006  12/1/2035   9,282.86   6/1/2006
 60682739  Primary    SFR             360      353   64.2  5.875   1/1/2006   7/1/2006  12/1/2035  11,830.76   6/1/2006
 60686979  Primary    SFR             360      354  78.43      6   2/1/2006   7/1/2006   1/1/2036   5,000.00   6/1/2006
 60689601  Secondary  SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035   3,281.10   7/1/2006
 60707346  Primary    SFR             360      354  67.86   6.25   2/1/2006   7/1/2006   1/1/2036   2,952.14   6/1/2006
 60714896  Primary    Condo - Low     360      354   79.8   6.25   2/1/2006   7/1/2006   1/1/2036   2,315.10   6/1/2006
 60717709  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   7,812.50   6/1/2006
 60770419  Primary    SFR             360      352  32.75      6  12/1/2005   7/1/2006  11/1/2035   3,275.00   6/1/2006
 60799723  Primary    SFR             360      353  71.08      6   1/1/2006   8/1/2006  12/1/2035   2,194.74   7/1/2006
 60809423  Primary    SFR             360      354  70.13  5.875   2/1/2006   7/1/2006   1/1/2036   6,609.37   6/1/2006
 60831104  Primary    SFR             360      353  72.96   6.25   1/1/2006   7/1/2006  12/1/2035   3,059.11   6/1/2006
 60838893  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036   7,760.00   6/1/2006
 60861572  Primary    SFR             360      353  74.29      6   1/1/2006   7/1/2006  12/1/2035   3,250.00   6/1/2006
 60881158  Primary    Condo - High    360      352     50  6.125  12/1/2005   8/1/2006  11/1/2035   1,786.41   7/1/2006
 60904604  Primary    SFR             360      354  73.06      6   2/1/2006   7/1/2006   1/1/2036   2,210.00   6/1/2006
 60933488  Primary    SFR             360      353  89.83  5.875   1/1/2006   7/1/2006  12/1/2035   2,163.96   6/1/2006
 60962495  Secondary  SFR             360      353     70  6.125   1/1/2006   7/1/2006  12/1/2035   2,347.92   6/1/2006
 60974003  Primary    SFR             360      354  78.29  6.125   2/1/2006   7/1/2006   1/1/2036   3,492.60   6/1/2006
 60976875  Primary    SFR             360      353     70  6.125   1/1/2006   7/1/2006  12/1/2035   8,950.16   6/1/2006
 60978921  Primary    SFR             360      355  69.91  6.125   3/1/2006   7/1/2006   2/1/2036   3,925.10   6/1/2006
 61010781  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   3,713.00   6/1/2006
 61015681  Primary    SFR             360      354     70  6.125   2/1/2006   7/1/2006   1/1/2036   3,839.95   6/1/2006
 61016796  Primary    SFR             360      354     68  5.875   2/1/2006   7/1/2006   1/1/2036   6,658.33   6/1/2006
 61019014  Primary    SFR             360      356     75  5.875   4/1/2006   7/1/2006   3/1/2036   6,903.12   6/1/2006
 61020301  Primary    SFR             360      356  64.99  5.875   4/1/2006   7/1/2006   3/1/2036   3,149.98   6/1/2006
 61020319  Primary    SFR             360      354  79.96   6.25   2/1/2006   8/1/2006   1/1/2036   4,414.58   7/1/2006
 61028817  Primary    SFR             360      353     65  6.375   1/1/2006   7/1/2006  12/1/2035   9,326.86   6/1/2006
 61040358  Primary    Condo - High    360      354     70  6.125   2/1/2006   7/1/2006   1/1/2036   6,967.19   6/1/2006
 61055521  Primary    SFR             360      354  74.07    6.5   2/1/2006   7/1/2006   1/1/2036   5,413.36   6/1/2006
 61079745  Primary    SFR             360      353     70    6.5   1/1/2006   7/1/2006  12/1/2035   3,602.08   6/1/2006
 61090858  Primary    Condo - Low     360      353  72.17  5.875   1/1/2006   7/1/2006  12/1/2035   2,932.36   6/1/2006
 61124079  Primary    SFR             360      354  76.27      6   2/1/2006   7/1/2006   1/1/2036   2,250.00   6/1/2006
 61140174  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,456.87   6/1/2006
 61140927  Primary    SFR             360      354  62.45      6   2/1/2006   7/1/2006   1/1/2036   2,541.98   6/1/2006
 61142063  Primary    Condo - Low     360      353  72.88   6.25   1/1/2006   7/1/2006  12/1/2035   6,927.08   6/1/2006
 61154241  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   3,100.00   6/1/2006
 61156824  Primary    SFR             360      353   61.8  6.125   1/1/2006   7/1/2006  12/1/2035   3,341.86   6/1/2006
 61163408  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036   3,213.59   7/1/2006
 61181376  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,344.09   6/1/2006
 61186888  Primary    SFR             360      354     75      6   2/1/2006   7/1/2006   1/1/2036   3,656.06   6/1/2006
 61186946  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   4,758.75   6/1/2006
 61194049  Primary    SFR             360      353  78.43  5.875   1/1/2006   7/1/2006  12/1/2035   8,866.56   6/1/2006
 61196077  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,291.67   6/1/2006
 61211264  Primary    SFR             360      354     70  6.375   2/1/2006   7/1/2006   1/1/2036   3,692.19   6/1/2006
 61218624  Secondary  SFR             360      354  79.98  6.125   2/1/2006   8/1/2006   1/1/2036   2,577.59   7/1/2006
 61242137  Primary    SFR             360      354  45.38   6.25   2/1/2006   7/1/2006   1/1/2036   3,072.92   6/1/2006
 61258539  Secondary  SFR             360      353     65      6   1/1/2006   7/1/2006  12/1/2035   8,612.50   6/1/2006
 61259164  Primary    SFR             360      353  69.33  5.875   1/1/2006   8/1/2006  12/1/2035   3,019.99   7/1/2006
 61264792  Secondary  Condo - Low     360      354  68.89  6.375   2/1/2006   7/1/2006   1/1/2036   3,293.75   6/1/2006
 61264933  Primary    SFR             360      355  78.44  5.875   3/1/2006   7/1/2006   2/1/2036   2,457.71   6/1/2006
 61279477  Primary    SFR             360      354  58.25      6   2/1/2006   7/1/2006   1/1/2036   3,000.00   6/1/2006
 61282612  Primary    SFR             360      356  74.26  5.875   4/1/2006   7/1/2006   3/1/2036   5,263.02   6/1/2006
 61297511  Primary    SFR             360      354     75   6.25   2/1/2006   7/1/2006   1/1/2036   3,378.91   6/1/2006
 61305611  Primary    SFR             360      353  75.18  6.375   1/1/2006   7/1/2006  12/1/2035   2,815.63   6/1/2006
 61321543  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036   2,401.12   6/1/2006
 61348108  Primary    SFR             360      354  68.15  6.375   2/1/2006   7/1/2006   1/1/2036   5,739.60   6/1/2006
 61370359  Primary    SFR             360      354  76.27  5.875   2/1/2006   7/1/2006   1/1/2036   4,406.25   6/1/2006
 61381554  Primary    Condo - Low     360      354     65      6   2/1/2006   7/1/2006   1/1/2036   2,340.00   6/1/2006
 61395117  Primary    SFR             360      355     70   6.25   3/1/2006   7/1/2006   2/1/2036   5,140.42   6/1/2006
 61396586  Secondary  Condo - High    360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   5,102.20   6/1/2006
 61405692  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,714.23   6/1/2006
 61413001  Primary    SFR             360      354  73.51  6.625   2/1/2006   7/1/2006   1/1/2036   5,438.02   6/1/2006
 61428629  Primary    SFR             360      354  71.98   6.25   2/1/2006   7/1/2006   1/1/2036   3,411.46   6/1/2006
 61500518  Primary    SFR             360      354  69.77  6.125   2/1/2006   7/1/2006   1/1/2036   2,296.88   6/1/2006
 61521134  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,360.00   6/1/2006
 61522595  Primary    SFR             360      354  61.26      6   2/1/2006   7/1/2006   1/1/2036   3,489.38   6/1/2006
 61533741  Primary    SFR             360      354  44.44  6.375   2/1/2006   7/1/2006   1/1/2036   6,367.03   6/1/2006
 61549028  Primary    SFR             360      354     75    6.5   2/1/2006   7/1/2006   1/1/2036   2,437.50   6/1/2006
 61551024  Secondary  Condo - High    360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036   3,036.71   6/1/2006
 61556353  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036   2,999.56   6/1/2006
 61575114  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   2,262.38   6/1/2006
 61580858  Primary    SFR             360      354  36.88   6.25   2/1/2006   7/1/2006   1/1/2036   4,591.11   6/1/2006
 61656039  Primary    SFR             360      354  41.08   6.25   2/1/2006   7/1/2006   1/1/2036   3,958.33   6/1/2006
 61665865  Primary    SFR             360      354  77.42  6.125   2/1/2006   7/1/2006   1/1/2036   2,450.00   6/1/2006
 61695581  Primary    SFR             360      354  46.18      6   2/1/2006   7/1/2006   1/1/2036   3,925.00   6/1/2006
 61705232  Primary    Condo - Low     360      355     80  6.125   3/1/2006   7/1/2006   2/1/2036   3,101.31   6/1/2006
 61707956  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036   2,287.43   6/1/2006
 61716577  Primary    SFR             360      355   52.5   6.25   3/1/2006   7/1/2006   2/1/2036   3,281.11   6/1/2006
 63901839  Secondary  Condo - High    360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036   2,270.83   6/1/2006
143015634  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,428.33   6/1/2006
143380574  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   3,442.75   6/1/2006
143505089  Primary    SFR             360      348     90      6   8/1/2005   7/1/2006   7/1/2035   3,755.59   6/1/2006
143615573  Primary    SFR             360      347  78.99      6   7/1/2005   7/1/2006   6/1/2035   4,700.00   6/1/2006
143896157  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   2,862.57   6/1/2006
143956795  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035   2,740.97   7/1/2006
143974327  Primary    SFR             360      349     90    6.5   9/1/2005   7/1/2006   8/1/2035   2,941.02   6/1/2006
143978047  Primary    Condo - Low     360      352     90  5.875  12/1/2005   7/1/2006  11/1/2035   3,321.55   6/1/2006
144142775  Primary    Condo - Low     360      347     80      6   7/1/2005   7/1/2006   6/1/2035   2,940.00   6/1/2006
144390101  Secondary  Condo - High    360      349  60.87  5.875   9/1/2005   7/1/2006   8/1/2035   6,854.17   6/1/2006
144414125  Primary    SFR             360      347     75  5.875   7/1/2005   8/1/2006   6/1/2035   2,864.06   7/1/2006
144552783  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   2,346.08   6/1/2006
144574522  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   2,252.08   6/1/2006
144602141  Primary    SFR             360      347  54.25      6   7/1/2005   7/1/2006   6/1/2035   2,566.08   6/1/2006
144608551  Secondary  SFR             360      348     64      6   8/1/2005   7/1/2006   7/1/2035   4,400.00   6/1/2006
144610789  Primary    SFR             360      347  60.73  5.875   7/1/2005   7/1/2006   6/1/2035   2,521.35   6/1/2006
144622552  Primary    SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035   3,561.72   6/1/2006
144623667  Primary    SFR             360      347  64.58  5.875   7/1/2005   7/1/2006   6/1/2035   2,722.08   6/1/2006
144624806  Primary    SFR             360      348  54.64  5.875   8/1/2005   7/1/2006   7/1/2035   2,676.12   6/1/2006
144630035  Primary    PUD Detached    360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   3,601.38   6/1/2006
144637725  Primary    SFR             360      350  64.39  5.875  10/1/2005   8/1/2006   9/1/2035   4,891.68   7/1/2006
144692969  Primary    SFR             360      353  64.23   6.25   1/1/2006   7/1/2006  12/1/2035   4,002.17   6/1/2006
144714755  Primary    SFR             360      347     90      6   7/1/2005   7/1/2006   6/1/2035   3,345.50   6/1/2006
144729613  Primary    SFR             360      347     75  5.875   7/1/2005   7/1/2006   6/1/2035   2,643.75   6/1/2006
144731957  Primary    SFR             360      348     70  5.875   8/1/2005   7/1/2006   7/1/2035   5,980.26   6/1/2006
144741642  Primary    SFR             360      347  73.23  5.875   7/1/2005   7/1/2006   6/1/2035   2,685.59   6/1/2006
144757184  Primary    SFR             360      347  71.33  5.875   7/1/2005   8/1/2006   6/1/2035   2,095.42   7/1/2006
144757978  Primary    SFR             360      349     80      6   9/1/2005   7/1/2006   8/1/2035   2,925.81   6/1/2006
144768298  Primary    SFR             360      348  74.49      6   8/1/2005   7/1/2006   7/1/2035   2,718.07   6/1/2006
144786951  Primary    SFR             360      347  66.63  5.875   7/1/2005   7/1/2006   6/1/2035   2,640.57   6/1/2006
144793148  Primary    SFR             360      348  77.38  5.875   8/1/2005   7/1/2006   7/1/2035   2,386.72   6/1/2006
144824299  Primary    SFR             360      348  53.72  5.875   8/1/2005   7/1/2006   7/1/2035   2,261.87   6/1/2006
144825502  Primary    SFR             360      348  71.24  5.875   8/1/2005   7/1/2006   7/1/2035   2,388.62   6/1/2006
144829017  Secondary  Condo - High    360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   3,035.42   6/1/2006
144852977  Primary    SFR             360      348  79.34  5.875   8/1/2005   7/1/2006   7/1/2035   2,816.08   6/1/2006
144854155  Primary    SFR             360      348  66.25  5.875   8/1/2005   7/1/2006   7/1/2035   2,594.79   6/1/2006
144865326  Primary    SFR             360      348   71.3  5.875   8/1/2005   7/1/2006   7/1/2035   2,408.75   6/1/2006
144865417  Primary    SFR             360      348  36.96  5.875   8/1/2005   7/1/2006   7/1/2035   2,080.73   6/1/2006
144865763  Primary    SFR             360      348  40.32  5.875   8/1/2005   7/1/2006   7/1/2035   2,447.92   6/1/2006
144876976  Primary    SFR             360      353  48.98      6   1/1/2006   7/1/2006  12/1/2035   2,985.00   6/1/2006
144902194  Primary    SFR             360      348  73.42  5.875   8/1/2005   8/1/2006   7/1/2035   3,161.16   7/1/2006
144923109  Primary    SFR             360      348     70  5.875   8/1/2005   7/1/2006   7/1/2035   2,484.64   6/1/2006
144925898  Primary    SFR             360      348  79.25  5.875   8/1/2005   7/1/2006   7/1/2035   2,056.25   6/1/2006
144954799  Primary    SFR             360      348  76.36  5.875   8/1/2005   7/1/2006   7/1/2035   2,056.25   6/1/2006
144962578  Primary    SFR             360      349  70.77  5.875   9/1/2005   7/1/2006   8/1/2035   2,251.53   6/1/2006
144987179  Primary    Condo - Low     360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   2,161.78   6/1/2006
145017893  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035   3,341.40   6/1/2006
145032488  Primary    SFR             360      352     90  5.875  12/1/2005   7/1/2006  11/1/2035   2,118.95   6/1/2006
145068904  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   3,425.37   6/1/2006
145119277  Primary    2-Family        360      349  62.17  5.875   9/1/2005   7/1/2006   8/1/2035   3,636.67   6/1/2006
145124988  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   3,800.65   6/1/2006
145234381  Primary    SFR             360      350  64.91  5.875  10/1/2005   7/1/2006   9/1/2035   4,528.65   6/1/2006
145274825  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035   2,898.06   6/1/2006
145304077  Primary    SFR             360      348  53.29  5.875   8/1/2005   7/1/2006   7/1/2035   3,624.95   6/1/2006
145342325  Primary    Condo - Low     360      350     80   6.25  10/1/2005   7/1/2006   9/1/2035   2,458.33   6/1/2006
145343166  Primary    SFR             360      349     80  5.875   9/1/2005   8/1/2006   8/1/2035   2,252.08   7/1/2006
145387874  Primary    SFR             360      348  89.52  5.875   8/1/2005   7/1/2006   7/1/2035   2,278.14   6/1/2006
145389136  Primary    SFR             360      349  70.48  5.875   9/1/2005   7/1/2006   8/1/2035   2,139.48   6/1/2006
145390787  Primary    SFR             360      350  57.39  5.875  10/1/2005   8/1/2006   9/1/2035   2,257.16   7/1/2006
145455754  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,562.90   6/1/2006
145487856  Primary    2-Family        360      353  77.22  5.875   1/1/2006   7/1/2006  12/1/2035   4,895.83   6/1/2006
145530135  Primary    Cooperative     360      353     80      6   1/1/2006   7/1/2006  12/1/2035   6,900.00   6/1/2006
145581195  Primary    SFR             360      349  78.25      6   9/1/2005   8/1/2006   8/1/2035   2,500.00   7/1/2006
145581914  Primary    SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035   2,691.48   6/1/2006
145593737  Primary    SFR             360      349     70  5.875   9/1/2005   7/1/2006   8/1/2035   4,043.96   6/1/2006
145611828  Primary    SFR             360      350     75      6  10/1/2005   7/1/2006   9/1/2035   2,400.00   6/1/2006
145624888  Primary    SFR             360      349     80      6   9/1/2005   8/1/2006   8/1/2035   3,059.35   7/1/2006
145638094  Primary    SFR             360      350  53.57  5.875  10/1/2005   7/1/2006   9/1/2035   2,915.82   6/1/2006
145641775  Primary    SFR             360      350     70  5.875  10/1/2005   7/1/2006   9/1/2035   2,279.01   6/1/2006
145657094  Secondary  Condo - High    360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,900.78   6/1/2006
  5483672  Primary    SFR             360      306   65.3  6.625   2/1/2002   8/1/2006   1/1/2032   3,763.11   7/1/2006
  8154800  Primary    SFR             360      288     80    7.5   8/1/2000   7/1/2006   7/1/2030   3,837.29   6/1/2006
 17272444  Primary    SFR             360      318  92.17      6   2/1/2003   7/1/2006   1/1/2033   5,000.00   6/1/2006
 18132159  Primary    SFR             360      319  34.87  5.875   3/1/2003   7/1/2006   2/1/2033   4,744.13   6/1/2006
 34393249  Primary    SFR             360      328  63.16  5.875  12/1/2003   8/1/2006  11/1/2033   1,468.02   7/1/2006
 34863191  Primary    SFR             360      329     80  5.875   1/1/2004   7/1/2006  12/1/2033   1,116.25   6/1/2006
 43497577  Primary    SFR             360      338     70  5.875  10/1/2004   7/1/2006   9/1/2034   2,877.33   6/1/2006
 44493757  Primary    Condo - High    360      336     80  5.875   8/1/2004   7/1/2006   7/1/2034   1,174.42   6/1/2006
 44764876  Primary    SFR             360      338  79.87  5.875  10/1/2004   7/1/2006   9/1/2034   2,228.58   6/1/2006
 44791218  Primary    SFR             360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034     859.71   6/1/2006
 45313491  Primary    SFR             360      338     80  5.875  10/1/2004   7/1/2006   9/1/2034   1,370.83   6/1/2006
 45321734  Primary    SFR             360      339     80  5.875  11/1/2004   7/1/2006  10/1/2034      747.9   6/1/2006
 45777489  Primary    SFR             360      338     80  5.875  10/1/2004   7/1/2006   9/1/2034   1,133.94   6/1/2006
 46025037  Primary    SFR             360      338     80  5.875  10/1/2004   7/1/2006   9/1/2034   1,523.58   6/1/2006
 51426922  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   1,621.99   7/1/2006
 51442069  Primary    SFR             360      346     90  5.875   6/1/2005   7/1/2006   5/1/2035   1,894.69   6/1/2006
 51500015  Primary    Condo - Low     360      345  74.19  5.875   5/1/2005   7/1/2006   4/1/2035     556.95   6/1/2006
 51600351  Primary    SFR             360      346  78.13  5.875   6/1/2005   7/1/2006   5/1/2035   1,052.60   6/1/2006
 52119005  Secondary  Condo - Low     360      345     95  5.875   5/1/2005   8/1/2006   4/1/2035      665.1   7/1/2006
 52793981  Primary    SFR             360      345  79.88  5.875   5/1/2005   7/1/2006   4/1/2035   1,235.78   6/1/2006
 53032066  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035     864.88   7/1/2006
 53087664  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,605.83   6/1/2006
 53137477  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035      834.2   6/1/2006
 53188322  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   3,407.50   6/1/2006
 53216669  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,325.79   6/1/2006
 53224945  Primary    SFR             360      346  79.17  5.875   6/1/2005   8/1/2006   5/1/2035     930.21   7/1/2006
 53251773  Secondary  SFR             360      347    100  5.875   7/1/2005   8/1/2006   6/1/2035   1,302.29   7/1/2006
 53444071  Primary    SFR             360      348  79.37  5.875   8/1/2005   7/1/2006   7/1/2035   2,957.69   6/1/2006
 53537056  Secondary  Condo - Low     360      347     90  5.875   7/1/2005   7/1/2006   6/1/2035      660.5   6/1/2006
 53749552  Primary    Condo - Low     360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   1,432.44   7/1/2006
 54661228  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     992.76   6/1/2006
 54741061  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     532.47   6/1/2006
 56861552  Investor   Condo - Low     360      351     90  6.125  11/1/2005   7/1/2006  10/1/2035     712.03   6/1/2006
 57392193  Primary    Condo - High    360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,723.33   6/1/2006
 57690018  Primary    SFR             360      351  78.08  5.875  11/1/2005   7/1/2006  10/1/2035   1,395.31   6/1/2006
 57697559  Investor   SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     584.21   6/1/2006
 57735698  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,703.36   6/1/2006
 57815649  Primary    SFR             360      350     95  5.875  10/1/2005   7/1/2006   9/1/2035   2,922.20   6/1/2006
 57823932  Secondary  SFR             360      349  67.56  5.875   9/1/2005   7/1/2006   8/1/2035     677.94   6/1/2006
 57875114  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,349.61   6/1/2006
 57933244  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,116.25   6/1/2006
 58261157  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035     802.82   7/1/2006
 58353871  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,191.11   7/1/2006
 58440785  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,386.46   6/1/2006
 58547159  Investor   Condo - High    360      350  62.44  6.125  10/1/2005   7/1/2006   9/1/2035   1,137.77   6/1/2006
 58729682  Investor   Condo - Low     360      351  89.85  6.875  11/1/2005   7/1/2006  10/1/2035   1,210.77   6/1/2006
 58925686  Secondary  Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     651.32   6/1/2006
 59063792  Primary    Condo - High    360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     900.83   6/1/2006
 59390484  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,373.40   6/1/2006
 59425355  Secondary  Condo - Low     360      353     95  5.875   1/1/2006   8/1/2006  12/1/2035      437.2   7/1/2006
 59489963  Secondary  SFR             360      351  47.69  6.125  11/1/2005   8/1/2006  10/1/2035   3,164.58   7/1/2006
 59517391  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     826.42   6/1/2006
 59527382  Secondary  SFR             360      352     70  5.875  12/1/2005   8/1/2006  11/1/2035   1,706.03   7/1/2006
 59804393  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   2,069.10   6/1/2006
 59820654  Investor   Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   1,072.16   6/1/2006
 59933424  Primary    Condo - Low     360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035     850.68   6/1/2006
 60181781  Investor   Condo - Low     360      352     80   6.75  12/1/2005   7/1/2006  11/1/2035        297   6/1/2006
 60206869  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036     914.23   7/1/2006
 60267127  Primary    SFR             360      352  94.68  6.125  12/1/2005   7/1/2006  11/1/2035     799.62   6/1/2006
 60326741  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,143.75   6/1/2006
 60353851  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,030.74   6/1/2006
 60364486  Investor   SFR             360      352     70      6  12/1/2005   7/1/2006  11/1/2035   3,272.50   6/1/2006
 60395407  Investor   SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     734.37   6/1/2006
 60402344  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,143.69   6/1/2006
 60504297  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,150.25   6/1/2006
 60541711  Investor   SFR             360      355   65.7  6.125   3/1/2006   8/1/2006   2/1/2036   2,883.85   7/1/2006
 60733441  Investor   Condo - Low     360      354     90   6.75   2/1/2006   7/1/2006   1/1/2036     693.06   6/1/2006
 60738465  Primary    SFR             360      353  55.13  5.875   1/1/2006   8/1/2006  12/1/2035   2,447.92   7/1/2006
 60799053  Primary    SFR             360      354  36.47      6   2/1/2006   7/1/2006   1/1/2036   1,989.61   6/1/2006
 60829678  Primary    SFR             360      353     95  5.875   1/1/2006   7/1/2006  12/1/2035   1,066.69   6/1/2006
 61260113  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,660.78   6/1/2006
 61279055  Primary    SFR             360      357  79.42  6.125   5/1/2006   7/1/2006   4/1/2036   2,807.29   6/1/2006
 61379533  Primary    Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     812.68   7/1/2006
 61388609  Investor   Condo - High    360      356  44.29   6.75   4/1/2006   8/1/2006   3/1/2036      697.5   7/1/2006
131929382  Primary    SFR             360      326     95  5.875  10/1/2003   7/1/2006   9/1/2033      337.2   6/1/2006
132015934  Primary    2-Family        360      327  45.67  5.875  11/1/2003   7/1/2006  10/1/2033   1,497.76   6/1/2006
132351842  Primary    SFR             360      327  78.24  5.875  11/1/2003   7/1/2006  10/1/2033   1,627.47   6/1/2006
132420811  Primary    SFR             360      327     75  5.875  11/1/2003   7/1/2006  10/1/2033   2,196.09   6/1/2006
132510231  Primary    SFR             360      327  56.89  5.875  11/1/2003   7/1/2006  10/1/2033   1,677.86   6/1/2006
138320452  Primary    SFR             360      337  48.75  5.875   9/1/2004   7/1/2006   8/1/2034   1,153.50   6/1/2006
138481767  Primary    SFR             360      336     80  5.875   8/1/2004   7/1/2006   7/1/2034   3,015.83   6/1/2006
138611728  Primary    SFR             360      337  74.27      6   9/1/2004   7/1/2006   8/1/2034   2,518.12   6/1/2006
138659974  Primary    SFR             360      336  69.23      6   8/1/2004   7/1/2006   7/1/2034   2,250.00   6/1/2006
138811286  Secondary  SFR             360      338     95  5.875  10/1/2004   8/1/2006   9/1/2034     771.42   7/1/2006
138830005  Primary    SFR             360      338     80  5.875  10/1/2004   8/1/2006   9/1/2034   2,957.08   7/1/2006
138849252  Primary    SFR             360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034     998.26   6/1/2006
138951454  Primary    Cooperative     360      341     90  5.875   1/1/2005   7/1/2006  12/1/2034     309.48   6/1/2006
139137327  Primary    SFR             360      337     90  5.875   9/1/2004   7/1/2006   8/1/2034   1,564.22   6/1/2006
141737841  Primary    Condo - Low     360      347  84.04  6.125   7/1/2005   7/1/2006   6/1/2035   2,562.82   6/1/2006
141885327  Primary    Cooperative     360      345     95  5.875   5/1/2005   7/1/2006   4/1/2035      465.1   6/1/2006
142128909  Primary    SFR             360      345     95      6   5/1/2005   7/1/2006   4/1/2035   2,677.00   6/1/2006
142302082  Primary    SFR             360      344     95  5.875   4/1/2005   7/1/2006   3/1/2035   1,069.27   6/1/2006
142401025  Primary    SFR             360      345     70  5.875   5/1/2005   7/1/2006   4/1/2035   4,454.12   6/1/2006
142705177  Primary    SFR             360      344     80  5.875   4/1/2005   7/1/2006   3/1/2035     665.83   6/1/2006
142905215  Primary    SFR             360      345  75.44      6   5/1/2005   7/1/2006   4/1/2035   2,578.07   6/1/2006
142945716  Primary    SFR             360      346  56.54  5.875   6/1/2005   7/1/2006   5/1/2035   1,591.15   6/1/2006
143003184  Primary    SFR             360      345  74.92  5.875   5/1/2005   7/1/2006   4/1/2035   2,232.97   6/1/2006
143064574  Primary    SFR             360      345     70  5.875   5/1/2005   7/1/2006   4/1/2035   2,484.64   6/1/2006
143108322  Primary    SFR             360      346     75  6.125   6/1/2005   7/1/2006   5/1/2035   2,181.47   6/1/2006
143170215  Secondary  SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,312.08   6/1/2006
143183952  Primary    SFR             360      345     80  5.875   5/1/2005   8/1/2006   4/1/2035     699.12   7/1/2006
143205581  Primary    SFR             360      345  57.93  5.875   5/1/2005   8/1/2006   4/1/2035   2,055.75   7/1/2006
143225316  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035     581.58   7/1/2006
143301976  Primary    SFR             360      345  78.87  5.875   5/1/2005   8/1/2006   4/1/2035   1,370.83   7/1/2006
143311637  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035   2,709.97   6/1/2006
143384667  Primary    SFR             360      348  46.67  5.875   8/1/2005   7/1/2006   7/1/2035     616.87   6/1/2006
143400687  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035   2,400.00   6/1/2006
143410058  Primary    Condo - Low     360      354  79.14  5.875   2/1/2006   7/1/2006   1/1/2036   2,172.13   6/1/2006
143414506  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   1,090.79   7/1/2006
143428399  Secondary  SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,569.82   6/1/2006
143430304  Secondary  SFR             360      346     75      6   6/1/2005   8/1/2006   5/1/2035   4,735.20   7/1/2006
143456713  Primary    SFR             360      346  79.02  5.875   6/1/2005   7/1/2006   5/1/2035   1,581.59   6/1/2006
143520856  Primary    SFR             360      346     70  5.875   6/1/2005   7/1/2006   5/1/2035   4,451.33   6/1/2006
143578367  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,565.42   6/1/2006
143581791  Primary    SFR             360      346  73.52  5.875   6/1/2005   8/1/2006   5/1/2035   1,505.85   7/1/2006
143584944  Primary    SFR             360      346     70  5.875   6/1/2005   7/1/2006   5/1/2035   3,427.08   6/1/2006
143594117  Primary    SFR             360      346  48.28  5.875   6/1/2005   7/1/2006   5/1/2035   1,760.79   6/1/2006
143597151  Primary    SFR             360      346     50      6   6/1/2005   7/1/2006   5/1/2035   2,500.00   6/1/2006
143612398  Primary    SFR             360      346  74.58  5.875   6/1/2005   7/1/2006   5/1/2035   1,077.08   6/1/2006
143678076  Primary    Condo - Low     360      346     70  5.875   6/1/2005   8/1/2006   5/1/2035   2,227.60   7/1/2006
143712016  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035   2,938.77   6/1/2006
143731651  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   1,409.80   7/1/2006
143744605  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,210.25   6/1/2006
143764504  Primary    SFR             360      346  72.41  6.125   6/1/2005   8/1/2006   5/1/2035   3,189.96   7/1/2006
143807931  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035     881.25   6/1/2006
143820603  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035   4,788.72   6/1/2006
143854925  Primary    SFR             360      352  73.41  5.875  12/1/2005   8/1/2006  11/1/2035   2,264.32   7/1/2006
143869311  Primary    SFR             360      346     75  5.875   6/1/2005   7/1/2006   5/1/2035   7,763.94   6/1/2006
143869758  Primary    SFR             360      347     75  5.875   7/1/2005   8/1/2006   6/1/2035   1,374.70   7/1/2006
143869857  Primary    SFR             360      346  62.46  5.875   6/1/2005   7/1/2006   5/1/2035   2,565.42   6/1/2006
143892768  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,390.02   6/1/2006
143908374  Primary    SFR             360      346     75  5.875   6/1/2005   7/1/2006   5/1/2035   2,385.36   6/1/2006
143954675  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,762.50   6/1/2006
143955581  Primary    SFR             360      346  62.16  5.875   6/1/2005   7/1/2006   5/1/2035   1,540.96   6/1/2006
143959682  Primary    SFR             360      346     80  6.125   6/1/2005   7/1/2006   5/1/2035   3,082.11   6/1/2006
143964237  Primary    SFR             360      346  69.46  5.875   6/1/2005   7/1/2006   5/1/2035   1,904.48   6/1/2006
143966224  Primary    SFR             360      347  76.47  5.875   7/1/2005   8/1/2006   6/1/2035   1,786.39   7/1/2006
143979482  Primary    2-Family        360      346     95  5.875   6/1/2005   8/1/2006   5/1/2035   1,590.66   7/1/2006
143981637  Primary    SFR             360      346  49.38  5.875   6/1/2005   7/1/2006   5/1/2035   1,958.33   6/1/2006
143989879  Primary    SFR             360      347  76.39  5.875   7/1/2005   7/1/2006   6/1/2035   1,346.02   6/1/2006
144000858  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035   1,026.17   7/1/2006
144018066  Primary    SFR             360      346  66.34  5.875   6/1/2005   7/1/2006   5/1/2035   2,007.29   6/1/2006
144020831  Primary    SFR             360      346  74.42  5.875   6/1/2005   7/1/2006   5/1/2035   3,133.33   6/1/2006
144035425  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,574.99   6/1/2006
144047305  Primary    SFR             360      347  74.92  5.875   7/1/2005   7/1/2006   6/1/2035   3,035.42   6/1/2006
144050382  Secondary  Condo - Low     360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,447.92   6/1/2006
144075306  Primary    SFR             360      347  48.48  5.875   7/1/2005   7/1/2006   6/1/2035   1,566.67   6/1/2006
144100591  Primary    SFR             360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035   1,558.10   6/1/2006
144126836  Primary    SFR             360      347  87.98  5.875   7/1/2005   7/1/2006   6/1/2035   1,467.68   6/1/2006
144191947  Primary    SFR             360      347  79.89  5.875   7/1/2005   7/1/2006   6/1/2035     698.54   6/1/2006
144260098  Primary    SFR             360      348  77.08  5.875   8/1/2005   7/1/2006   7/1/2035   1,811.46   6/1/2006
144321213  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   2,056.25   6/1/2006
144346301  Primary    SFR             360      347  77.07  5.875   7/1/2005   8/1/2006   6/1/2035   1,184.79   7/1/2006
144355328  Primary    Condo - Low     360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035      869.5   6/1/2006
144402963  Primary    SFR             360      347  70.59  5.875   7/1/2005   7/1/2006   6/1/2035   2,839.39   6/1/2006
144412954  Primary    Condo - Low     360      347   76.6  5.875   7/1/2005   7/1/2006   6/1/2035   1,856.50   6/1/2006
145166948  Secondary  SFR             360      348     95  5.875   8/1/2005   8/1/2006   7/1/2035     758.12   7/1/2006
145778999  Primary    SFR             360      349   66.3      6   9/1/2005   7/1/2006   8/1/2035   3,019.81   6/1/2006
145779211  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,447.92   6/1/2006
146048384  Investor   SFR             360      352  77.32  5.875  12/1/2005   7/1/2006  11/1/2035   1,835.31   6/1/2006
146065446  Primary    Condo - High    360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,044.47   6/1/2006
146143516  Primary    SFR             360      349  79.99  5.875   9/1/2005   7/1/2006   8/1/2035   2,031.21   6/1/2006
146170048  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035     934.13   6/1/2006
146241963  Secondary  SFR             360      349  78.41  5.875   9/1/2005   7/1/2006   8/1/2035   2,418.05   6/1/2006
146278619  Primary    SFR             360      352  79.99  5.875  12/1/2005   7/1/2006  11/1/2035   1,055.11   6/1/2006
146378583  Primary    SFR             360      349  79.99  5.875   9/1/2005   9/1/2006   8/1/2035   1,551.00   8/1/2006
146392931  Primary    SFR             360      352     95      6  12/1/2005   7/1/2006  11/1/2035   2,551.69   6/1/2006
146431911  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,617.39   6/1/2006
146442603  Primary    SFR             360      350  58.33  5.875  10/1/2005   8/1/2006   9/1/2035   1,028.13   7/1/2006
146452404  Primary    Condo - Low     360      350  59.86  5.875  10/1/2005   7/1/2006   9/1/2035   2,153.49   6/1/2006
146481767  Primary    SFR             360      350  67.59  5.875  10/1/2005   7/1/2006   9/1/2035   2,878.75   6/1/2006
146483193  Primary    SFR             360      351  79.82  5.875  11/1/2005   7/1/2006  10/1/2035   3,890.59   6/1/2006
146545736  Primary    SFR             360      350  63.26  6.125  10/1/2005   7/1/2006   9/1/2035   2,276.46   6/1/2006
146558853  Primary    Condo - Low     360      350  59.31  5.875  10/1/2005   7/1/2006   9/1/2035   2,105.21   6/1/2006
146578448  Secondary  SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,653.54   6/1/2006
146647995  Primary    SFR             360      350     95  5.875  10/1/2005   8/1/2006   9/1/2035     934.12   7/1/2006
146740485  Primary    Condo - Low     360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035     464.08   7/1/2006
146749809  Primary    SFR             360      350  71.95  5.875  10/1/2005   7/1/2006   9/1/2035   2,888.54   6/1/2006
146784616  Primary    SFR             360      351  71.48  5.875  11/1/2005   7/1/2006  10/1/2035   2,012.03   6/1/2006
146786637  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,120.17   6/1/2006
146805668  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,289.34   6/1/2006
146805882  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035     925.88   7/1/2006
146814959  Investor   SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     527.98   6/1/2006
146815238  Secondary  SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,958.33   6/1/2006
146816384  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,307.98   6/1/2006
146840293  Primary    Condo - Low     360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035      222.2   7/1/2006
146862388  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,252.08   6/1/2006
146890025  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   2,488.42   7/1/2006
146948609  Primary    SFR             360      350  76.49  5.875  10/1/2005   8/1/2006   9/1/2035   1,815.66   7/1/2006
146954888  Primary    SFR             360      350     75  5.875  10/1/2005   8/1/2006   9/1/2035   1,303.52   7/1/2006
146969282  Primary    SFR             360      350  61.54  5.875  10/1/2005   7/1/2006   9/1/2035   1,954.91   6/1/2006
147034722  Primary    SFR             360      351  74.41      6  11/1/2005   7/1/2006  10/1/2035   2,530.00   6/1/2006
147105514  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,078.02   6/1/2006
147173264  Primary    SFR             360      351     50  5.875  11/1/2005   7/1/2006  10/1/2035   4,895.11   6/1/2006
147187561  Primary    SFR             360      352  79.98  5.875  12/1/2005   7/1/2006  11/1/2035   3,696.35   6/1/2006
147189294  Primary    SFR             360      351     90   6.25  11/1/2005   7/1/2006  10/1/2035   2,495.05   6/1/2006
147212237  Secondary  SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     947.83   6/1/2006
147255061  Primary    SFR             360      351  79.52  6.125  11/1/2005   7/1/2006  10/1/2035   2,543.63   6/1/2006
147287189  Primary    SFR             360      351  67.27      6  11/1/2005   7/1/2006  10/1/2035   3,700.00   6/1/2006
147434658  Primary    SFR             360      351  79.71  5.875  11/1/2005   7/1/2006  10/1/2035   2,133.45   6/1/2006
147472443  Primary    SFR             360      352  74.36  5.875  12/1/2005   7/1/2006  11/1/2035   3,549.48   6/1/2006
147482053  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,310.79   6/1/2006
147716757  Primary    SFR             360      352  79.49      6  12/1/2005   7/1/2006  11/1/2035   2,675.00   6/1/2006
147763213  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,566.67   6/1/2006
147779565  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   6,168.75   6/1/2006
147783385  Primary    SFR             360      352  74.63  5.875  12/1/2005   8/1/2006  11/1/2035   2,447.92   7/1/2006
147795363  Primary    SFR             360      352  69.97  5.875  12/1/2005   8/1/2006  11/1/2035   2,692.05   7/1/2006
147808497  Primary    SFR             360      352  79.43  5.875  12/1/2005   7/1/2006  11/1/2035   1,096.67   6/1/2006
147821672  Investor   PUD Detached    360      349  79.21  5.875   9/1/2005   7/1/2006   8/1/2035   1,958.33   6/1/2006
147883128  Investor   SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035     485.24   7/1/2006
147888945  Primary    SFR             360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035     813.93   6/1/2006
147911598  Primary    SFR             360      353  78.48  6.125   1/1/2006   7/1/2006  12/1/2035   3,023.45   6/1/2006
147925887  Primary    Condo - High    360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   2,839.58   7/1/2006
147926711  Primary    SFR             360      352     65  5.875  12/1/2005   7/1/2006  11/1/2035   1,272.92   6/1/2006
147930051  Primary    SFR             360      352  68.66  5.875  12/1/2005   7/1/2006  11/1/2035   1,855.33   6/1/2006
147930812  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,534.05   6/1/2006
147931398  Primary    SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035   2,998.42   6/1/2006
147943641  Primary    SFR             360      352  79.75  5.875  12/1/2005   8/1/2006  11/1/2035   1,233.45   7/1/2006
147961775  Primary    SFR             360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035   3,250.89   6/1/2006
147968325  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,327.51   6/1/2006
147970354  Primary    Condo - Low     360      352     80      6  12/1/2005   8/1/2006  11/1/2035   2,795.93   7/1/2006
148011869  Primary    SFR             360      352  73.53  5.875  12/1/2005   8/1/2006  11/1/2035   3,327.40   7/1/2006
148014855  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,957.80   7/1/2006
148015803  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   3,209.61   7/1/2006
148022908  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,780.84   6/1/2006
148029416  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   3,260.26   6/1/2006
148097439  Primary    SFR             360      354  58.95  5.875   2/1/2006   7/1/2006   1/1/2036   2,722.92   6/1/2006
148101132  Primary    SFR             360      351  79.99  5.875  11/1/2005   7/1/2006  10/1/2035   2,631.51   6/1/2006
148124332  Primary    SFR             360      353  62.84  6.125   1/1/2006   7/1/2006  12/1/2035   2,934.90   6/1/2006
148130164  Primary    SFR             360      352     80  5.875  12/1/2005   9/1/2006  11/1/2035   4,014.58   8/1/2006
148153117  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     712.83   6/1/2006
148174766  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,160.00   6/1/2006
148177603  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,742.92   6/1/2006
148183494  Primary    Condo - Low     360      354  88.77  5.875   2/1/2006   7/1/2006   1/1/2036   1,412.45   6/1/2006
148196736  Primary    SFR             360      354  92.39  5.875   2/1/2006   7/1/2006   1/1/2036   2,080.73   6/1/2006
148212137  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,578.42   6/1/2006
148228059  Primary    SFR             360      353  54.82  5.875   1/1/2006   7/1/2006  12/1/2035   2,281.46   6/1/2006
148246671  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,321.69   6/1/2006
148256258  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,637.17   6/1/2006
148283112  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035   2,348.00   7/1/2006
148293996  Primary    SFR             360      352  69.72  5.875  12/1/2005   7/1/2006  11/1/2035   4,318.12   6/1/2006
148294226  Primary    SFR             360      353  75.52  5.875   1/1/2006   8/1/2006  12/1/2035   2,141.41   7/1/2006
148300353  Primary    SFR             360      353   72.1  6.125   1/1/2006   7/1/2006  12/1/2035   2,281.47   6/1/2006
148305899  Investor   SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   2,949.76   6/1/2006
148324437  Primary    SFR             360      352  53.95      6  12/1/2005   7/1/2006  11/1/2035   2,890.40   6/1/2006
148328933  Primary    SFR             360      353  54.05  6.125   1/1/2006   7/1/2006  12/1/2035   5,104.16   6/1/2006
148340532  Secondary  SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,563.31   6/1/2006
148360381  Primary    SFR             360      353  41.67  6.125   1/1/2006   7/1/2006  12/1/2035   3,725.94   6/1/2006
148398787  Primary    SFR             360      352  69.97   6.25  12/1/2005   7/1/2006  11/1/2035   2,500.00   6/1/2006
148399496  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   2,287.50   6/1/2006
148420078  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,501.77   6/1/2006
148454838  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036   1,067.00   7/1/2006
148468622  Primary    Condo - Low     360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   2,627.44   7/1/2006
148471378  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,162.00   7/1/2006
148477201  Investor   4-Family        360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   1,812.50   6/1/2006
148484124  Primary    SFR             360      352  65.47  5.875  12/1/2005   7/1/2006  11/1/2035   2,401.95   6/1/2006
148484322  Primary    SFR             360      353  78.07  5.875   1/1/2006   7/1/2006  12/1/2035   2,301.04   6/1/2006
148489008  Investor   SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035     455.21   6/1/2006
148490667  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   3,319.50   6/1/2006
148493992  Primary    SFR             360      353  72.29      6   1/1/2006   7/1/2006  12/1/2035   2,132.50   6/1/2006
148495567  Primary    SFR             360      353  49.38   6.25   1/1/2006   7/1/2006  12/1/2035   6,937.49   6/1/2006
148497555  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,565.42   7/1/2006
148506652  Primary    SFR             360      353   63.6  5.875   1/1/2006   7/1/2006  12/1/2035   1,946.09   6/1/2006
148523103  Primary    SFR             360      353  74.63      6   1/1/2006   8/1/2006  12/1/2035   2,500.00   7/1/2006
148539836  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,448.00   6/1/2006
148555501  Primary    Condo - Low     360      353     75  5.875   1/1/2006   8/1/2006  12/1/2035   2,515.23   7/1/2006
148559545  Primary    SFR             360      353  79.99  6.125   1/1/2006   7/1/2006  12/1/2035   3,248.40   6/1/2006
148564073  Primary    SFR             360      353  71.41  5.875   1/1/2006   7/1/2006  12/1/2035   2,813.71   6/1/2006
148564438  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,349.51   7/1/2006
148584212  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     927.76   6/1/2006
148585672  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,663.33   6/1/2006
148589062  Primary    PUD Detached    360      353  61.11   6.25   1/1/2006   7/1/2006  12/1/2035   2,864.58   6/1/2006
148589328  Secondary  Condo - High    360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   3,062.50   6/1/2006
148608383  Primary    SFR             360      352   78.3      6  12/1/2005   7/1/2006  11/1/2035   2,094.50   6/1/2006
148617954  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   1,280.00   7/1/2006
148618507  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,277.00   6/1/2006
148619315  Primary    SFR             360      355   68.6  5.875   3/1/2006   7/1/2006   2/1/2036   2,031.77   6/1/2006
148621519  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,313.77   6/1/2006
148626187  Primary    SFR             360      353  79.94  5.875   1/1/2006   7/1/2006  12/1/2035   2,312.80   6/1/2006
148647076  Secondary  SFR             360      354  72.15  6.125   2/1/2006   7/1/2006   1/1/2036   2,717.97   6/1/2006
148657414  Primary    SFR             360      353  54.05  5.875   1/1/2006   7/1/2006  12/1/2035   2,447.66   6/1/2006
148658321  Primary    SFR             360      353  48.78   6.25   1/1/2006   7/1/2006  12/1/2035   5,208.33   6/1/2006
148658792  Primary    SFR             360      353  63.82      6   1/1/2006   7/1/2006  12/1/2035   2,425.00   6/1/2006
148664345  Primary    SFR             360      353  76.97   6.25   1/1/2006   7/1/2006  12/1/2035   2,644.12   6/1/2006
148669518  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   2,296.88   6/1/2006
148674583  Primary    SFR             360      353  78.99  5.875   1/1/2006   7/1/2006  12/1/2035   2,780.23   6/1/2006
148678238  Investor   SFR             360      353     75  6.375   1/1/2006   7/1/2006  12/1/2035   1,135.55   6/1/2006
148683477  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,279.52   6/1/2006
148685944  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,184.58   6/1/2006
148687213  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   3,270.42   6/1/2006
148688468  Primary    Condo - Low     360      353     80  6.125   1/1/2006   1/1/2007  12/1/2035   4,304.38  12/1/2006
148710965  Secondary  SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     477.83   6/1/2006
148716046  Primary    SFR             360      352  74.03  5.875  12/1/2005   7/1/2006  11/1/2035   3,182.29   6/1/2006
148716129  Primary    SFR             360      352  78.36      6  12/1/2005   7/1/2006  11/1/2035   3,520.00   6/1/2006
148717499  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   3,145.08   6/1/2006
148724552  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,915.36   6/1/2006
148724727  Primary    SFR             360      353  74.53   6.25   1/1/2006   7/1/2006  12/1/2035   3,337.67   6/1/2006
148734619  Secondary  SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035   2,326.35   7/1/2006
148740947  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036   2,499.80   6/1/2006
148742034  Primary    SFR             360      353  79.23  5.875   1/1/2006   7/1/2006  12/1/2035   1,970.57   6/1/2006
148754724  Primary    SFR             360      354  71.92  6.375   2/1/2006   7/1/2006   1/1/2036   2,418.55   6/1/2006
148756414  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,729.71   6/1/2006
148757404  Primary    SFR             360      353     70  6.375   1/1/2006   7/1/2006  12/1/2035   2,793.19   6/1/2006
148778574  Primary    SFR             360      353  54.55  6.125   1/1/2006   7/1/2006  12/1/2035   3,062.50   6/1/2006
148790124  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,290.25   6/1/2006
148796733  Primary    SFR             360      353     75      6   1/1/2006   7/1/2006  12/1/2035   3,093.75   6/1/2006
148814932  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,673.07   6/1/2006
148815665  Primary    SFR             360      354     75  6.375   2/1/2006   8/1/2006   1/1/2036   2,649.61   7/1/2006
148827462  Primary    SFR             360      354  74.79  5.875   2/1/2006   7/1/2006   1/1/2036   2,570.31   6/1/2006
148828619  Primary    SFR             360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035   2,871.10   6/1/2006
148831548  Primary    SFR             360      354     75  5.875   2/1/2006   8/1/2006   1/1/2036   3,110.41   7/1/2006
148840465  Primary    SFR             360      353  74.17  5.875   1/1/2006   7/1/2006  12/1/2035   2,178.01   6/1/2006
148854573  Primary    SFR             360      352  78.31  5.875  12/1/2005   7/1/2006  11/1/2035   1,591.15   6/1/2006
148860778  Primary    SFR             360      353  66.11      6   1/1/2006   7/1/2006  12/1/2035   2,105.72   6/1/2006
148861339  Primary    Condo - Low     360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   3,320.31   6/1/2006
148875149  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   3,215.32   6/1/2006
148879448  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,565.81   6/1/2006
148891799  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   2,592.50   6/1/2006
148892748  Primary    SFR             360      353  78.26  6.125   1/1/2006   7/1/2006  12/1/2035   2,296.88   6/1/2006
148895931  Secondary  SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035   2,236.54   7/1/2006
148898091  Primary    SFR             360      354     70  5.875   2/1/2006   7/1/2006   1/1/2036   1,926.02   6/1/2006
148903404  Primary    SFR             360      353  45.68   6.25   1/1/2006   7/1/2006  12/1/2035   4,401.04   6/1/2006
148909047  Primary    SFR             360      353  46.43  5.875   1/1/2006   7/1/2006  12/1/2035   2,307.00   6/1/2006
148911928  Primary    Condo - Low     360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   2,229.54   6/1/2006
148918873  Primary    SFR             360      353  74.07  5.875   1/1/2006   7/1/2006  12/1/2035   2,366.16   6/1/2006
148927346  Primary    SFR             360      353  42.46  5.875   1/1/2006   7/1/2006  12/1/2035   1,403.15   6/1/2006
148936925  Primary    Condo - Low     360      354  75.58  6.125   2/1/2006   7/1/2006   1/1/2036   3,159.48   6/1/2006
148937832  Primary    SFR             360      353     70  6.375   1/1/2006   7/1/2006  12/1/2035   4,685.63   6/1/2006
148939291  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,400.00   7/1/2006
148951585  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   4,868.93   6/1/2006
148952468  Primary    Condo - Low     360      353   75.4  6.375   1/1/2006   7/1/2006  12/1/2035   2,463.41   6/1/2006
148952542  Primary    SFR             360      353  72.73   6.25   1/1/2006   7/1/2006  12/1/2035   5,204.67   6/1/2006
148955917  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,429.58   6/1/2006
148958325  Primary    SFR             360      353   63.6  5.875   1/1/2006   7/1/2006  12/1/2035     734.86   6/1/2006
148964448  Primary    SFR             360      354  54.05    6.5   2/1/2006   7/1/2006   1/1/2036   2,708.33   6/1/2006
148970437  Primary    SFR             360      353  69.77    6.5   1/1/2006   7/1/2006  12/1/2035   5,688.61   6/1/2006
148991839  Primary    SFR             360      353  79.87  6.125   1/1/2006   7/1/2006  12/1/2035   2,965.56   6/1/2006
149008062  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,295.17   6/1/2006
149021479  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   3,293.48   6/1/2006
149023129  Primary    SFR             360      353     50  6.625   1/1/2006   7/1/2006  12/1/2035   2,539.58   6/1/2006
149046039  Primary    SFR             360      353  74.72  6.125   1/1/2006   7/1/2006  12/1/2035   3,645.66   6/1/2006
149056293  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,575.00   6/1/2006
149057812  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     547.94   6/1/2006
149059305  Primary    SFR             360      354  69.86  6.375   2/1/2006   7/1/2006   1/1/2036   2,709.38   6/1/2006
149072001  Primary    SFR             360      354     75  6.375   2/1/2006   8/1/2006   1/1/2036   9,170.89   7/1/2006
149077851  Primary    SFR             360      354  73.68  5.875   2/1/2006   9/1/2006   1/1/2036   3,421.21   8/1/2006
149080285  Primary    SFR             360      354     85      6   2/1/2006   7/1/2006   1/1/2036   3,145.00   6/1/2006
149088205  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,052.33   6/1/2006
149091548  Secondary  SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035   2,458.33   7/1/2006
149091696  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,665.02   6/1/2006
149092744  Primary    SFR             360      354  61.82  6.125   2/1/2006   7/1/2006   1/1/2036   3,468.13   6/1/2006
149100166  Primary    SFR             360      354  79.92  5.875   2/1/2006   7/1/2006   1/1/2036   1,811.46   6/1/2006
149114035  Primary    Condo - Low     360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,280.00   7/1/2006
149134736  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036   2,467.07   7/1/2006
149287716  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,958.33   6/1/2006
149304412  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036   2,925.81   6/1/2006
224534396  Primary    SFR             360      326  79.87  5.875  10/1/2003   7/1/2006   9/1/2033   2,433.29   6/1/2006
   600147  Primary    SFR             360      314  74.44  5.875  10/1/2002   7/1/2006   9/1/2032   1,981.65   6/1/2006
   840472  Primary    SFR             360      309  63.95   6.75   5/1/2002   8/1/2006   4/1/2032   3,567.29   7/1/2006
  4376951  Primary    SFR             360      307     90  6.625   3/1/2002   7/1/2006   2/1/2032   3,976.34   6/1/2006
  4394574  Primary    Cooperative     360      304     60  6.375  12/1/2001   7/1/2006  11/1/2031   3,368.90   6/1/2006
  4442493  Primary    SFR             360      305     80  6.375   1/1/2002   7/1/2006  12/1/2031   2,421.68   6/1/2006
  4591400  Primary    SFR             360      304   53.4  5.875  12/1/2001   8/1/2006  11/1/2031     636.49   7/1/2006
  5743154  Primary    SFR             360      289     80      6   9/1/2000   8/1/2006   8/1/2030   2,815.42   7/1/2006
  8308855  Primary    SFR             360      291     80  6.625  11/1/2000   7/1/2006  10/1/2030   3,072.42   6/1/2006
  9485999  Primary    SFR             360      305  74.43   6.25   1/1/2002   7/1/2006  12/1/2031   3,620.42   6/1/2006
  9961523  Primary    SFR             360      311     95      6   7/1/2002   7/1/2006   6/1/2032   2,093.19   6/1/2006
  9968344  Primary    SFR             360      309  78.27  6.625   5/1/2002   7/1/2006   4/1/2032   4,159.46   6/1/2006
 11549763  Primary    SFR             360      318  92.96  5.875   2/1/2003   7/1/2006   1/1/2033      883.7   6/1/2006
 12079513  Primary    SFR             360      316     55  5.875  12/1/2002   7/1/2006  11/1/2032   3,605.27   6/1/2006
 12521795  Primary    Condo - Low     360      315     95  5.875  11/1/2002   7/1/2006  10/1/2032     602.76   6/1/2006
 12767455  Primary    SFR             360      316   55.2  5.875  12/1/2002   8/1/2006  11/1/2032   5,714.26   7/1/2006
 16356578  Primary    SFR             360      318  36.13  5.875   2/1/2003   7/1/2006   1/1/2033   2,957.69   6/1/2006
 16400459  Primary    SFR             360      317     70      6   1/1/2003   8/1/2006  12/1/2032   2,727.95   7/1/2006
 16666026  Primary    SFR             360      317  79.88  5.875   1/1/2003   7/1/2006  12/1/2032   1,960.95   6/1/2006
 18141218  Primary    SFR             360      319     80  5.875   3/1/2003   7/1/2006   2/1/2033   2,056.25   6/1/2006
 36852648  Secondary  Condo - High    360      338     85  5.875  10/1/2004   8/1/2006   9/1/2034   2,288.80   7/1/2006
 38176368  Primary    SFR             360      336  79.99  5.875   8/1/2004   7/1/2006   7/1/2034   1,775.72   6/1/2006
 42630145  Primary    Condo - High    360      343     80  5.875   3/1/2005   7/1/2006   2/1/2035   1,052.93   6/1/2006
 42791095  Primary    Condo - Low     360      337     80  5.875   9/1/2004   8/1/2006   8/1/2034     359.51   7/1/2006
 42861948  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035     719.35   6/1/2006
 43106483  Primary    SFR             360      353  45.54  5.875   1/1/2006   7/1/2006  12/1/2035   2,447.92   6/1/2006
 43510908  Primary    Condo - High    360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034     571.83   6/1/2006
 44070936  Secondary  Condo - Low     360      336     95  5.875   8/1/2004   7/1/2006   7/1/2034      743.6   6/1/2006
 44107936  Primary    SFR             360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034     920.42   6/1/2006
 44149912  Primary    SFR             360      337     95  5.875   9/1/2004   7/1/2006   8/1/2034      683.7   6/1/2006
 44310316  Primary    SFR             360      337     65  5.875   9/1/2004   8/1/2006   8/1/2034   1,826.37   7/1/2006
 44329084  Secondary  SFR             360      336     70  5.875   8/1/2004   7/1/2006   7/1/2034   1,277.54   6/1/2006
 44417392  Primary    SFR             360      338     80  5.875  10/1/2004   7/1/2006   9/1/2034   1,006.27   6/1/2006
 44729176  Primary    SFR             360      337  65.71  5.875   9/1/2004   7/1/2006   8/1/2034     563.02   6/1/2006
 44827038  Primary    Condo - Low     360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034     748.08   6/1/2006
 44895548  Primary    SFR             360      337     95  5.875   9/1/2004   8/1/2006   8/1/2034     557.88   7/1/2006
 45141256  Secondary  SFR             360      346  66.17  5.875   6/1/2005   7/1/2006   5/1/2035     851.87   6/1/2006
 45215977  Primary    Condo - Low     360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034   1,419.20   6/1/2006
 46033882  Primary    Condo - High    360      338     80  5.875  10/1/2004   7/1/2006   9/1/2034     878.78   6/1/2006
 47252275  Primary    SFR             360      353  70.88  5.875   1/1/2006   7/1/2006  12/1/2035   2,359.79   6/1/2006
 49213416  Primary    SFR             360      350  78.56  5.875  10/1/2005   7/1/2006   9/1/2035   3,182.29   6/1/2006
 49360886  Primary    SFR             360      345     90  5.875   5/1/2005   8/1/2006   4/1/2035   1,109.29   7/1/2006
 49793599  Primary    SFR             360      344  41.89  5.875   4/1/2005   7/1/2006   3/1/2035     562.28   6/1/2006
 50014455  Secondary  SFR             360      346     95  5.875   6/1/2005   7/1/2006   5/1/2035     927.67   6/1/2006
 50232099  Primary    SFR             360      353  65.22      6   1/1/2006   7/1/2006  12/1/2035   7,500.00   6/1/2006
 50356989  Primary    SFR             360      343     85  5.875   3/1/2005   7/1/2006   2/1/2035   1,215.15   6/1/2006
 50713478  Primary    Condo - Low     360      345     80  5.875   5/1/2005   7/1/2006   4/1/2035      700.3   6/1/2006
 51015402  Secondary  SFR             360      346     95  5.875   6/1/2005   7/1/2006   5/1/2035   1,088.58   6/1/2006
 51116598  Investor   Condo - Low     360      350     90  5.875  10/1/2005   8/1/2006   9/1/2035     450.98   7/1/2006
 51239143  Primary    SFR             360      344     95  5.875   4/1/2005   7/1/2006   3/1/2035   1,023.23   6/1/2006
 51393734  Secondary  SFR             360      344     95  5.875   4/1/2005   7/1/2006   3/1/2035     913.92   6/1/2006
 51452845  Primary    Condo - Low     360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     585.54   6/1/2006
 51487189  Primary    SFR             360      345     80  5.875   5/1/2005   8/1/2006   4/1/2035   1,607.71   7/1/2006
 51492528  Secondary  Condo - High    360      345     79  5.875   5/1/2005   7/1/2006   4/1/2035     769.29   6/1/2006
 51541514  Primary    Condo - Low     360      347  79.95  5.875   7/1/2005   8/1/2006   6/1/2035      693.7   7/1/2006
 51639532  Primary    SFR             360      345  78.83  5.875   5/1/2005   7/1/2006   4/1/2035     528.75   6/1/2006
 51673143  Secondary  SFR             360      346     90  5.875   6/1/2005   8/1/2006   5/1/2035   1,057.50   7/1/2006
 52006087  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,410.00   6/1/2006
 52051489  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     907.88   6/1/2006
 52059607  Primary    SFR             360      345     95  5.875   5/1/2005   7/1/2006   4/1/2035     916.26   6/1/2006
 52072832  Primary    Condo - Low     360      345     80  5.875   5/1/2005   7/1/2006   4/1/2035   2,498.18   6/1/2006
 52160561  Secondary  Condo - Low     360      345  63.29  5.875   5/1/2005   7/1/2006   4/1/2035     489.58   6/1/2006
 52237815  Primary    SFR             360      346  74.67  5.875   6/1/2005   7/1/2006   5/1/2035   2,741.67   6/1/2006
 52499464  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   2,164.31   6/1/2006
 52515814  Secondary  Condo - High    360      347     95  5.875   7/1/2005   8/1/2006   6/1/2035   1,339.03   7/1/2006
 52528478  Primary    SFR             360      354  72.12      6   2/1/2006   7/1/2006   1/1/2036   3,250.00   6/1/2006
 52555455  Secondary  Condo - Low     360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035     562.31   6/1/2006
 52570165  Secondary  Condo - Low     360      348     95  5.875   8/1/2005   7/1/2006   7/1/2035     653.01   6/1/2006
 52600442  Primary    SFR             360      346  72.91  5.875   6/1/2005   8/1/2006   5/1/2035        282   7/1/2006
 52616273  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,073.38   6/1/2006
 52617586  Primary    Condo - Low     360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035     998.36   6/1/2006
 52771706  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,175.00   6/1/2006
 52794997  Primary    SFR             360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035     986.23   6/1/2006
 52886249  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,288.19   6/1/2006
 52889623  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     716.75   6/1/2006
 52949518  Secondary  Condo - Low     360      346     95  5.875   6/1/2005   7/1/2006   5/1/2035     572.08   6/1/2006
 52949799  Secondary  Condo - Low     360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035     966.95   6/1/2006
 52979309  Primary    Condo - Low     360      346     90  5.875   6/1/2005   7/1/2006   5/1/2035     911.43   6/1/2006
 52985165  Primary    SFR             360      346  78.34      6   6/1/2005   7/1/2006   5/1/2035   2,541.33   6/1/2006
 53010989  Primary    SFR             360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035   2,974.22   6/1/2006
 53054565  Primary    Condo - Low     360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035     885.29   6/1/2006
 53054599  Secondary  Condo - Low     360      346     90  5.875   6/1/2005   7/1/2006   5/1/2035     757.43   6/1/2006
 53056255  Primary    Condo - High    360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,128.00   6/1/2006
 53077319  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,757.33   6/1/2006
 53093704  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035     759.61   6/1/2006
 53122842  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     919.88   6/1/2006
 53124293  Primary    Condo - Low     360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035     627.84   6/1/2006
 53143343  Secondary  SFR             360      347     95  5.875   7/1/2005   8/1/2006   6/1/2035     753.47   7/1/2006
 53191888  Primary    SFR             360      347  79.87  5.875   7/1/2005   7/1/2006   6/1/2035     621.77   6/1/2006
 53194767  Primary    SFR             360      346     50  5.875   6/1/2005   8/1/2006   5/1/2035   4,895.83   7/1/2006
 53261178  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,018.33   6/1/2006
 53315891  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035     861.59   6/1/2006
 53361143  Secondary  Condo - High    360      346     85  5.875   6/1/2005   7/1/2006   5/1/2035   2,725.76   6/1/2006
 53369708  Primary    SFR             360      346  83.57  5.875   6/1/2005   8/1/2006   5/1/2035   1,151.50   7/1/2006
 53381208  Primary    SFR             360      346  77.91  5.875   6/1/2005   7/1/2006   5/1/2035     651.83   6/1/2006
 53420204  Primary    SFR             360      346  67.62  5.875   6/1/2005   7/1/2006   5/1/2035   2,085.62   6/1/2006
 53447835  Primary    SFR             360      347   64.5  5.875   7/1/2005   7/1/2006   6/1/2035   2,147.31   6/1/2006
 53466843  Primary    SFR             360      354  76.92  5.875   2/1/2006   8/1/2006   1/1/2036   1,762.50   7/1/2006
 53487716  Primary    Condo - Low     360      347     95  5.875   7/1/2005   8/1/2006   6/1/2035     986.02   7/1/2006
 53544581  Secondary  SFR             360      347  72.97  5.875   7/1/2005   7/1/2006   6/1/2035   1,321.87   6/1/2006
 53605036  Primary    SFR             360      347  77.09  5.875   7/1/2005   7/1/2006   6/1/2035     622.75   6/1/2006
 53620191  Primary    SFR             360      346  79.99  5.875   6/1/2005   7/1/2006   5/1/2035   1,042.32   6/1/2006
 53693727  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035   1,230.08   6/1/2006
 53797122  Primary    SFR             360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035     511.61   6/1/2006
 53803128  Primary    Condo - Low     360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035     896.92   6/1/2006
 53952024  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,958.28   6/1/2006
 53990974  Primary    Condo - Low     360      347     85  5.875   7/1/2005   7/1/2006   6/1/2035     780.27   6/1/2006
 54027206  Primary    SFR             360      355  79.83  5.625   3/1/2006   7/1/2006   2/1/2036     890.63   6/1/2006
 54034772  Primary    SFR             360      347  63.28  5.875   7/1/2005   8/1/2006   6/1/2035     697.12   7/1/2006
 54053939  Secondary  Condo - High    360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035     371.62   6/1/2006
 54107263  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,129.97   6/1/2006
 54272117  Primary    SFR             360      347     95  5.875   7/1/2005   8/1/2006   6/1/2035     686.69   7/1/2006
 54402151  Primary    Condo - Low     360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035     592.95   6/1/2006
 54413885  Primary    SFR             360      349     80      6   9/1/2005   8/1/2006   8/1/2035   2,899.84   7/1/2006
 54435987  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     759.83   6/1/2006
 54440995  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     900.83   6/1/2006
 54562657  Secondary  SFR             360      348     70  5.875   8/1/2005   7/1/2006   7/1/2035      952.6   6/1/2006
 54569033  Secondary  SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,116.25   6/1/2006
 54600861  Investor   Condo - High    360      347  62.75  5.875   7/1/2005   7/1/2006   6/1/2035   3,845.00   6/1/2006
 54778469  Primary    Condo - High    360      352     95  5.875  12/1/2005   8/1/2006  11/1/2035   1,441.45   7/1/2006
 54843743  Primary    Condo - Low     360      348  79.99  5.875   8/1/2005   7/1/2006   7/1/2035     673.18   6/1/2006
 54881545  Primary    SFR             360      348  79.05  5.875   8/1/2005   7/1/2006   7/1/2035   1,625.42   6/1/2006
 54881719  Primary    Condo - Low     360      350  84.99  5.875  10/1/2005   7/1/2006   9/1/2035   2,370.93   6/1/2006
 54939921  Primary    SFR             360      348  94.98  5.875   8/1/2005   7/1/2006   7/1/2035     990.43   6/1/2006
 54988407  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,487.08   6/1/2006
 55162085  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,276.83   6/1/2006
 56439425  Primary    SFR             360      349   79.2  5.875   9/1/2005   7/1/2006   8/1/2035     969.37   6/1/2006
 56490998  Primary    SFR             360      349  63.17  5.875   9/1/2005   8/1/2006   8/1/2035   1,268.02   7/1/2006
 56550569  Primary    Condo - High    360      348     95  5.875   8/1/2005   7/1/2006   7/1/2035   1,658.36   6/1/2006
 56565161  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,253.33   6/1/2006
 56955925  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,859.17   6/1/2006
 56982705  Primary    SFR             360      349   70.3  5.875   9/1/2005   7/1/2006   8/1/2035   1,135.83   6/1/2006
 56999303  Primary    SFR             360      351  79.99  5.875  11/1/2005   7/1/2006  10/1/2035   1,473.89   6/1/2006
 57055733  Secondary  Condo - Low     360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035     835.43   6/1/2006
 57192874  Investor   Condo - Low     360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035     724.39   6/1/2006
 57308181  Primary    SFR             360      352   79.9  5.875  12/1/2005   7/1/2006  11/1/2035   1,505.96   6/1/2006
 57367484  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,812.55   7/1/2006
 57468878  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,635.79   6/1/2006
 57474207  Investor   SFR             360      350  60.21  5.875  10/1/2005   7/1/2006   9/1/2035     563.02   6/1/2006
 57488454  Investor   SFR             360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035   1,181.67   6/1/2006
 57518664  Primary    Condo - High    360      350     75  5.875  10/1/2005   8/1/2006   9/1/2035   7,931.25   7/1/2006
 57583262  Secondary  Condo - Low     360      350     95  5.875  10/1/2005   7/1/2006   9/1/2035     601.84   6/1/2006
 57604373  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,515.36   6/1/2006
 57730814  Investor   SFR             360      350  57.14  5.875  10/1/2005   7/1/2006   9/1/2035     489.54   6/1/2006
 57753717  Secondary  SFR             360      350  37.74  5.875  10/1/2005   7/1/2006   9/1/2035   4,305.46   6/1/2006
 57761819  Investor   Condo - Low     360      351     90  6.375  11/1/2005   7/1/2006  10/1/2035     449.32   6/1/2006
 57791816  Investor   Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     822.11   6/1/2006
 57800161  Primary    SFR             360      351     75  5.875  11/1/2005   8/1/2006  10/1/2035     708.67   7/1/2006
 57834616  Primary    SFR             360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035   1,982.37   6/1/2006
 57847816  Investor   Condo - High    360      350     80   6.25  10/1/2005   8/1/2006   9/1/2035   1,666.67   7/1/2006
 57868143  Investor   Condo - Low     360      351     90  6.125  11/1/2005   8/1/2006  10/1/2035     746.48   7/1/2006
 57914541  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,306.82   6/1/2006
 57921728  Primary    SFR             360      350  89.99  5.875  10/1/2005   8/1/2006   9/1/2035   3,084.13   7/1/2006
 57953432  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     741.25   6/1/2006
 58016635  Investor   Condo - Low     360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,310.83   6/1/2006
 58028432  Investor   SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,331.67   6/1/2006
 58048075  Primary    SFR             360      350  52.72  5.875  10/1/2005   7/1/2006   9/1/2035   2,800.42   6/1/2006
 58088451  Primary    SFR             360      350  69.78  5.875  10/1/2005   7/1/2006   9/1/2035   4,731.82   6/1/2006
 58089558  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,171.42   6/1/2006
 58121674  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,515.75   6/1/2006
 58150186  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,108.30   6/1/2006
 58153743  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     567.52   6/1/2006
 58243965  Investor   Condo - Low     360      350     80      6  10/1/2005   8/1/2006   9/1/2035   1,440.00   7/1/2006
 58292269  Investor   Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     614.82   6/1/2006
 58310681  Primary    SFR             360      351  83.72  5.875  11/1/2005   7/1/2006  10/1/2035     881.25   6/1/2006
 58359761  Primary    SFR             360      351  78.08  5.875  11/1/2005   7/1/2006  10/1/2035     993.85   6/1/2006
 58367582  Secondary  SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     614.92   6/1/2006
 58411182  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035      612.2   6/1/2006
 58413915  Primary    SFR             360      350  77.78  5.875  10/1/2005   7/1/2006   9/1/2035   1,370.83   6/1/2006
 58417239  Investor   4-Family        360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,820.00   6/1/2006
 58431354  Investor   SFR             360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035     726.59   6/1/2006
 58432824  Secondary  SFR             360      350  79.99  5.875  10/1/2005   7/1/2006   9/1/2035   3,072.62   6/1/2006
 58437559  Investor   SFR             360      352  59.26  5.875  12/1/2005   7/1/2006  11/1/2035      783.1   6/1/2006
 58440264  Secondary  SFR             360      354     60  5.875   2/1/2006   7/1/2006   1/1/2036  15,862.50   6/1/2006
 58452004  Investor   Condo - Low     360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035     673.55   6/1/2006
 58488503  Primary    SFR             360      350  79.99  5.875  10/1/2005   7/1/2006   9/1/2035   2,413.57   6/1/2006
 58489998  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,702.50   6/1/2006
 58491127  Primary    SFR             360      356     95  5.875   4/1/2006   7/1/2006   3/1/2036   1,297.64   6/1/2006
 58499815  Primary    Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,790.21   7/1/2006
 58534736  Primary    SFR             360      351   85.9      6  11/1/2005   7/1/2006  10/1/2035   1,674.90   6/1/2006
 58540758  Primary    Condo - High    360      356  78.44  5.875   4/1/2006   8/1/2006   3/1/2036   1,159.82   7/1/2006
 58552506  Primary    SFR             360      351   79.2  5.875  11/1/2005   7/1/2006  10/1/2035   1,640.09   6/1/2006
 58556978  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     783.33   6/1/2006
 58565201  Primary    SFR             360      351  74.94  5.875  11/1/2005   7/1/2006  10/1/2035   1,493.23   6/1/2006
 58589268  Secondary  Condo - Low     360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035     873.42   6/1/2006
 58627274  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035        470   6/1/2006
 58690892  Investor   SFR             360      350  63.41  5.875  10/1/2005   7/1/2006   9/1/2035     636.46   6/1/2006
 58691221  Primary    Condo - Low     360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035     809.98   6/1/2006
 58769977  Investor   Condo - Low     360      352     90   6.25  12/1/2005   7/1/2006  11/1/2035     726.09   6/1/2006
 58775495  Secondary  Condo - Low     360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035   1,729.39   6/1/2006
 58780172  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   3,445.82   7/1/2006
 58800673  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,029.69   6/1/2006
 58801655  Primary    SFR             360      351  72.22  5.875  11/1/2005   7/1/2006  10/1/2035     954.69   6/1/2006
 58843491  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   3,304.69   6/1/2006
 58855909  Primary    SFR             360      350  73.17  5.875  10/1/2005   8/1/2006   9/1/2035   7,343.75   7/1/2006
 58856105  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,266.24   6/1/2006
 58894221  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,641.20   6/1/2006
 58930827  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035      831.9   6/1/2006
 58937988  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     704.65   6/1/2006
 58969643  Investor   Condo - Low     360      350     90  6.375  10/1/2005   7/1/2006   9/1/2035     874.49   6/1/2006
 58996612  Primary    SFR             360      353     95  5.875   1/1/2006   7/1/2006  12/1/2035     765.28   6/1/2006
 59017541  Investor   SFR             360      351  78.91  5.875  11/1/2005   7/1/2006  10/1/2035   2,739.22   6/1/2006
 59043158  Investor   Condo - High    360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,900.90   6/1/2006
 59043604  Primary    SFR             360      351  56.14  5.875  11/1/2005   7/1/2006  10/1/2035   1,058.97   6/1/2006
 59092817  Primary    Condo - Low     360      351  79.98  5.875  11/1/2005   8/1/2006  10/1/2035   1,400.77   7/1/2006
 59108522  Investor   Condo - Low     360      353     90   6.25   1/1/2006   8/1/2006  12/1/2035     913.59   7/1/2006
 59117564  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     641.94   6/1/2006
 59136754  Secondary  Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     771.19   6/1/2006
 59137836  Investor   Condo - Low     360      353     90      6   1/1/2006   7/1/2006  12/1/2035     692.55   6/1/2006
 59150169  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,684.17   6/1/2006
 59232306  Primary    SFR             360      351   89.7  5.875  11/1/2005   7/1/2006  10/1/2035   2,024.43   6/1/2006
 59236174  Primary    SFR             360      351  64.15  5.875  11/1/2005   7/1/2006  10/1/2035   4,161.46   6/1/2006
 59379131  Investor   Condo - Low     360      351  69.84  5.875  11/1/2005   7/1/2006  10/1/2035   1,077.08   6/1/2006
 59395798  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,010.47   6/1/2006
 59413476  Investor   Condo - Low     360      351     90   6.25  11/1/2005   7/1/2006  10/1/2035     704.11   6/1/2006
 59430009  Primary    SFR             360      351     95  5.875  11/1/2005   8/1/2006  10/1/2035   2,185.99   7/1/2006
 59458679  Primary    SFR             360      351     75      6  11/1/2005   7/1/2006  10/1/2035   2,625.00   6/1/2006
 59473082  Investor   Condo - Low     360      352  50.78  5.875  12/1/2005   7/1/2006  11/1/2035   1,076.84   6/1/2006
 59521336  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     643.74   6/1/2006
 59580654  Secondary  Condo - Low     360      352  94.97  5.875  12/1/2005   7/1/2006  11/1/2035   1,245.01   6/1/2006
 59585257  Primary    SFR             360      354     95      6   2/1/2006   7/1/2006   1/1/2036   2,650.21   6/1/2006
 59620773  Primary    Condo - Low     360      351  94.86  5.875  11/1/2005   7/1/2006  10/1/2035   1,175.00   6/1/2006
 59656165  Investor   Condo - Low     360      354     75  5.875   2/1/2006   7/1/2006   1/1/2036   1,468.75   6/1/2006
 59677344  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,203.42   6/1/2006
 59700575  Secondary  SFR             360      351  63.04  5.875  11/1/2005   7/1/2006  10/1/2035   7,098.96   6/1/2006
 59725127  Investor   Condo - Low     360      353     90      6   1/1/2006   8/1/2006  12/1/2035     494.88   7/1/2006
 59763565  Investor   Condo - Low     360      352     90      6  12/1/2005   7/1/2006  11/1/2035     778.05   6/1/2006
 59765206  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035      738.7   6/1/2006
 59782607  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   2,056.25   6/1/2006
 59806257  Primary    SFR             360      352  86.25  5.875  12/1/2005   7/1/2006  11/1/2035   1,013.44   6/1/2006
 59811406  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,801.67   6/1/2006
 59843854  Secondary  Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,045.14   6/1/2006
 59881094  Secondary  Condo - Low     360      353  94.97  5.875   1/1/2006   8/1/2006  12/1/2035   1,244.10   7/1/2006
 59895003  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     607.08   6/1/2006
 59907683  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035     998.46   7/1/2006
 59924357  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     554.21   6/1/2006
 59962167  Investor   Condo - Low     360      352     90      6  12/1/2005   7/1/2006  11/1/2035        900   6/1/2006
 59976936  Investor   Condo - High    360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   1,169.62   6/1/2006
 59979153  Secondary  SFR             360      353  74.81      6   1/1/2006   7/1/2006  12/1/2035   2,450.00   6/1/2006
 60031234  Investor   Condo - Low     360      353     90  5.875   1/1/2006   7/1/2006  12/1/2035     829.79   6/1/2006
 60036423  Primary    SFR             360      357     60  6.125   5/1/2006   8/1/2006   4/1/2036  22,968.75   7/1/2006
 60059235  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,330.42   6/1/2006
 60081189  Primary    SFR             360      352  31.25  5.875  12/1/2005   8/1/2006  11/1/2035     367.19   7/1/2006
 60085628  Investor   Condo - High    360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,876.08   6/1/2006
 60086212  Investor   Condo - Low     360      352     75    6.5  12/1/2005   7/1/2006  11/1/2035   2,445.63   6/1/2006
 60093853  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,625.42   6/1/2006
 60097318  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,937.50   6/1/2006
 60146289  Investor   Condo - Low     360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036   1,437.50   7/1/2006
 60167202  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035      728.5   6/1/2006
 60177433  Primary    SFR             360      352   69.8  5.875  12/1/2005   7/1/2006  11/1/2035   1,707.90   6/1/2006
 60184801  Primary    SFR             360      354     90  5.875   2/1/2006   7/1/2006   1/1/2036   2,727.47   6/1/2006
 60199973  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,312.08   6/1/2006
 60212123  Primary    SFR             360      352  65.22  5.875  12/1/2005   7/1/2006  11/1/2035   2,661.92   6/1/2006
 60232758  Investor   SFR             360      352  63.29      6  12/1/2005   7/1/2006  11/1/2035   2,500.00   6/1/2006
 60242211  Primary    SFR             360      352  54.17  5.875  12/1/2005   8/1/2006  11/1/2035     935.32   7/1/2006
 60256401  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     895.94   6/1/2006
 60265501  Secondary  Condo - Low     360      352     95  5.875  12/1/2005   8/1/2006  11/1/2035     690.98   7/1/2006
 60294006  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,099.82   6/1/2006
 60294493  Primary    Condo - High    360      353  46.73   6.25   1/1/2006   7/1/2006  12/1/2035   6,157.17   6/1/2006
 60307501  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,762.50   6/1/2006
 60319597  Primary    SFR             360      352     95  5.875  12/1/2005   7/1/2006  11/1/2035   1,793.91   6/1/2006
 60322781  Primary    Condo - Low     360      352  68.09  5.875  12/1/2005   7/1/2006  11/1/2035     783.33   6/1/2006
 60325719  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,938.55   6/1/2006
 60330685  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,308.00   6/1/2006
 60332186  Primary    SFR             360      355  71.82      6   3/1/2006   8/1/2006   2/1/2036   9,875.00   7/1/2006
 60347556  Primary    SFR             360      352  69.65  5.875  12/1/2005   7/1/2006  11/1/2035   6,854.17   6/1/2006
 60354404  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,321.55   6/1/2006
 60365152  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     673.91   6/1/2006
 60385622  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,470.42   6/1/2006
 60412079  Primary    SFR             360      353  70.18  5.875   1/1/2006   7/1/2006  12/1/2035   4,895.83   6/1/2006
 60417896  Secondary  SFR             360      355  22.22      6   3/1/2006   7/1/2006   2/1/2036   5,995.51   6/1/2006
 60427341  Investor   Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,020.84   6/1/2006
 60443173  Investor   SFR             360      352     65      6  12/1/2005   7/1/2006  11/1/2035   3,900.00   6/1/2006
 60446812  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035        611   6/1/2006
 60460581  Secondary  Condo - Low     360      354     95  5.875   2/1/2006   7/1/2006   1/1/2036     719.31   6/1/2006
 60474541  Investor   Condo - Low     360      354     90  5.875   2/1/2006   7/1/2006   1/1/2036     880.81   6/1/2006
 60475944  Primary    Condo - Low     360      352  79.73  5.875  12/1/2005   7/1/2006  11/1/2035   2,556.85   6/1/2006
 60506458  Primary    Condo - Low     360      353     85  5.875   1/1/2006   7/1/2006  12/1/2035   1,987.68   6/1/2006
 60511383  Primary    SFR             360      355  68.97  5.875   3/1/2006   7/1/2006   2/1/2036   7,391.69   6/1/2006
 60521473  Investor   Condo - Low     360      353  68.61  6.375   1/1/2006   7/1/2006  12/1/2035   2,123.87   6/1/2006
 60542438  Primary    SFR             360      352  70.86  5.875  12/1/2005   7/1/2006  11/1/2035   1,214.17   6/1/2006
 60547577  Primary    Condo - Low     360      353     90  5.875   1/1/2006   7/1/2006  12/1/2035     488.65   6/1/2006
 60547726  Secondary  Condo - High    360      354  49.55  5.875   2/1/2006   8/1/2006   1/1/2036   1,923.57   7/1/2006
 60548328  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,078.25   6/1/2006
 60552791  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,300.00   6/1/2006
 60553757  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,147.51   6/1/2006
 60557766  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   6,792.97   6/1/2006
 60560026  Investor   SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,664.58   6/1/2006
 60567989  Primary    Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,044.32   7/1/2006
 60591781  Investor   Condo - Low     360      353     90    6.5   1/1/2006   8/1/2006  12/1/2035     908.21   7/1/2006
 60615325  Primary    SFR             360      354     75      6   2/1/2006   7/1/2006   1/1/2036   2,328.75   6/1/2006
 60620341  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     932.16   6/1/2006
 60625464  Secondary  Condo - High    360      352   94.9  5.875  12/1/2005   7/1/2006  11/1/2035   1,221.94   6/1/2006
 60627452  Investor   Condo - Low     360      353  77.65  6.375   1/1/2006   7/1/2006  12/1/2035     834.91   6/1/2006
 60639234  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,500.00   6/1/2006
 60641289  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   4,501.32   7/1/2006
 60642329  Primary    SFR             360      353  61.54      6   1/1/2006   7/1/2006  12/1/2035   4,000.00   6/1/2006
 60669637  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,134.56   6/1/2006
 60675337  Secondary  Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     646.25   6/1/2006
 60683307  Investor   SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,900.00   7/1/2006
 60703287  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   2,198.23   6/1/2006
 60714995  Investor   Condo - Low     360      353     75  6.375   1/1/2006   7/1/2006  12/1/2035   1,661.04   6/1/2006
 60719499  Primary    SFR             360      353  64.52      6   1/1/2006   7/1/2006  12/1/2035   5,000.00   6/1/2006
 60739711  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,840.83   6/1/2006
 60768728  Secondary  Condo - High    360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   3,092.65   7/1/2006
 60768926  Primary    SFR             360      353  77.15  5.875   1/1/2006   7/1/2006  12/1/2035   1,272.42   6/1/2006
 60794294  Secondary  SFR             360      354  79.87  6.125   2/1/2006   7/1/2006   1/1/2036   2,160.08   6/1/2006
 60798444  Primary    SFR             360      354     80  6.375   2/1/2006   9/1/2006   1/1/2036     168.34   8/1/2006
 60813797  Investor   3-Family        360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,956.37   6/1/2006
 60836442  Primary    SFR             360      353  76.92  5.875   1/1/2006   7/1/2006  12/1/2035   3,302.89   6/1/2006
 60840626  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,997.50   6/1/2006
 60845682  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     802.92   6/1/2006
 60846987  Investor   Condo - Low     360      353  89.98  6.375   1/1/2006   7/1/2006  12/1/2035   1,378.06   6/1/2006
 60851029  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     856.07   6/1/2006
 60855095  Investor   SFR             360      353  79.87   6.25   1/1/2006   8/1/2006  12/1/2035   2,500.00   7/1/2006
 60858636  Secondary  SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036      824.7   6/1/2006
 60861523  Primary    SFR             360      355     55      6   3/1/2006   7/1/2006   2/1/2036  24,750.00   6/1/2006
 60877776  Primary    SFR             360      353  55.14  5.875   1/1/2006   7/1/2006  12/1/2035   2,496.87   6/1/2006
 60970217  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     430.69   6/1/2006
 61009171  Secondary  SFR             360      353  59.52  5.875   1/1/2006   7/1/2006  12/1/2035  12,239.58   6/1/2006
 61009213  Primary    SFR             360      354  67.78  5.875   2/1/2006   7/1/2006   1/1/2036   1,689.06   6/1/2006
 61011318  Primary    SFR             360      353  79.59  5.875   1/1/2006   7/1/2006  12/1/2035   1,880.00   6/1/2006
 61025557  Investor   2-Family        360      353  66.67  5.875   1/1/2006   8/1/2006  12/1/2035   1,958.33   7/1/2006
 61026969  Investor   Condo - Low     360      354     90  6.625   2/1/2006   7/1/2006   1/1/2036     829.28   6/1/2006
 61037107  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,544.31   6/1/2006
 61044715  Primary    Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,128.00   7/1/2006
 61049524  Investor   Condo - High    360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     649.19   6/1/2006
 61052569  Primary    SFR             360      353     95    6.5   1/1/2006   7/1/2006  12/1/2035   3,125.06   6/1/2006
 61055257  Investor   Condo - Low     360      356  89.54  5.875   4/1/2006   7/1/2006   3/1/2036     748.84   6/1/2006
 61088514  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     664.85   6/1/2006
 61099016  Primary    Condo - Low     360      353  66.01  5.875   1/1/2006   7/1/2006  12/1/2035   4,895.83   6/1/2006
 61105458  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036   2,380.86   7/1/2006
 61105615  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036     685.31   7/1/2006
 61113486  Secondary  SFR             360      353  54.64  5.875   1/1/2006   7/1/2006  12/1/2035   1,223.96   6/1/2006
 61114799  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   8,541.67   6/1/2006
 61139929  Primary    SFR             360      353  78.37  6.125   1/1/2006   7/1/2006  12/1/2035   2,552.08   6/1/2006
 61140133  Primary    SFR             360      353     95  5.875   1/1/2006   7/1/2006  12/1/2035      583.7   6/1/2006
 61142337  Primary    SFR             360      353     90    6.5   1/1/2006   7/1/2006  12/1/2035   3,456.81   6/1/2006
 61143558  Investor   SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036     556.75   6/1/2006
 61145819  Investor   SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036     920.42   6/1/2006
 61145835  Primary    Condo - Low     360      353  89.65  5.875   1/1/2006   7/1/2006  12/1/2035     820.79   6/1/2006
 61156725  Primary    SFR             360      353     70      6   1/1/2006   8/1/2006  12/1/2035   6,737.50   7/1/2006
 61163457  Investor   SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036   1,135.83   6/1/2006
 61181962  Primary    2-Family        360      354  72.43    6.5   2/1/2006   7/1/2006   1/1/2036   8,666.67   6/1/2006
 61183166  Secondary  SFR             360      354     70   6.25   2/1/2006   7/1/2006   1/1/2036  10,117.19   6/1/2006
 61198669  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     763.55   6/1/2006
 61215158  Primary    SFR             360      354     84  5.875   2/1/2006   7/1/2006   1/1/2036   2,773.49   6/1/2006
 61220265  Primary    SFR             360      353  78.73  5.875   1/1/2006   7/1/2006  12/1/2035   2,374.48   6/1/2006
 61223046  Primary    SFR             360      354     70  5.875   2/1/2006   7/1/2006   1/1/2036   7,539.58   6/1/2006
 61234506  Investor   Condo - High    360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036     668.57   7/1/2006
 61235438  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,018.33   6/1/2006
 61242285  Secondary  Condo - High    360      354     65      6   2/1/2006   7/1/2006   1/1/2036   4,533.75   6/1/2006
 61257119  Secondary  SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,215.21   6/1/2006
 61272688  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036   2,200.00   7/1/2006
 61289666  Primary    SFR             360      355   68.6  5.875   3/1/2006   7/1/2006   2/1/2036   1,444.27   6/1/2006
 61296406  Primary    Condo - Low     360      354  89.77  6.125   2/1/2006   7/1/2006   1/1/2036   2,557.19   6/1/2006
 61296679  Primary    SFR             360      354   37.5      6   2/1/2006   7/1/2006   1/1/2036   3,750.00   6/1/2006
 61300075  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     665.25   6/1/2006
 61330569  Primary    SFR             360      354  68.15  6.125   2/1/2006   7/1/2006   1/1/2036   2,261.15   6/1/2006
 61336079  Primary    SFR             360      354  79.65  5.875   2/1/2006   7/1/2006   1/1/2036   2,706.42   6/1/2006
 61370516  Investor   Condo - High    360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   1,286.80   6/1/2006
 61371605  Primary    SFR             360      354     80  6.125   2/1/2006   9/1/2006   1/1/2036   2,735.83   8/1/2006
 61380895  Secondary  Condo - High    360      354  82.14  6.125   2/1/2006   7/1/2006   1/1/2036   2,184.02   6/1/2006
 61383725  Primary    SFR             360      354  33.75  5.875   2/1/2006   8/1/2006   1/1/2036   2,643.75   7/1/2006
 61385282  Primary    SFR             360      354     95  5.875   2/1/2006   8/1/2006   1/1/2036   1,016.48   7/1/2006
 61408175  Primary    SFR             360      354     75  5.875   2/1/2006   7/1/2006   1/1/2036   3,102.73   6/1/2006
 61422051  Primary    Condo - High    360      353     30  6.125   1/1/2006   7/1/2006  12/1/2035   3,062.50   6/1/2006
 61423034  Primary    Condo - Low     360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036     661.92   6/1/2006
 61425617  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036   2,839.63   6/1/2006
123215857  Primary    Condo - Low     360      315     80  5.875  11/1/2002   7/1/2006  10/1/2032   1,057.50   6/1/2006
128298064  Primary    SFR             360      323     95  5.875   7/1/2003   7/1/2006   6/1/2033   2,326.52   6/1/2006
137793824  Primary    SFR             360      336     80  5.875   8/1/2004   7/1/2006   7/1/2034   2,173.75   6/1/2006
138066287  Primary    Condo - High    360      336  79.89  5.875   8/1/2004   7/1/2006   7/1/2034   1,291.69   6/1/2006
138220074  Primary    SFR             360      336  57.66  5.875   8/1/2004   7/1/2006   7/1/2034   1,323.34   6/1/2006
138383351  Secondary  SFR             360      337     95  5.875   9/1/2004   7/1/2006   8/1/2034   1,039.25   6/1/2006
138384136  Primary    SFR             360      336  79.99  5.875   8/1/2004   7/1/2006   7/1/2034   1,485.51   6/1/2006
138397229  Primary    SFR             360      336     95  5.875   8/1/2004   7/1/2006   7/1/2034   1,141.16   6/1/2006
138417381  Primary    Condo - Low     360      336  79.98  5.875   8/1/2004   7/1/2006   7/1/2034     863.86   6/1/2006
138452396  Primary    SFR             360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034   1,750.56   6/1/2006
138452768  Primary    SFR             360      336  73.46  5.875   8/1/2004   7/1/2006   7/1/2034   1,981.66   6/1/2006
138456116  Primary    PUD Detached    360      336     90  5.875   8/1/2004   7/1/2006   7/1/2034   1,321.87   6/1/2006
138545827  Primary    SFR             360      336     80  5.875   8/1/2004   7/1/2006   7/1/2034   2,996.25   6/1/2006
138618848  Primary    SFR             360      338  84.86  5.875  10/1/2004   7/1/2006   9/1/2034   1,655.28   6/1/2006
138624986  Primary    SFR             360      338     80  5.875  10/1/2004   7/1/2006   9/1/2034     683.46   6/1/2006
138738554  Primary    SFR             360      337  49.74  5.875   9/1/2004   7/1/2006   8/1/2034     474.78   6/1/2006
138783097  Primary    SFR             360      339     80  5.875  11/1/2004   7/1/2006  10/1/2034   1,429.58   6/1/2006
138848445  Primary    SFR             360      337     75  5.875   9/1/2004   7/1/2006   8/1/2034     895.85   6/1/2006
138849849  Secondary  SFR             360      337  89.98  5.875   9/1/2004   8/1/2006   8/1/2034     780.81   7/1/2006
138887757  Secondary  Condo - Low     360      337     80  5.875   9/1/2004   7/1/2006   8/1/2034      314.8   6/1/2006
138977822  Primary    SFR             360      338     95  5.875  10/1/2004   7/1/2006   9/1/2034   2,070.83   6/1/2006
141463018  Primary    SFR             360      342     95  5.875   2/1/2005   7/1/2006   1/1/2035   1,374.38   6/1/2006
141501072  Secondary  Condo - Low     360      345     80  5.875   5/1/2005   8/1/2006   4/1/2035     420.99   7/1/2006
141802793  Secondary  Condo - High    360      347     70  5.875   7/1/2005   7/1/2006   6/1/2035     572.67   6/1/2006
142245745  Primary    Condo - Low     360      345  89.98  5.875   5/1/2005   8/1/2006   4/1/2035   1,164.02   7/1/2006
142287044  Secondary  SFR             360      345  40.48  5.875   5/1/2005   8/1/2006   4/1/2035   4,141.17   7/1/2006
142327048  Secondary  Condo - Low     360      343     80  5.875   3/1/2005   7/1/2006   2/1/2035     537.07   6/1/2006
142352582  Primary    SFR             360      347  47.22      6   7/1/2005   8/1/2006   6/1/2035   2,124.47   7/1/2006
142446996  Primary    Condo - Low     360      347     90    6.5   7/1/2005   7/1/2006   6/1/2035   2,360.78   6/1/2006
142580257  Primary    2-Family        360      347  74.29  5.875   7/1/2005   7/1/2006   6/1/2035   3,845.00   6/1/2006
142612415  Primary    Condo - Low     360      346     95  5.875   6/1/2005   7/1/2006   5/1/2035      534.7   6/1/2006
142628684  Primary    SFR             360      344     95  5.875   4/1/2005   7/1/2006   3/1/2035     348.74   6/1/2006
142704048  Secondary  SFR             360      352  58.88  6.125  12/1/2005   7/1/2006  11/1/2035   2,754.56   6/1/2006
142705375  Primary    SFR             360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035   1,418.57   6/1/2006
142708908  Primary    SFR             360      344     80  5.875   4/1/2005   7/1/2006   3/1/2035   1,061.12   6/1/2006
142838531  Primary    Cooperative     360      346     90  5.875   6/1/2005   7/1/2006   5/1/2035   1,167.66   6/1/2006
142946979  Primary    SFR             360      345     95  5.875   5/1/2005   7/1/2006   4/1/2035   1,244.38   6/1/2006
142994219  Secondary  SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   2,005.99   7/1/2006
142995182  Primary    SFR             360      346  79.38  5.875   6/1/2005   7/1/2006   5/1/2035   1,884.90   6/1/2006
143044949  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035     978.67   7/1/2006
143077519  Primary    SFR             360      345  74.26  5.875   5/1/2005   8/1/2006   4/1/2035   2,570.31   7/1/2006
143102093  Primary    2-Family        360      345     75  5.875   5/1/2005   7/1/2006   4/1/2035   3,488.28   6/1/2006
143135168  Primary    Condo - Low     360      345     80  5.875   5/1/2005   8/1/2006   4/1/2035     519.29   7/1/2006
143161198  Primary    SFR             360      348     95      6   8/1/2005   7/1/2006   7/1/2035   2,534.60   6/1/2006
143165355  Primary    Condo - Low     360      348     90  5.875   8/1/2005   7/1/2006   7/1/2035   2,376.83   6/1/2006
143176907  Secondary  Condo - High    360      345  66.85  5.875   5/1/2005   7/1/2006   4/1/2035   1,168.65   6/1/2006
143180701  Primary    SFR             360      346   69.8  5.875   6/1/2005   8/1/2006   5/1/2035     836.63   7/1/2006
143194645  Primary    SFR             360      346  59.09  5.875   6/1/2005   7/1/2006   5/1/2035   3,845.00   6/1/2006
143201689  Secondary  PUD Detached    360      345     95  5.875   5/1/2005   7/1/2006   4/1/2035     949.52   6/1/2006
143219855  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   2,291.25   7/1/2006
143247393  Secondary  SFR             360      345   74.8  5.875   5/1/2005   7/1/2006   4/1/2035   2,055.75   6/1/2006
143260909  Primary    Condo - Low     360      345     80  5.875   5/1/2005   8/1/2006   4/1/2035     497.29   7/1/2006
143261253  Primary    Condo - Low     360      345     80  5.875   5/1/2005   7/1/2006   4/1/2035     763.75   6/1/2006
143298792  Primary    SFR             360      346  79.11  5.875   6/1/2005   7/1/2006   5/1/2035     728.11   6/1/2006
143338135  Primary    SFR             360      346     75  5.875   6/1/2005   7/1/2006   5/1/2035   2,019.53   6/1/2006
143341378  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,964.94   6/1/2006
143343341  Primary    Condo - Low     360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,547.08   6/1/2006
143369056  Primary    Condo - Low     360      345     80  5.875   5/1/2005   7/1/2006   4/1/2035     635.97   6/1/2006
143386894  Primary    SFR             360      346  54.96  5.875   6/1/2005   7/1/2006   5/1/2035   1,508.43   6/1/2006
143386936  Primary    SFR             360      345     95  5.875   5/1/2005   8/1/2006   4/1/2035   2,232.50   7/1/2006
143398642  Primary    SFR             360      346     95  5.875   6/1/2005   8/1/2006   5/1/2035   1,139.51   7/1/2006
143402113  Primary    SFR             360      345     80  5.875   5/1/2005   8/1/2006   4/1/2035   1,958.33   7/1/2006
143405306  Secondary  Condo - Low     360      345     90  5.875   5/1/2005   7/1/2006   4/1/2035   1,189.69   6/1/2006
143412377  Primary    PUD Detached    360      345     95  5.875   5/1/2005   9/1/2006   4/1/2035     641.65   8/1/2006
143421162  Primary    SFR             360      346  74.87  5.875   6/1/2005   7/1/2006   5/1/2035   2,056.25   6/1/2006
143438927  Primary    SFR             360      345     80    5.5   5/1/2005   7/1/2006   4/1/2035     803.53   6/1/2006
143441988  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,052.27   6/1/2006
143445229  Primary    SFR             360      345   62.5  5.875   5/1/2005   8/1/2006   4/1/2035   2,080.73   7/1/2006
143459519  Primary    Condo - Low     360      345  78.18  5.875   5/1/2005   7/1/2006   4/1/2035     647.32   6/1/2006
143460111  Primary    SFR             360      345  94.34  5.875   5/1/2005   7/1/2006   4/1/2035   1,223.66   6/1/2006
143468494  Primary    SFR             360      346  75.64  5.875   6/1/2005   7/1/2006   5/1/2035   2,036.67   6/1/2006
143469211  Primary    SFR             360      346  78.91  5.875   6/1/2005   7/1/2006   5/1/2035   1,135.83   6/1/2006
143474484  Primary    SFR             360      346     90  5.875   6/1/2005   7/1/2006   5/1/2035   1,281.31   6/1/2006
143478469  Primary    2-Family        360      346  38.46  5.875   6/1/2005   7/1/2006   5/1/2035   2,433.73   6/1/2006
143511574  Secondary  Condo - Low     360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   1,174.54   7/1/2006
143513604  Primary    Condo - Low     360      346  79.99  5.875   6/1/2005   7/1/2006   5/1/2035     643.07   6/1/2006
143530343  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,076.76   6/1/2006
143532828  Primary    Condo - Low     360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,330.98   6/1/2006
143539583  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,762.65   6/1/2006
143543742  Secondary  Condo - High    360      346  89.92  5.875   6/1/2005   7/1/2006   5/1/2035   2,353.14   6/1/2006
143553915  Secondary  SFR             360      347  76.92  5.875   7/1/2005   7/1/2006   6/1/2035   2,443.42   6/1/2006
143558088  Primary    SFR             360      346   79.8  5.875   6/1/2005   7/1/2006   5/1/2035   1,914.27   6/1/2006
143563567  Primary    SFR             360      346  76.43  5.875   6/1/2005   7/1/2006   5/1/2035     877.85   6/1/2006
143580595  Primary    SFR             360      346     95  5.875   6/1/2005   8/1/2006   5/1/2035     896.97   7/1/2006
143591089  Primary    Condo - High    360      346     90      6   6/1/2005   7/1/2006   5/1/2035   2,697.44   6/1/2006
143591238  Primary    SFR             360      346  37.78  5.875   6/1/2005   8/1/2006   5/1/2035   1,664.58   7/1/2006
143593994  Primary    SFR             360      345  73.71  6.125   5/1/2005   8/1/2006   4/1/2035   7,656.25   7/1/2006
143596096  Primary    Condo - Low     360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,643.75   6/1/2006
143601961  Primary    Condo - Low     360      345     80  5.875   5/1/2005   7/1/2006   4/1/2035     712.76   6/1/2006
143631604  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     912.56   6/1/2006
143646537  Primary    SFR             360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   2,487.08   7/1/2006
143652022  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,154.17   6/1/2006
143653293  Primary    SFR             360      346  78.89  6.125   6/1/2005   7/1/2006   5/1/2035   2,171.30   6/1/2006
143661007  Primary    Condo - Low     360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   2,212.52   7/1/2006
143674026  Primary    SFR             360      346     70  6.125   6/1/2005   7/1/2006   5/1/2035   4,555.47   6/1/2006
143674661  Primary    SFR             360      346  79.97  5.875   6/1/2005   8/1/2006   5/1/2035   3,108.85   7/1/2006
143678043  Primary    SFR             360      346  59.06  5.875   6/1/2005   7/1/2006   5/1/2035   1,835.94   6/1/2006
143682425  Primary    SFR             360      346  72.22  5.875   6/1/2005   7/1/2006   5/1/2035   3,845.00   6/1/2006
143693588  Primary    Condo - High    360      346     95  5.875   6/1/2005   7/1/2006   5/1/2035   1,395.31   6/1/2006
143696706  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   2,252.08   6/1/2006
143707479  Primary    Condo - Low     360      346     80  5.875   6/1/2005   8/1/2006   5/1/2035   1,422.77   7/1/2006
143731677  Primary    SFR             360      346     70  6.125   6/1/2005   8/1/2006   5/1/2035   2,158.10   7/1/2006
143732006  Primary    SFR             360      346  79.58  5.875   6/1/2005   7/1/2006   5/1/2035   1,906.47   6/1/2006
143739761  Primary    Condo - Low     360      346  76.42  5.875   6/1/2005   7/1/2006   5/1/2035   1,982.81   6/1/2006
143740827  Primary    SFR             360      346  73.73      6   6/1/2005   7/1/2006   5/1/2035   2,820.00   6/1/2006
143743763  Primary    SFR             360      346     80      6   6/1/2005   7/1/2006   5/1/2035     903.26   6/1/2006
143753119  Primary    SFR             360      347     95      6   7/1/2005   7/1/2006   6/1/2035   2,345.09   6/1/2006
143757805  Primary    SFR             360      347  90.89    6.5   7/1/2005   8/1/2006   6/1/2035   3,154.02   7/1/2006
143762482  Primary    SFR             360      346  74.78  5.875   6/1/2005   7/1/2006   5/1/2035   2,103.86   6/1/2006
143767788  Primary    SFR             360      346     80      6   6/1/2005   8/1/2006   5/1/2035   2,440.00   7/1/2006
143778702  Secondary  Condo - High    360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     665.43   6/1/2006
143787844  Primary    PUD Detached    360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,194.58   6/1/2006
143791051  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,351.25   6/1/2006
143798924  Primary    Condo - Low     360      348  79.99  5.875   8/1/2005   7/1/2006   7/1/2035   1,292.01   6/1/2006
143806461  Primary    Condo - Low     360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,585.00   6/1/2006
143806511  Primary    SFR             360      346  88.13  5.875   6/1/2005   7/1/2006   5/1/2035   1,031.64   6/1/2006
143821346  Secondary  SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     545.76   6/1/2006
143832715  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   1,233.75   6/1/2006
143834406  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     763.75   6/1/2006
143840882  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     832.52   6/1/2006
143855658  Primary    SFR             360      346  76.88  6.125   6/1/2005   7/1/2006   5/1/2035   5,101.61   6/1/2006
143856219  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   2,444.00   6/1/2006
143872638  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035   1,754.67   7/1/2006
143877249  Primary    SFR             360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035     978.53   6/1/2006
143877595  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     861.42   6/1/2006
143883106  Primary    Condo - Low     360      346  75.84  5.875   6/1/2005  11/1/2006   5/1/2035     555.27  10/1/2006
143886075  Primary    SFR             360      346  79.34      6   6/1/2005   7/1/2006   5/1/2035   2,394.29   6/1/2006
143892354  Primary    SFR             360      346     70  5.875   6/1/2005   7/1/2006   5/1/2035   1,799.22   6/1/2006
143892743  Primary    SFR             360      346  78.38  5.875   6/1/2005   9/1/2006   5/1/2035   1,899.58   8/1/2006
143897015  Primary    SFR             360      346     75  5.875   6/1/2005   7/1/2006   5/1/2035   2,313.28   6/1/2006
143898559  Primary    SFR             360      347     75  5.875   7/1/2005   7/1/2006   6/1/2035   2,459.55   6/1/2006
143899045  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035     967.42   6/1/2006
143912111  Secondary  SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035   1,171.08   7/1/2006
143936284  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035      822.5   6/1/2006
143965721  Primary    SFR             360      346     80  5.875   6/1/2005   7/1/2006   5/1/2035   2,052.33   6/1/2006
143989283  Primary    Condo - Low     360      346     95  5.875   6/1/2005   7/1/2006   5/1/2035   1,441.82   6/1/2006
144026242  Primary    SFR             360      347     75      6   7/1/2005   7/1/2006   6/1/2035   3,243.75   6/1/2006
144033727  Primary    PUD Detached    360      347  77.14  5.875   7/1/2005   8/1/2006   6/1/2035   1,321.88   7/1/2006
144052248  Secondary  Condo - High    360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,135.44   6/1/2006
144064375  Secondary  SFR             360      347  79.94  5.875   7/1/2005   7/1/2006   6/1/2035     495.95   6/1/2006
144074812  Primary    Condo - Low     360      347  94.92  5.875   7/1/2005   7/1/2006   6/1/2035     586.03   6/1/2006
144099025  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035     588.05   7/1/2006
144102837  Primary    SFR             360      346     70  5.875   6/1/2005   8/1/2006   5/1/2035   2,118.80   7/1/2006
144108735  Secondary  Condo - High    360      348     80  5.875   8/1/2005   9/1/2006   7/1/2035   1,057.09   8/1/2006
144114246  Primary    Condo - Low     360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,448.38   6/1/2006
144135217  Primary    Condo - Low     360      346  79.85  5.875   6/1/2005   7/1/2006   5/1/2035   1,028.12   6/1/2006
144159217  Primary    SFR             360      347  35.25  5.875   7/1/2005   8/1/2006   6/1/2035   1,741.68   7/1/2006
144161908  Primary    SFR             360      347     95  5.875   7/1/2005   8/1/2006   6/1/2035     406.01   7/1/2006
144163326  Primary    Condo - High    360      347     75  5.875   7/1/2005   8/1/2006   6/1/2035   1,756.99   7/1/2006
144168069  Primary    SFR             360      347     75  5.875   7/1/2005   7/1/2006   6/1/2035   2,203.13   6/1/2006
144221538  Primary    SFR             360      347     75  5.875   7/1/2005   7/1/2006   6/1/2035   3,327.40   6/1/2006
144368776  Primary    SFR             360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035      822.5   7/1/2006
144371895  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035   2,275.60   6/1/2006
144377066  Primary    SFR             360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035   2,809.53   6/1/2006
144380797  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,237.67   6/1/2006
144391976  Primary    SFR             360      348  70.95  5.875   8/1/2005   7/1/2006   7/1/2035   1,797.95   6/1/2006
144452059  Primary    SFR             360      348  86.62  5.875   8/1/2005   7/1/2006   7/1/2035   1,627.95   6/1/2006
144456548  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,017.83   6/1/2006
144467891  Primary    Condo - Low     360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035   1,989.24   7/1/2006
144476447  Primary    SFR             360      348  76.27  5.875   8/1/2005   7/1/2006   7/1/2035   2,203.12   6/1/2006
144516291  Primary    PUD Detached    360      348     95  5.875   8/1/2005   7/1/2006   7/1/2035   1,193.75   6/1/2006
144519485  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,762.50   6/1/2006
144524162  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,600.41   6/1/2006
144534161  Primary    SFR             360      347  76.29  5.875   7/1/2005   7/1/2006   6/1/2035   1,370.83   6/1/2006
144541679  Primary    SFR             360      348  79.17  5.875   8/1/2005   7/1/2006   7/1/2035     930.06   6/1/2006
144560323  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,762.50   6/1/2006
144572567  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035   1,958.33   7/1/2006
144575933  Primary    SFR             360      347  79.88  5.875   7/1/2005   7/1/2006   6/1/2035   1,321.65   6/1/2006
144584927  Secondary  Condo - Low     360      348  79.87  5.875   8/1/2005   7/1/2006   7/1/2035     965.51   6/1/2006
144626991  Primary    SFR             360      347  76.25  5.875   7/1/2005   7/1/2006   6/1/2035   2,389.11   6/1/2006
144630761  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,161.78   6/1/2006
144635315  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   2,224.19   6/1/2006
144640745  Primary    SFR             360      347  68.74  5.875   7/1/2005   7/1/2006   6/1/2035     585.34   6/1/2006
144715596  Primary    SFR             360      348     70  5.875   8/1/2005   7/1/2006   7/1/2035   1,576.26   6/1/2006
144720315  Primary    SFR             360      349  69.82  5.875   9/1/2005   7/1/2006   8/1/2035     656.28   6/1/2006
144723269  Primary    SFR             360      348  74.83  5.875   8/1/2005   7/1/2006   7/1/2035   2,663.33   6/1/2006
144755048  Primary    SFR             360      347     65  5.875   7/1/2005   7/1/2006   6/1/2035   2,545.83   6/1/2006
144773025  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   3,017.18   6/1/2006
144807526  Primary    Condo - Low     360      348  72.22  5.875   8/1/2005   7/1/2006   7/1/2035   3,182.29   6/1/2006
144845278  Secondary  SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   1,092.75   6/1/2006
144854098  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   2,151.40   6/1/2006
144911401  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035   2,545.21   6/1/2006
144956455  Primary    SFR             360      349  79.52  5.875   9/1/2005   7/1/2006   8/1/2035   2,413.05   6/1/2006
144971124  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,958.33   6/1/2006
145011417  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035     820.22   7/1/2006
145056057  Primary    Condo - Low     360      348  79.99  5.625   8/1/2005   8/1/2006   7/1/2035   1,670.39   7/1/2006
145145967  Primary    SFR             360      348     90  5.875   8/1/2005   7/1/2006   7/1/2035   2,507.53   6/1/2006
145154704  Secondary  SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,911.33   6/1/2006
145165601  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035     877.58   6/1/2006
145245163  Primary    SFR             360      350     60  5.875  10/1/2005   7/1/2006   9/1/2035   2,657.74   6/1/2006
145299855  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,341.59   6/1/2006
145355384  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035   1,050.67   6/1/2006
145413746  Primary    SFR             360      350     90  5.875  10/1/2005   8/1/2006   9/1/2035   2,406.38   7/1/2006
145472882  Primary    SFR             360      353     95  5.875   1/1/2006   7/1/2006  12/1/2035     593.01   6/1/2006
145528204  Primary    SFR             360      348  79.98  5.875   8/1/2005   7/1/2006   7/1/2035   1,957.84   6/1/2006
145553764  Primary    SFR             360      349  71.17  5.875   9/1/2005   8/1/2006   8/1/2035   4,895.83   7/1/2006
145579678  Primary    Condo - Low     360      349     90  5.875   9/1/2005   7/1/2006   8/1/2035   2,608.69   6/1/2006
145598215  Primary    SFR             360      349  74.74  5.875   9/1/2005   7/1/2006   8/1/2035   1,800.20   6/1/2006
145598264  Primary    Condo - High    360      350     95  5.875  10/1/2005   7/1/2006   9/1/2035   1,604.61   6/1/2006
145610994  Primary    SFR             360      355     90  6.375   3/1/2006   7/1/2006   2/1/2036   3,593.50   6/1/2006
145671848  Primary    SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035   3,247.77   6/1/2006
145677522  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035     578.64   6/1/2006
145695367  Primary    SFR             360      349  68.33  5.875   9/1/2005   7/1/2006   8/1/2035   1,405.10   6/1/2006
145703732  Investor   SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035   2,570.31   6/1/2006
145737318  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,176.39   6/1/2006
145760708  Primary    Condo - Low     360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035     632.39   6/1/2006
145816567  Primary    SFR             360      349  68.81  5.875   9/1/2005   8/1/2006   8/1/2035   2,272.39   7/1/2006
145944526  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,064.10   6/1/2006
145945713  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,429.58   6/1/2006
145946612  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   1,018.33   6/1/2006
145960928  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035     759.83   6/1/2006
145961009  Primary    Cooperative     360      351  86.96  5.875  11/1/2005   8/1/2006  10/1/2035     489.25   7/1/2006
146011457  Investor   Condo - Low     360      349     90      6   9/1/2005   8/1/2006   8/1/2035   1,440.00   7/1/2006
146049036  Primary    SFR             360      350  61.14  5.875  10/1/2005   7/1/2006   9/1/2035   2,224.19   6/1/2006
146071816  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035      569.6   6/1/2006
146081914  Primary    SFR             360      350  78.83  5.875  10/1/2005   7/1/2006   9/1/2035   3,217.38   6/1/2006
146084074  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     697.17   6/1/2006
146097704  Primary    SFR             360      349  79.86  5.875   9/1/2005   7/1/2006   8/1/2035   1,126.02   6/1/2006
146108873  Primary    SFR             360      349   77.5  5.875   9/1/2005   8/1/2006   8/1/2035   2,044.54   7/1/2006
146129499  Primary    Condo - Low     360      350     95  5.875  10/1/2005   7/1/2006   9/1/2035     367.43   6/1/2006
146146667  Primary    SFR             360      350     75      6  10/1/2005   8/1/2006   9/1/2035   2,137.50   7/1/2006
146156716  Primary    Condo - Low     360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,083.91   6/1/2006
146164207  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     786.66   6/1/2006
146171384  Secondary  SFR             360      351  64.99  5.875  11/1/2005   7/1/2006  10/1/2035   1,610.16   6/1/2006
146185277  Primary    SFR             360      350  74.73  5.875  10/1/2005   7/1/2006   9/1/2035   1,664.58   6/1/2006
146189147  Primary    SFR             360      351     70  5.875  11/1/2005   7/1/2006  10/1/2035   4,797.92   6/1/2006
146197223  Primary    SFR             360      350  61.54  5.875  10/1/2005   7/1/2006   9/1/2035   4,895.01   6/1/2006
146215546  Primary    SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,386.72   6/1/2006
146236179  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,017.08   6/1/2006
146246434  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     920.42   6/1/2006
146264486  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,663.33   6/1/2006
146272034  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,527.50   6/1/2006
146272901  Primary    SFR             360      350  61.57  5.875  10/1/2005   7/1/2006   9/1/2035   1,914.27   6/1/2006
146275623  Primary    SFR             360      349  84.31  5.875   9/1/2005   7/1/2006   8/1/2035   2,105.21   6/1/2006
146276316  Primary    Condo - Low     360      350  74.89  5.875  10/1/2005   7/1/2006   9/1/2035   2,438.09   6/1/2006
146283999  Primary    SFR             360      350  73.33  5.875  10/1/2005   7/1/2006   9/1/2035   1,041.11   6/1/2006
146291695  Investor   SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     627.06   6/1/2006
146296603  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,470.07   6/1/2006
146302385  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035     842.08   7/1/2006
146303482  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,598.04   6/1/2006
146309307  Primary    SFR             360      350  78.04  5.875  10/1/2005   7/1/2006   9/1/2035   1,756.74   6/1/2006
146313267  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035     665.83   7/1/2006
146316716  Primary    SFR             360      350  76.36  5.875  10/1/2005   8/1/2006   9/1/2035     822.49   7/1/2006
146319827  Primary    SFR             360      350   68.3  5.875  10/1/2005   7/1/2006   9/1/2035   3,816.51   6/1/2006
146331699  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,295.17   6/1/2006
146332879  Primary    Condo - Low     360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   1,331.67   6/1/2006
146337605  Primary    SFR             360      350  74.19  5.875  10/1/2005   7/1/2006   9/1/2035   1,343.91   6/1/2006
146342118  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,535.96   6/1/2006
146342886  Primary    SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   4,029.86   6/1/2006
146348743  Primary    Condo - High    360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,073.17   6/1/2006
146350475  Primary    Condo - Low     360      349  68.03  5.875   9/1/2005   7/1/2006   8/1/2035   2,442.58   6/1/2006
146380126  Primary    SFR             360      350  64.02  5.875  10/1/2005   7/1/2006   9/1/2035   4,895.83   6/1/2006
146384375  Primary    SFR             360      350  63.16  5.875  10/1/2005   7/1/2006   9/1/2035   2,937.50   6/1/2006
146392378  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     350.79   6/1/2006
146393939  Primary    Condo - Low     360      350  74.93  5.875  10/1/2005   7/1/2006   9/1/2035   2,751.46   6/1/2006
146410261  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,703.75   6/1/2006
146412077  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,271.67   6/1/2006
146421706  Primary    SFR             360      350     95  5.875  10/1/2005   7/1/2006   9/1/2035   1,395.31   6/1/2006
146433305  Primary    SFR             360      351     75      6  11/1/2005   7/1/2006  10/1/2035   2,658.50   6/1/2006
146444633  Primary    SFR             360      350  71.54  5.875  10/1/2005   7/1/2006   9/1/2035   1,844.38   6/1/2006
146451927  Primary    Condo - Low     360      349     80  5.875   9/1/2005   8/1/2006   8/1/2035     793.65   7/1/2006
146456686  Primary    SFR             360      350  74.33  5.875  10/1/2005   7/1/2006   9/1/2035   2,183.54   6/1/2006
146457361  Secondary  SFR             360      350  51.29  5.875  10/1/2005   7/1/2006   9/1/2035     605.14   6/1/2006
146458278  Primary    SFR             360      350     65  5.875  10/1/2005   7/1/2006   9/1/2035   1,905.99   6/1/2006
146461413  Investor   SFR             360      350     65  5.875  10/1/2005   7/1/2006   9/1/2035   2,179.87   6/1/2006
146462114  Primary    SFR             360      350  49.58  5.875  10/1/2005   7/1/2006   9/1/2035   2,913.02   6/1/2006
146462346  Investor   SFR             360      350     90   6.25  10/1/2005   8/1/2006   9/1/2035   2,777.34   7/1/2006
146469234  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   1,183.87   7/1/2006
146472071  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     998.36   6/1/2006
146472121  Secondary  Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,579.11   6/1/2006
146473822  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,284.48   6/1/2006
146480181  Primary    2-Family        360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,467.50   6/1/2006
146480645  Primary    SFR             360      353     65  5.875   1/1/2006   7/1/2006  12/1/2035   3,500.52   6/1/2006
146481866  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,958.33   6/1/2006
146482708  Primary    SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,450.97   6/1/2006
146483268  Primary    Condo - Low     360      350  74.89  5.875  10/1/2005   7/1/2006   9/1/2035   2,584.98   6/1/2006
146483284  Primary    SFR             360      350  69.61  5.875  10/1/2005   7/1/2006   9/1/2035   3,083.56   6/1/2006
146485669  Primary    Condo - High    360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   1,566.67   6/1/2006
146505375  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035     661.92   6/1/2006
146506613  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   1,155.42   6/1/2006
146508601  Primary    SFR             360      350  64.79  5.875  10/1/2005   7/1/2006   9/1/2035   2,315.73   6/1/2006
146509153  Secondary  SFR             360      351  78.61  6.625  11/1/2005   7/1/2006  10/1/2035   2,495.42   6/1/2006
146520879  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,292.11   6/1/2006
146522826  Primary    Condo - High    360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,154.17   6/1/2006
146546544  Primary    SFR             360      350  61.64  5.875  10/1/2005   7/1/2006   9/1/2035   2,201.19   6/1/2006
146556949  Primary    SFR             360      350  61.69  5.875  10/1/2005   8/1/2006   9/1/2035   2,319.41   7/1/2006
146561113  Primary    SFR             360      350     33  5.875  10/1/2005   7/1/2006   9/1/2035     976.04   6/1/2006
146567698  Primary    SFR             360      350  68.57  5.875  10/1/2005   7/1/2006   9/1/2035   1,175.00   6/1/2006
146569744  Secondary  SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   2,389.17   7/1/2006
146577911  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,384.75   6/1/2006
146581608  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   3,320.00   6/1/2006
146587001  Primary    SFR             360      350  57.34  5.875  10/1/2005   7/1/2006   9/1/2035   1,974.24   6/1/2006
146588348  Secondary  Condo - High    360      350     80  6.375  10/1/2005   7/1/2006   9/1/2035   2,337.50   6/1/2006
146599048  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,253.33   6/1/2006
146612429  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   3,913.40   7/1/2006
146618319  Primary    SFR             360      350     70  5.875  10/1/2005   7/1/2006   9/1/2035     616.88   6/1/2006
146636154  Primary    SFR             360      351  66.91      6  11/1/2005   8/1/2006  10/1/2035   2,274.94   7/1/2006
146641329  Primary    SFR             360      352  61.52      6  12/1/2005   7/1/2006  11/1/2035   3,227.89   6/1/2006
146645262  Primary    Condo - Low     360      350     75      6  10/1/2005   7/1/2006   9/1/2035   2,493.75   6/1/2006
146651773  Primary    SFR             360      350  74.55  5.875  10/1/2005   7/1/2006   9/1/2035   1,204.08   6/1/2006
146655055  Primary    SFR             360      349  76.92  5.875   9/1/2005   7/1/2006   8/1/2035   2,439.84   6/1/2006
146658141  Primary    SFR             360      350  74.42  5.875  10/1/2005   8/1/2006   9/1/2035   2,367.78   7/1/2006
146658265  Primary    SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,056.25   6/1/2006
146666011  Primary    Condo - High    360      349  78.18  5.875   9/1/2005   7/1/2006   8/1/2035   1,760.79   6/1/2006
146669528  Primary    SFR             360      350     75      6  10/1/2005   7/1/2006   9/1/2035   2,250.00   6/1/2006
146679022  Primary    SFR             360      350   71.3  5.875  10/1/2005   7/1/2006   9/1/2035   1,884.90   6/1/2006
146684139  Primary    SFR             360      350  75.23  5.875  10/1/2005   8/1/2006   9/1/2035     802.85   7/1/2006
146685748  Secondary  Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     828.16   7/1/2006
146698329  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   2,900.00   6/1/2006
146711569  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     988.47   6/1/2006
146718135  Primary    SFR             360      351  74.85  5.875  11/1/2005   7/1/2006  10/1/2035   2,986.46   6/1/2006
146728753  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035     880.64   7/1/2006
146739453  Investor   Condo - Low     360      350     90  6.125  10/1/2005   7/1/2006   9/1/2035   1,044.62   6/1/2006
146751243  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   1,801.67   7/1/2006
146754957  Primary    Condo - Low     360      350  73.08  5.875  10/1/2005   7/1/2006   9/1/2035   1,840.24   6/1/2006
146762067  Primary    SFR             360      350   71.6      6  10/1/2005   7/1/2006   9/1/2035   2,863.56   6/1/2006
146767819  Primary    Condo - Low     360      350     71  5.875  10/1/2005   7/1/2006   9/1/2035     869.01   6/1/2006
146768387  Primary    SFR             360      350   79.2  5.875  10/1/2005   7/1/2006   9/1/2035   2,422.84   6/1/2006
146770854  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   2,616.09   6/1/2006
146771423  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     369.76   6/1/2006
146771795  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,116.25   6/1/2006
146779228  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,594.08   6/1/2006
146782008  Primary    Condo - High    360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     645.86   6/1/2006
146785027  Primary    SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035   2,111.33   6/1/2006
146786645  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,801.23   6/1/2006
146794672  Primary    Condo - Low     360      350  79.93  5.875  10/1/2005   8/1/2006   9/1/2035      483.7   7/1/2006
146798046  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,692.45   6/1/2006
146800073  Primary    SFR             360      350     75      6  10/1/2005   8/1/2006   9/1/2035   2,200.70   7/1/2006
146802483  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,150.66   6/1/2006
146805296  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   2,560.00   6/1/2006
146810387  Primary    SFR             360      350   75.6  6.125  10/1/2005   7/1/2006   9/1/2035   2,411.21   6/1/2006
146810981  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,135.83   6/1/2006
146812185  Primary    SFR             360      350  79.97  5.875  10/1/2005   7/1/2006   9/1/2035   1,860.42   6/1/2006
146816848  Primary    SFR             360      350  76.41  5.875  10/1/2005   7/1/2006   9/1/2035   1,529.78   6/1/2006
146817739  Primary    SFR             360      350  78.32  5.875  10/1/2005   7/1/2006   9/1/2035   2,730.06   6/1/2006
146824636  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     734.37   6/1/2006
146824677  Primary    SFR             360      350  71.82  5.875  10/1/2005   7/1/2006   9/1/2035   3,182.29   6/1/2006
146829197  Primary    SFR             360      350  69.44  5.875  10/1/2005   7/1/2006   9/1/2035   2,124.79   6/1/2006
146837182  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     685.42   6/1/2006
146838214  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   1,331.67   7/1/2006
146840913  Primary    SFR             360      352     70  5.875  12/1/2005   8/1/2006  11/1/2035   3,906.88   7/1/2006
146843107  Primary    SFR             360      350  79.99   5.75  10/1/2005   7/1/2006   9/1/2035   1,276.50   6/1/2006
146855309  Primary    SFR             360      350     85  5.875  10/1/2005   8/1/2006   9/1/2035   2,288.80   7/1/2006
146860234  Primary    SFR             360      351     95      6  11/1/2005   8/1/2006  10/1/2035   2,826.25   7/1/2006
146861711  Secondary  SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,331.67   6/1/2006
146864194  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,570.58   6/1/2006
146864277  Investor   Condo - Low     360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035     599.94   6/1/2006
146867734  Primary    SFR             360      351   79.4  5.875  11/1/2005   7/1/2006  10/1/2035   2,585.00   6/1/2006
146870043  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,880.00   6/1/2006
146874243  Primary    SFR             360      352  74.36  5.875  12/1/2005   8/1/2006  11/1/2035   2,839.34   7/1/2006
146875687  Secondary  SFR             360      350     75   6.25  10/1/2005   7/1/2006   9/1/2035   3,906.25   6/1/2006
146875828  Secondary  SFR             360      350   44.6      6  10/1/2005   7/1/2006   9/1/2035   3,177.50   6/1/2006
146883699  Secondary  SFR             360      350  69.01  5.875  10/1/2005   7/1/2006   9/1/2035   1,199.20   6/1/2006
146883764  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,675.43   6/1/2006
146885124  Investor   SFR             360      350     75      6  10/1/2005   7/1/2006   9/1/2035   1,031.25   6/1/2006
146901178  Primary    2-Family        360      350     75  6.125  10/1/2005   7/1/2006   9/1/2035   3,645.67   6/1/2006
146904107  Primary    PUD Detached    360      350   79.7  5.875  10/1/2005   7/1/2006   9/1/2035     545.86   6/1/2006
146909379  Primary    SFR             360      352     78  5.875  12/1/2005   7/1/2006  11/1/2035   3,465.61   6/1/2006
146916598  Primary    Condo - Low     360      351  76.38  5.875  11/1/2005   7/1/2006  10/1/2035   2,373.46   6/1/2006
146917729  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,721.20   6/1/2006
146927926  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   2,556.85   7/1/2006
146929583  Primary    SFR             360      351     71  5.875  11/1/2005   7/1/2006  10/1/2035   2,382.31   6/1/2006
146932744  Primary    SFR             360      352     80  5.875  12/1/2005  11/1/2006  11/1/2035   1,550.34  10/1/2006
146934955  Primary    SFR             360      351  75.79  5.875  11/1/2005   7/1/2006  10/1/2035   1,762.50   6/1/2006
146937743  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,292.50   6/1/2006
146937867  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     610.22   6/1/2006
146939467  Primary    SFR             360      350  66.67  5.875  10/1/2005   7/1/2006   9/1/2035   3,916.67   6/1/2006
146940275  Primary    SFR             360      351  69.42  6.125  11/1/2005   7/1/2006  10/1/2035   2,744.83   6/1/2006
146940309  Secondary  SFR             360      351  46.51   6.25  11/1/2005   7/1/2006  10/1/2035  10,416.67   6/1/2006
146940325  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,111.55   6/1/2006
146943352  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035   2,519.42   6/1/2006
146944699  Primary    SFR             360      350  78.26  5.875  10/1/2005   7/1/2006   9/1/2035   2,643.75   6/1/2006
146953096  Primary    PUD Detached    360      351  78.92  5.875  11/1/2005   7/1/2006  10/1/2035     714.79   6/1/2006
146956735  Primary    SFR             360      352  56.25  5.875  12/1/2005   7/1/2006  11/1/2035   4,405.79   6/1/2006
146960265  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   2,447.92   7/1/2006
146962956  Primary    Condo - Low     360      350  69.44  5.875  10/1/2005   7/1/2006   9/1/2035   2,423.11   6/1/2006
146965801  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035     859.16   7/1/2006
146968672  Primary    Condo - Low     360      350  79.98  5.875  10/1/2005   7/1/2006   9/1/2035   1,304.01   6/1/2006
146969985  Primary    SFR             360      351     75      6  11/1/2005   8/1/2006  10/1/2035   2,125.00   7/1/2006
146970892  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   1,253.27   7/1/2006
146981261  Primary    SFR             360      350     73   6.75  10/1/2005   7/1/2006   9/1/2035   3,402.97   6/1/2006
146983275  Primary    Condo - Low     360      351  73.79  5.875  11/1/2005   7/1/2006  10/1/2035   1,433.99   6/1/2006
146985908  Primary    SFR             360      350   55.4  5.875  10/1/2005   7/1/2006   9/1/2035   1,879.19   6/1/2006
146987243  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   1,354.92   6/1/2006
146987904  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,033.97   6/1/2006
146989884  Primary    SFR             360      351     80      6  11/1/2005   8/1/2006  10/1/2035   2,102.90   7/1/2006
146999081  Secondary  SFR             360      351     90  5.875  11/1/2005   7/1/2006  10/1/2035   1,788.94   6/1/2006
146999164  Primary    SFR             360      350  72.22  5.875  10/1/2005   7/1/2006   9/1/2035     635.49   6/1/2006
147004923  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,976.67   6/1/2006
147005474  Primary    PUD Detached    360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035   1,034.13   6/1/2006
147009666  Primary    SFR             360      352  79.99  5.875  12/1/2005   7/1/2006  11/1/2035   1,828.39   6/1/2006
147009831  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035   2,916.00   6/1/2006
147011803  Investor   4-Family        360      351  72.73  5.875  11/1/2005   7/1/2006  10/1/2035   1,952.54   6/1/2006
147011886  Primary    SFR             360      350     70  5.875  10/1/2005   8/1/2006   9/1/2035   3,769.79   7/1/2006
147013155  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   1,398.25   7/1/2006
147016554  Primary    SFR             360      350  89.89  5.875  10/1/2005   7/1/2006   9/1/2035   1,894.69   6/1/2006
147018527  Primary    SFR             360      350  70.13      6  10/1/2005   7/1/2006   9/1/2035   2,700.00   6/1/2006
147026785  Primary    SFR             360      351  83.45  5.875  11/1/2005   7/1/2006  10/1/2035   3,023.18   6/1/2006
147036644  Primary    SFR             360      351  67.79  5.875  11/1/2005   7/1/2006  10/1/2035   2,066.04   6/1/2006
147040307  Primary    SFR             360      350  64.57  5.875  10/1/2005   7/1/2006   9/1/2035   2,006.80   6/1/2006
147050439  Primary    SFR             360      350  74.59  5.875  10/1/2005   7/1/2006   9/1/2035   3,378.13   6/1/2006
147055073  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,337.66   6/1/2006
147055628  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     806.83   6/1/2006
147070205  Primary    Condo - Low     360      350  78.45  5.875  10/1/2005   8/1/2006   9/1/2035   1,390.46   7/1/2006
147074058  Primary    Condo - Low     360      351  65.48  5.875  11/1/2005   7/1/2006  10/1/2035   1,986.73   6/1/2006
147081327  Secondary  SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,410.00   6/1/2006
147081681  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   2,075.83   7/1/2006
147094973  Primary    SFR             360      352     95  5.875  12/1/2005   7/1/2006  11/1/2035   1,329.54   6/1/2006
147100119  Secondary  Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,859.87   6/1/2006
147104228  Primary    Condo - Low     360      350     75  6.375  10/1/2005   7/1/2006   9/1/2035   3,187.02   6/1/2006
147105431  Primary    SFR             360      350   74.8  5.875  10/1/2005   7/1/2006   9/1/2035   3,181.51   6/1/2006
147106223  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     843.11   6/1/2006
147120695  Investor   SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     748.39   6/1/2006
147123152  Primary    SFR             360      351  56.91  6.125  11/1/2005   7/1/2006  10/1/2035   2,541.87   6/1/2006
147123806  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,179.94   6/1/2006
147129191  Investor   SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     945.66   6/1/2006
147135891  Primary    SFR             360      351  62.11  5.875  11/1/2005   7/1/2006  10/1/2035   2,888.54   6/1/2006
147146963  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,566.67   6/1/2006
147147078  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     753.56   6/1/2006
147151039  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   3,157.81   6/1/2006
147157671  Primary    SFR             360      352   47.5  5.875  12/1/2005   7/1/2006  11/1/2035     927.04   6/1/2006
147160618  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,937.50   6/1/2006
147164982  Primary    Condo - Low     360      351  59.05  5.875  11/1/2005   7/1/2006  10/1/2035   1,821.25   6/1/2006
147165666  Primary    SFR             360      351  57.95  6.125  11/1/2005   7/1/2006  10/1/2035   2,603.13   6/1/2006
147165922  Primary    SFR             360      351  68.81  5.875  11/1/2005   7/1/2006  10/1/2035   1,522.60   6/1/2006
147168496  Primary    Condo - Low     360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   1,652.83   7/1/2006
147172266  Investor   Condo - Low     360      351   76.3  6.375  11/1/2005   7/1/2006  10/1/2035   2,735.94   6/1/2006
147181903  Primary    Condo - Low     360      351  49.44  5.875  11/1/2005  10/1/2006  10/1/2035   2,176.69   9/1/2006
147191324  Primary    SFR             360      351  68.92  5.875  11/1/2005   7/1/2006  10/1/2035   2,193.33   6/1/2006
147192983  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     391.57   6/1/2006
147197461  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,272.92   6/1/2006
147198055  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,820.00   6/1/2006
147199434  Primary    SFR             360      349  57.19  5.875   9/1/2005   7/1/2006   8/1/2035   3,105.57   6/1/2006
147206908  Secondary  SFR             360      351     80      6  11/1/2005   8/1/2006  10/1/2035   2,458.24   7/1/2006
147212591  Primary    Condo - Low     360      352     95  5.875  12/1/2005   7/1/2006  11/1/2035   1,255.32   6/1/2006
147216113  Primary    SFR             360      351     80    6.5  11/1/2005   7/1/2006  10/1/2035   2,296.67   6/1/2006
147216899  Investor   SFR             360      350  78.57  5.875  10/1/2005   7/1/2006   9/1/2035     807.81   6/1/2006
147217665  Primary    Condo - High    360      350   64.6  5.875  10/1/2005   7/1/2006   9/1/2035   1,786.98   6/1/2006
147226138  Primary    Condo - Low     360      350     80  5.875  10/1/2005   9/1/2006   9/1/2035     690.21   8/1/2006
147226625  Primary    SFR             360      351   36.8  5.875  11/1/2005   7/1/2006  10/1/2035   2,721.08   6/1/2006
147229694  Primary    SFR             360      351     75  6.125  11/1/2005   7/1/2006  10/1/2035   2,239.45   6/1/2006
147230577  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,135.56   6/1/2006
147254544  Primary    Condo - Low     360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035     441.84   7/1/2006
147261051  Investor   Condo - Low     360      350  79.99      6  10/1/2005   7/1/2006   9/1/2035      967.5   6/1/2006
147261176  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   1,178.92   7/1/2006
147262679  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035     724.58   7/1/2006
147272892  Primary    2-Family        360      352     80    6.5  12/1/2005   8/1/2006  11/1/2035   3,401.67   7/1/2006
147272942  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     693.25   6/1/2006
147274104  Primary    SFR             360      351     70      6  11/1/2005   8/1/2006  10/1/2035   7,385.00   7/1/2006
147280127  Primary    SFR             360      351   28.8  5.875  11/1/2005   7/1/2006  10/1/2035   1,762.50   6/1/2006
147280184  Primary    SFR             360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035   1,612.28   6/1/2006
147282669  Primary    SFR             360      350  74.92  6.125  10/1/2005   7/1/2006   9/1/2035   2,332.40   6/1/2006
147293906  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,154.17   6/1/2006
147298525  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,840.83   6/1/2006
147299077  Primary    Condo - Low     360      351  77.36  5.875  11/1/2005   7/1/2006  10/1/2035   1,665.89   6/1/2006
147324438  Primary    SFR             360      351  70.56  5.875  11/1/2005   7/1/2006  10/1/2035   2,480.74   6/1/2006
147327001  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,393.08   6/1/2006
147328678  Primary    SFR             360      351     95      6  11/1/2005   8/1/2006  10/1/2035   2,242.00   7/1/2006
147330716  Primary    SFR             360      351     65  5.875  11/1/2005   8/1/2006  10/1/2035   1,877.55   7/1/2006
147332167  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,036.67   6/1/2006
147355531  Primary    SFR             360      351  74.97  5.875  11/1/2005   7/1/2006  10/1/2035   2,624.17   6/1/2006
147358352  Primary    SFR             360      350  76.24  5.875  10/1/2005   8/1/2006   9/1/2035   1,757.60   7/1/2006
147360606  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,410.00   6/1/2006
147365753  Primary    SFR             360      351     75  6.125  11/1/2005   7/1/2006  10/1/2035   3,866.41   6/1/2006
147374748  Primary    SFR             360      351  74.84  5.875  11/1/2005   7/1/2006  10/1/2035   3,430.92   6/1/2006
147377261  Primary    SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035   4,050.90   6/1/2006
147380372  Primary    SFR             360      351  67.04  5.875  11/1/2005   7/1/2006  10/1/2035   2,324.82   6/1/2006
147384077  Primary    SFR             360      350     95  6.125  10/1/2005   7/1/2006   9/1/2035   2,699.84   6/1/2006
147385397  Primary    SFR             360      351  79.99  5.875  11/1/2005   7/1/2006  10/1/2035   1,434.97   6/1/2006
147389803  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   1,761.93   6/1/2006
147390694  Primary    SFR             360      352     80  5.875  12/1/2005   9/1/2006  11/1/2035     754.61   8/1/2006
147392286  Primary    SFR             360      351  74.91  5.875  11/1/2005   7/1/2006  10/1/2035   2,017.08   6/1/2006
147400493  Primary    SFR             360      352  79.62  5.875  12/1/2005   7/1/2006  11/1/2035   3,697.12   6/1/2006
147404545  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   2,329.18   6/1/2006
147411037  Primary    SFR             360      351     95  5.875  11/1/2005   8/1/2006  10/1/2035     954.16   7/1/2006
147411722  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035   2,429.58   6/1/2006
147416614  Investor   PUD Detached    360      352     90  5.875  12/1/2005   7/1/2006  11/1/2035     841.46   6/1/2006
147419139  Investor   SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     533.67   6/1/2006
147423164  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,645.00   6/1/2006
147423446  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035     967.67   7/1/2006
147425045  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,764.46   6/1/2006
147427165  Primary    SFR             360      358     75  5.875   6/1/2006   8/1/2006   5/1/2036   2,089.30   7/1/2006
147427751  Primary    Condo - High    360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,193.33   6/1/2006
147442685  Primary    SFR             360      351  55.33  5.875  11/1/2005   8/1/2006  10/1/2035   1,758.63   7/1/2006
147446389  Primary    Condo - High    360      352     90      6  12/1/2005   7/1/2006  11/1/2035   2,659.78   6/1/2006
147451876  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,179.18   6/1/2006
147455315  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,695.92   6/1/2006
147458087  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   1,285.16   6/1/2006
147462626  Primary    2-Family        360      351  69.44  5.875  11/1/2005   8/1/2006  10/1/2035   3,670.98   7/1/2006
147470983  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,056.25   6/1/2006
147473599  Primary    SFR             360      353  88.76  6.375   1/1/2006   7/1/2006  12/1/2035   2,475.63   6/1/2006
147498984  Primary    SFR             360      351  72.85  5.875  11/1/2005   7/1/2006  10/1/2035   2,690.26   6/1/2006
147506059  Primary    Condo - Low     360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,761.31   7/1/2006
147514491  Primary    SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035   4,112.50   6/1/2006
147527188  Primary    SFR             360      351  56.53  5.875  11/1/2005   7/1/2006  10/1/2035   2,310.83   6/1/2006
147529655  Secondary  SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,252.08   6/1/2006
147539712  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,095.42   6/1/2006
147543797  Primary    SFR             360      350  79.15  5.875  10/1/2005   7/1/2006   9/1/2035     731.21   6/1/2006
147589659  Primary    SFR             360      351  77.25  5.875  11/1/2005   7/1/2006  10/1/2035     881.25   6/1/2006
147606792  Primary    SFR             360      353  79.96  5.875   1/1/2006   7/1/2006  12/1/2035   2,257.71   6/1/2006
147608756  Primary    SFR             360      351  79.01  5.875  11/1/2005   7/1/2006  10/1/2035     819.44   6/1/2006
147675045  Primary    SFR             360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035   1,288.34   6/1/2006
147680847  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035   2,259.75   7/1/2006
147697817  Primary    SFR             360      352     80  5.875  12/1/2005   9/1/2006  11/1/2035     575.75   8/1/2006
147700777  Primary    SFR             360      351  66.66  5.875  11/1/2005   7/1/2006  10/1/2035   2,447.43   6/1/2006
147702732  Secondary  Condo - High    360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   2,271.67   6/1/2006
147703581  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     969.31   6/1/2006
147704365  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,310.86   6/1/2006
147705081  Primary    SFR             360      352     75      6  12/1/2005   7/1/2006  11/1/2035   2,812.50   6/1/2006
147712269  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,232.50   6/1/2006
147714588  Primary    SFR             360      352     79  5.875  12/1/2005   7/1/2006  11/1/2035   1,933.85   6/1/2006
147719165  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,653.54   6/1/2006
147723464  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   3,035.42   6/1/2006
147724645  Primary    SFR             360      352  68.39  5.875  12/1/2005   7/1/2006  11/1/2035     780.83   6/1/2006
147724991  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035   3,121.09   6/1/2006
147733752  Primary    SFR             360      352     65  6.125  12/1/2005   7/1/2006  11/1/2035   2,139.41   6/1/2006
147734453  Primary    SFR             360      352  79.15  5.875  12/1/2005   7/1/2006  11/1/2035     910.55   6/1/2006
147739403  Primary    SFR             360      351     72  5.875  11/1/2005   7/1/2006  10/1/2035   2,203.13   6/1/2006
147741904  Secondary  SFR             360      353   49.5  5.875   1/1/2006   8/1/2006  12/1/2035   5,915.38   7/1/2006
147747349  Investor   SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     581.71   6/1/2006
147754253  Primary    Condo - Low     360      352  70.01      6  12/1/2005   7/1/2006  11/1/2035   2,088.09   6/1/2006
147765283  Primary    SFR             360      351  78.16  5.875  11/1/2005   7/1/2006  10/1/2035   1,664.58   6/1/2006
147769905  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     920.19   6/1/2006
147770358  Investor   SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,341.91   6/1/2006
147773725  Primary    SFR             360      352  79.82  5.875  12/1/2005   7/1/2006  11/1/2035   1,297.40   6/1/2006
147784219  Primary    Condo - Low     360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035      683.7   6/1/2006
147784789  Investor   SFR             360      353  47.82  5.875   1/1/2006   7/1/2006  12/1/2035   1,826.15   6/1/2006
147787352  Primary    SFR             360      351  69.33  5.875  11/1/2005   7/1/2006  10/1/2035   1,018.33   6/1/2006
147790562  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,164.80   6/1/2006
147807283  Investor   SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,018.14   7/1/2006
147813083  Primary    Cooperative     360      353     90      6   1/1/2006   7/1/2006  12/1/2035   2,317.50   6/1/2006
147829014  Primary    SFR             360      352  53.33  5.875  12/1/2005   7/1/2006  11/1/2035   2,741.45   6/1/2006
147831911  Primary    SFR             360      352  78.39  5.875  12/1/2005   7/1/2006  11/1/2035     905.71   6/1/2006
147844757  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     479.75   6/1/2006
147845804  Primary    SFR             360      352  73.91   6.25  12/1/2005   7/1/2006  11/1/2035   4,427.08   6/1/2006
147846455  Primary    SFR             360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035   2,296.88   6/1/2006
147850481  Primary    SFR             360      351  56.17  5.875  11/1/2005   7/1/2006  10/1/2035   2,395.44   6/1/2006
147853972  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,643.75   6/1/2006
147857205  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   3,132.68   7/1/2006
147857908  Investor   PUD Detached    360      351     90  5.875  11/1/2005   7/1/2006  10/1/2035      756.4   6/1/2006
147863013  Primary    Condo - Low     360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035   2,184.07   7/1/2006
147868335  Primary    Condo - Low     360      353  89.91  5.875   1/1/2006   8/1/2006  12/1/2035   2,007.29   7/1/2006
147869218  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,997.50   6/1/2006
147871545  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,495.45   6/1/2006
147873541  Primary    SFR             360      352  73.27  5.875  12/1/2005   7/1/2006  11/1/2035   1,916.36   6/1/2006
147874671  Primary    SFR             360      352  40.47  5.875  12/1/2005   7/1/2006  11/1/2035   2,129.69   6/1/2006
147880322  Primary    SFR             360      352  61.57  5.875  12/1/2005   7/1/2006  11/1/2035   2,549.53   6/1/2006
147891741  Primary    SFR             360      352  72.82  5.875  12/1/2005   7/1/2006  11/1/2035   1,958.33   6/1/2006
147893994  Primary    SFR             360      352  79.62  6.125  12/1/2005   7/1/2006  11/1/2035   3,169.69   6/1/2006
147895627  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,472.47   6/1/2006
147905624  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,137.95   6/1/2006
147908727  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,649.20   6/1/2006
147910475  Primary    PUD Detached    360      352  74.95  5.875  12/1/2005   7/1/2006  11/1/2035     900.79   6/1/2006
147911788  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,113.69   6/1/2006
147917504  Primary    SFR             360      352     95  5.875  12/1/2005   7/1/2006  11/1/2035     439.52   6/1/2006
147917595  Investor   Condo - Low     360      353     90  6.125   1/1/2006   7/1/2006  12/1/2035      688.6   6/1/2006
147921555  Primary    SFR             360      352  56.22  5.875  12/1/2005   7/1/2006  11/1/2035   2,543.35   6/1/2006
147927552  Primary    SFR             360      352  79.74  5.875  12/1/2005   7/1/2006  11/1/2035   3,025.62   6/1/2006
147927966  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,744.21   6/1/2006
147946503  Primary    SFR             360      352  69.84  5.875  12/1/2005   7/1/2006  11/1/2035   2,142.77   6/1/2006
147947279  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,995.91   6/1/2006
147949564  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   1,104.50   6/1/2006
147951123  Primary    SFR             360      352  74.07  5.875  12/1/2005   8/1/2006  11/1/2035   1,468.75   7/1/2006
147952386  Primary    PUD Detached    360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035   3,513.25   6/1/2006
147953335  Primary    2-Family        360      352     85  5.875  12/1/2005   7/1/2006  11/1/2035   2,434.45   6/1/2006
147953988  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     708.67   7/1/2006
147959522  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     489.58   6/1/2006
147961767  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,938.71   6/1/2006
147962419  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,447.35   6/1/2006
147963078  Investor   Condo - High    360      352  80.09      6  12/1/2005   7/1/2006  11/1/2035   1,764.40   6/1/2006
147965412  Primary    PUD Detached    360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,272.92   7/1/2006
147972863  Investor   2-Family        360      352     80      6  12/1/2005   8/1/2006  11/1/2035   1,220.00   7/1/2006
147976831  Primary    SFR             360      352  94.99  5.875  12/1/2005   7/1/2006  11/1/2035     987.98   6/1/2006
147984462  Primary    SFR             360      352  65.42  5.875  12/1/2005   7/1/2006  11/1/2035   4,140.77   6/1/2006
147986459  Primary    SFR             360      352  74.07  5.875  12/1/2005   7/1/2006  11/1/2035   1,468.39   6/1/2006
147987275  Primary    SFR             360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035   2,603.13   6/1/2006
147987598  Primary    SFR             360      352     90  5.875  12/1/2005   8/1/2006  11/1/2035   1,586.24   7/1/2006
147987804  Primary    SFR             360      352  79.95   6.25  12/1/2005   7/1/2006  11/1/2035   3,507.81   6/1/2006
147988943  Primary    SFR             360      353  70.77  5.875   1/1/2006   7/1/2006  12/1/2035   2,348.41   6/1/2006
147989735  Primary    SFR             360      353  84.78  5.875   1/1/2006   7/1/2006  12/1/2035   1,908.89   6/1/2006
147999486  Investor   Condo - Low     360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,935.08   6/1/2006
148008261  Primary    SFR             360      352  53.57  5.875  12/1/2005   7/1/2006  11/1/2035   2,203.12   6/1/2006
148010069  Primary    PUD Detached    360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035     891.03   6/1/2006
148010796  Primary    SFR             360      352  88.68  5.875  12/1/2005   7/1/2006  11/1/2035   1,753.21   6/1/2006
148020274  Primary    2-Family        360      352  76.86  5.875  12/1/2005   7/1/2006  11/1/2035   3,480.94   6/1/2006
148023948  Primary    SFR             360      352  88.62  5.875  12/1/2005   7/1/2006  11/1/2035   2,364.69   6/1/2006
148024029  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   4,817.50   6/1/2006
148027279  Investor   Condo - Low     360      352     65      6  12/1/2005   7/1/2006  11/1/2035   1,202.50   6/1/2006
148032634  Primary    SFR             360      352  77.74  5.875  12/1/2005   7/1/2006  11/1/2035   2,644.18   6/1/2006
148041726  Primary    Condo - Low     360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035     684.84   7/1/2006
148045875  Primary    SFR             360      352  75.76  5.875  12/1/2005   8/1/2006  11/1/2035   2,447.92   7/1/2006
148051147  Primary    SFR             360      352  87.46  5.875  12/1/2005   7/1/2006  11/1/2035      532.5   6/1/2006
148051774  Primary    SFR             360      352  78.72  5.875  12/1/2005   7/1/2006  11/1/2035   1,779.97   6/1/2006
148052517  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,120.00   6/1/2006
148057599  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035   1,468.75   7/1/2006
148059678  Primary    SFR             360      353  81.91  5.875   1/1/2006   8/1/2006  12/1/2035   1,402.90   7/1/2006
148060874  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   2,281.46   7/1/2006
148062581  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,638.48   7/1/2006
148067226  Primary    SFR             360      352  68.97   6.25  12/1/2005   7/1/2006  11/1/2035   3,120.04   6/1/2006
148071616  Primary    SFR             360      352  74.94      6  12/1/2005   7/1/2006  11/1/2035   3,184.20   6/1/2006
148072291  Investor   Condo - High    360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   1,226.25   6/1/2006
148074313  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   2,447.92   7/1/2006
148076748  Primary    SFR             360      352     80  5.875  12/1/2005   9/1/2006  11/1/2035     899.45   8/1/2006
148080997  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,685.89   6/1/2006
148083157  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,380.63   7/1/2006
148098734  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   2,570.31   6/1/2006
148102338  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035   2,609.25   6/1/2006
148109499  Primary    SFR             360      353  68.97  5.875   1/1/2006   7/1/2006  12/1/2035   2,447.92   6/1/2006
148122195  Primary    SFR             360      353  60.71  5.875   1/1/2006   7/1/2006  12/1/2035   2,080.73   6/1/2006
148125933  Primary    SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035   4,592.29   6/1/2006
148126741  Secondary  SFR             360      351  74.99  5.875  11/1/2005   8/1/2006  10/1/2035   1,078.08   7/1/2006
148126808  Primary    SFR             360      352     95  5.875  12/1/2005   8/1/2006  11/1/2035     930.21   7/1/2006
148127335  Secondary  SFR             360      352  76.36      6  12/1/2005   7/1/2006  11/1/2035   2,100.00   6/1/2006
148127749  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   2,091.91   6/1/2006
148140254  Primary    SFR             360      352   76.8  5.875  12/1/2005   7/1/2006  11/1/2035   4,700.00   6/1/2006
148144793  Primary    SFR             360      352  64.68      6  12/1/2005   7/1/2006  11/1/2035   2,500.00   6/1/2006
148150196  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     763.75   6/1/2006
148150626  Primary    PUD Detached    360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     817.97   6/1/2006
148153901  Primary    SFR             360      352  62.75  5.875  12/1/2005   8/1/2006  11/1/2035   2,119.90   7/1/2006
148158488  Primary    SFR             360      352  40.58  5.875  12/1/2005   7/1/2006  11/1/2035   2,521.35   6/1/2006
148159254  Primary    Condo - High    360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   2,154.17   7/1/2006
148160195  Secondary  SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,159.82   6/1/2006
148162381  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,272.42   6/1/2006
148164403  Primary    SFR             360      352  45.81      6  12/1/2005   7/1/2006  11/1/2035   3,825.00   6/1/2006
148173404  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     701.08   6/1/2006
148175425  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,566.60   7/1/2006
148175599  Primary    SFR             360      353  73.47  6.125   1/1/2006   8/1/2006  12/1/2035   3,281.10   7/1/2006
148175839  Primary    SFR             360      352  78.57  5.875  12/1/2005   7/1/2006  11/1/2035   1,076.56   6/1/2006
148177363  Secondary  SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   1,938.75   6/1/2006
148177983  Primary    Condo - High    360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,678.02   6/1/2006
148179781  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,453.13   6/1/2006
148191935  Primary    SFR             360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035   3,593.33   7/1/2006
148193311  Primary    SFR             360      352  72.73      6  12/1/2005   8/1/2006  11/1/2035   2,400.00   7/1/2006
148214612  Primary    SFR             360      349  73.38  5.875   9/1/2005   8/1/2006   8/1/2035   2,443.02   7/1/2006
148215684  Primary    SFR             360      352  74.29  5.875  12/1/2005   7/1/2006  11/1/2035   2,545.83   6/1/2006
148216757  Primary    SFR             360      353  66.67  5.875   1/1/2006   7/1/2006  12/1/2035   2,937.50   6/1/2006
148226152  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,215.63   6/1/2006
148226376  Primary    SFR             360      353     75  6.125   1/1/2006   7/1/2006  12/1/2035   2,235.63   6/1/2006
148226459  Primary    Condo - High    360      350     80    6.5  10/1/2005   7/1/2006   9/1/2035   2,422.88   6/1/2006
148227002  Primary    SFR             360      352  61.02  5.875  12/1/2005   7/1/2006  11/1/2035   2,629.06   6/1/2006
148228745  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   2,689.87   6/1/2006
148228794  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,331.25   6/1/2006
148243827  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,668.50   6/1/2006
148245558  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     820.96   6/1/2006
148246119  Primary    SFR             360      352  67.33  5.875  12/1/2005   7/1/2006  11/1/2035   1,986.44   6/1/2006
148246614  Secondary  SFR             360      350  77.84  6.125  10/1/2005   8/1/2006   9/1/2035   3,317.71   7/1/2006
148248636  Primary    Condo - Low     360      353   52.5   6.25   1/1/2006   7/1/2006  12/1/2035   2,734.37   6/1/2006
148249139  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,257.02   6/1/2006
148249212  Primary    SFR             360      350  74.28  5.875  10/1/2005   7/1/2006   9/1/2035   2,215.90   6/1/2006
148249865  Primary    SFR             360      350     72  5.875  10/1/2005   7/1/2006   9/1/2035   2,432.25   6/1/2006
148250202  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,039.85   6/1/2006
148252539  Primary    SFR             360      353  42.76      6   1/1/2006   7/1/2006  12/1/2035   4,810.00   6/1/2006
148253271  Primary    SFR             360      353  79.99  5.625   1/1/2006   8/1/2006  12/1/2035   1,271.02   7/1/2006
148257413  Primary    SFR             360      351  76.61  5.875  11/1/2005   7/1/2006  10/1/2035   2,324.44   6/1/2006
148258395  Primary    SFR             360      350  79.31      6  10/1/2005   7/1/2006   9/1/2035   2,299.25   6/1/2006
148258619  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,239.86   6/1/2006
148258957  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,034.05   6/1/2006
148259807  Primary    SFR             360      349  84.14  5.875   9/1/2005   7/1/2006   8/1/2035   1,933.85   6/1/2006
148261043  Primary    SFR             360      349  74.03  5.875   9/1/2005   8/1/2006   8/1/2035   2,092.97   7/1/2006
148263536  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   3,172.50   6/1/2006
148263627  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,947.74   6/1/2006
148265275  Primary    SFR             360      350  79.37  5.875  10/1/2005   7/1/2006   9/1/2035   2,447.31   6/1/2006
148269798  Primary    SFR             360      352  71.47  5.875  12/1/2005   7/1/2006  11/1/2035   2,678.02   6/1/2006
148270887  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035      822.5   6/1/2006
148271539  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   2,271.67   7/1/2006
148273832  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,225.29   6/1/2006
148275183  Secondary  SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035     614.92   6/1/2006
148276694  Primary    SFR             360      353  76.36  5.875   1/1/2006   7/1/2006  12/1/2035   2,056.25   6/1/2006
148278732  Primary    SFR             360      350  74.91  5.875  10/1/2005   7/1/2006   9/1/2035   4,895.83   6/1/2006
148279821  Primary    SFR             360      352  69.64  5.875  12/1/2005   7/1/2006  11/1/2035   4,773.44   6/1/2006
148282007  Primary    Cooperative     360      353  74.12  5.875   1/1/2006   7/1/2006  12/1/2035   1,233.26   6/1/2006
148285851  Secondary  SFR             360      352     95  5.875  12/1/2005   7/1/2006  11/1/2035     609.29   6/1/2006
148285976  Secondary  SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,697.42   7/1/2006
148288301  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035   2,374.69   7/1/2006
148289002  Primary    SFR             360      353  73.35  5.875   1/1/2006   7/1/2006  12/1/2035   7,343.75   6/1/2006
148289895  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,849.94   6/1/2006
148292154  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,565.42   6/1/2006
148293616  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,002.08   6/1/2006
148294374  Primary    SFR             360      352  67.73  5.875  12/1/2005   7/1/2006  11/1/2035   2,937.50   6/1/2006
148300213  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     567.92   6/1/2006
148304371  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   3,175.00   7/1/2006
148305691  Primary    SFR             360      352  60.08  5.875  12/1/2005   7/1/2006  11/1/2035   1,843.35   6/1/2006
148306178  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,899.17   6/1/2006
148306236  Secondary  Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035   2,352.00   7/1/2006
148306889  Primary    SFR             360      353  79.49  5.875   1/1/2006   7/1/2006  12/1/2035   2,022.54   6/1/2006
148307044  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   2,741.66   7/1/2006
148309156  Primary    SFR             360      352   73.9      6  12/1/2005   8/1/2006  11/1/2035   6,281.25   7/1/2006
148309271  Primary    SFR             360      349  72.14  6.375   9/1/2005   7/1/2006   8/1/2035   3,219.37   6/1/2006
148310253  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035     618.04   7/1/2006
148313638  Primary    SFR             360      353     75   6.25   1/1/2006   8/1/2006  12/1/2035   2,624.26   7/1/2006
148315708  Investor   Condo - High    360      352  69.43   6.25  12/1/2005   7/1/2006  11/1/2035   1,562.50   6/1/2006
148317415  Primary    SFR             360      353   76.4  5.875   1/1/2006   7/1/2006  12/1/2035   2,075.83   6/1/2006
148318413  Primary    SFR             360      352  85.11  5.875  12/1/2005   7/1/2006  11/1/2035   3,549.23   6/1/2006
148318702  Primary    Condo - High    360      352  79.98  5.875  12/1/2005   8/1/2006  11/1/2035   3,149.00   7/1/2006
148319684  Primary    SFR             360      350     75  6.125  10/1/2005   7/1/2006   9/1/2035   2,947.66   6/1/2006
148320393  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,564.70   6/1/2006
148323751  Primary    SFR             360      353  52.02  5.875   1/1/2006   7/1/2006  12/1/2035   2,575.21   6/1/2006
148323769  Primary    PUD Detached    360      352  68.24  5.875  12/1/2005   7/1/2006  11/1/2035   1,418.10   6/1/2006
148324023  Primary    SFR             360      352  76.62  5.875  12/1/2005   7/1/2006  11/1/2035   2,438.12   6/1/2006
148325392  Primary    SFR             360      350  67.73  5.875  10/1/2005   7/1/2006   9/1/2035   2,178.65   6/1/2006
148325905  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,095.05   6/1/2006
148326663  Primary    SFR             360      352     95  5.875  12/1/2005   7/1/2006  11/1/2035   1,837.16   6/1/2006
148326903  Primary    SFR             360      352  46.89      6  12/1/2005   7/1/2006  11/1/2035   2,446.75   6/1/2006
148327018  Primary    SFR             360      349  71.43  5.875   9/1/2005   8/1/2006   8/1/2035   2,446.34   7/1/2006
148328685  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,428.33   6/1/2006
148329725  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,878.75   7/1/2006
148330103  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,240.52   6/1/2006
148331408  Investor   Condo - Low     360      353  54.49   6.25   1/1/2006   7/1/2006  12/1/2035   2,213.54   6/1/2006
148331572  Primary    SFR             360      353  75.85  6.125   1/1/2006   7/1/2006  12/1/2035   3,314.65   6/1/2006
148335482  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,292.80   6/1/2006
148335607  Primary    SFR             360      352  69.02  5.875  12/1/2005   7/1/2006  11/1/2035   4,307.60   6/1/2006
148342777  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,872.66   6/1/2006
148344187  Primary    SFR             360      353  79.99      6   1/1/2006   8/1/2006  12/1/2035   2,197.20   7/1/2006
148348048  Primary    Condo - Low     360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,982.81   6/1/2006
148348386  Primary    Condo - Low     360      352  79.99  5.875  12/1/2005   7/1/2006  11/1/2035   1,933.12   6/1/2006
148350812  Primary    Condo - Low     360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   2,518.42   7/1/2006
148351943  Primary    SFR             360      350   63.1      6  10/1/2005   7/1/2006   9/1/2035   3,608.96   6/1/2006
148354541  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,695.00   6/1/2006
148355308  Primary    SFR             360      354   63.7  5.875   2/1/2006   8/1/2006   1/1/2036   4,210.42   7/1/2006
148356389  Investor   Condo - Low     360      353     80  6.875   1/1/2006   7/1/2006  12/1/2035   1,196.25   6/1/2006
148358278  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,110.00   6/1/2006
148359136  Primary    SFR             360      352  78.85  5.875  12/1/2005   7/1/2006  11/1/2035   3,010.94   6/1/2006
148360555  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,683.38   6/1/2006
148361157  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035   2,346.46   6/1/2006
148364227  Primary    SFR             360      352  62.03      6  12/1/2005   7/1/2006  11/1/2035   2,217.50   6/1/2006
148367683  Primary    SFR             360      353  73.45   6.25   1/1/2006   7/1/2006  12/1/2035   3,383.69   6/1/2006
148367873  Primary    SFR             360      353  55.35  6.125   1/1/2006   7/1/2006  12/1/2035   2,320.86   6/1/2006
148371172  Primary    SFR             360      353  75.61  5.875   1/1/2006   7/1/2006  12/1/2035   1,517.71   6/1/2006
148371453  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,408.75   6/1/2006
148371768  Primary    SFR             360      352  68.75   6.25  12/1/2005   7/1/2006  11/1/2035   2,864.58   6/1/2006
148371925  Primary    SFR             360      352  58.33  5.875  12/1/2005   8/1/2006  11/1/2035   2,570.31   7/1/2006
148372063  Primary    SFR             360      353  79.48  6.125   1/1/2006   8/1/2006  12/1/2035   2,350.00   7/1/2006
148372915  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   3,113.74   6/1/2006
148379761  Primary    SFR             360      352     70  6.125  12/1/2005   7/1/2006  11/1/2035   3,126.30   6/1/2006
148381999  Primary    SFR             360      353  77.49  5.875   1/1/2006   7/1/2006  12/1/2035   2,933.34   6/1/2006
148385206  Primary    SFR             360      352  78.93  5.875  12/1/2005   7/1/2006  11/1/2035   4,895.83   6/1/2006
148389596  Primary    SFR             360      352  57.16  5.875  12/1/2005   7/1/2006  11/1/2035   1,133.39   6/1/2006
148394778  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,142.42   6/1/2006
148401474  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,154.17   6/1/2006
148401722  Primary    SFR             360      352  73.86  5.875  12/1/2005   7/1/2006  11/1/2035   3,180.45   6/1/2006
148402308  Primary    SFR             360      352  57.53  5.875  12/1/2005   8/1/2006  11/1/2035   2,379.02   7/1/2006
148403538  Primary    SFR             360      353  72.41  5.875   1/1/2006   7/1/2006  12/1/2035   1,024.21   6/1/2006
148408917  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   1,938.75   6/1/2006
148411903  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035   2,075.83   6/1/2006
148413834  Primary    SFR             360      350  61.43      6  10/1/2005   7/1/2006   9/1/2035   2,150.00   6/1/2006
148415896  Primary    SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035   3,121.09   6/1/2006
148416084  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035   3,329.17   7/1/2006
148416373  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   3,642.50   7/1/2006
148418254  Primary    Condo - High    360      352     70  6.125  12/1/2005   7/1/2006  11/1/2035   3,930.21   6/1/2006
148420227  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035     991.41   6/1/2006
148420268  Primary    SFR             360      353  47.37  6.125   1/1/2006   7/1/2006  12/1/2035   2,296.88   6/1/2006
148420367  Primary    SFR             360      352  60.75  5.875  12/1/2005   8/1/2006  11/1/2035   1,908.44   7/1/2006
148424245  Primary    SFR             360      349     80  5.875   9/1/2005   8/1/2006   8/1/2035   2,318.18   7/1/2006
148424369  Primary    SFR             360      352  64.85      6  12/1/2005   7/1/2006  11/1/2035   4,280.00   6/1/2006
148426828  Primary    SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035   8,893.28   6/1/2006
148427081  Primary    SFR             360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035   2,518.91   7/1/2006
148429251  Primary    SFR             360      352  71.92      6  12/1/2005   7/1/2006  11/1/2035   2,625.00   6/1/2006
148434798  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,545.83   6/1/2006
148439391  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,596.75   6/1/2006
148441397  Secondary  SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,880.00   6/1/2006
148443955  Investor   Condo - Low     360      354  78.93   6.25   2/1/2006   7/1/2006   1/1/2036     308.33   6/1/2006
148444797  Primary    SFR             360      353  79.27      6   1/1/2006   7/1/2006  12/1/2035   2,180.00   6/1/2006
148445604  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,567.07   6/1/2006
148445844  Primary    SFR             360      352  79.99  5.875  12/1/2005   7/1/2006  11/1/2035   1,701.30   6/1/2006
148456841  Primary    SFR             360      353   50.7  6.125   1/1/2006   7/1/2006  12/1/2035   4,592.58   6/1/2006
148460819  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     473.51   6/1/2006
148464209  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,820.00   7/1/2006
148464399  Primary    Condo - Low     360      353  79.18  5.875   1/1/2006   7/1/2006  12/1/2035   2,692.71   6/1/2006
148466105  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,232.11   6/1/2006
148468317  Primary    SFR             360      353     70   6.25   1/1/2006   8/1/2006  12/1/2035   4,593.75   7/1/2006
148473275  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,728.96   6/1/2006
148480114  Primary    Condo - Low     360      352  68.08      6  12/1/2005   7/1/2006  11/1/2035   4,407.75   6/1/2006
148481245  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,002.67   6/1/2006
148481864  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,858.33   6/1/2006
148482912  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   3,549.23   7/1/2006
148483027  Investor   SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     497.91   6/1/2006
148483068  Primary    SFR             360      352     70  6.375  12/1/2005   8/1/2006  11/1/2035   7,995.31   7/1/2006
148484702  Primary    SFR             360      353  79.86  5.875   1/1/2006   8/1/2006  12/1/2035   1,445.94   7/1/2006
148484926  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,302.98   6/1/2006
148485543  Primary    SFR             360      353  66.67  5.875   1/1/2006   8/1/2006  12/1/2035   2,447.92   7/1/2006
148486087  Primary    SFR             360      353  63.89      6   1/1/2006   7/1/2006  12/1/2035   4,025.00   6/1/2006
148486442  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,018.33   6/1/2006
148488711  Primary    SFR             360      354   78.9      6   2/1/2006   7/1/2006   1/1/2036   2,402.50   6/1/2006
148490089  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,832.60   6/1/2006
148494198  Primary    SFR             360      352  75.83  5.875  12/1/2005   7/1/2006  11/1/2035   1,074.15   6/1/2006
148494529  Primary    SFR             360      353  64.43  5.875   1/1/2006   8/1/2006  12/1/2035   2,309.89   7/1/2006
148494891  Primary    Condo - Low     360      354     85  5.875   2/1/2006   7/1/2006   1/1/2036   2,224.14   6/1/2006
148496169  Primary    SFR             360      353  66.67  6.375   1/1/2006   7/1/2006  12/1/2035   5,312.32   6/1/2006
148497464  Primary    SFR             360      353  55.85      6   1/1/2006   7/1/2006  12/1/2035   3,700.00   6/1/2006
148499684  Primary    Condo - Low     360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   1,659.62   6/1/2006
148501117  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   3,176.17   6/1/2006
148501661  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,555.45   6/1/2006
148502131  Primary    SFR             360      353  65.25  5.875   1/1/2006   8/1/2006  12/1/2035   1,884.67   7/1/2006
148504608  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     757.68   6/1/2006
148506884  Primary    Condo - High    360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,996.25   6/1/2006
148509102  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   1,725.78   6/1/2006
148510688  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,036.67   6/1/2006
148512445  Primary    SFR             360      353  51.92  6.125   1/1/2006   7/1/2006  12/1/2035   2,138.65   6/1/2006
148514979  Primary    SFR             360      353     95  5.875   1/1/2006   8/1/2006  12/1/2035   2,046.46   7/1/2006
148515802  Investor   SFR             360      353     70   6.25   1/1/2006   8/1/2006  12/1/2035   3,463.54   7/1/2006
148516222  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035   2,856.93   7/1/2006
148516875  Secondary  SFR             360      353  42.11  5.875   1/1/2006   7/1/2006  12/1/2035   1,958.33   6/1/2006
148517006  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,395.83   6/1/2006
148517261  Primary    SFR             360      353   72.9    6.5   1/1/2006   8/1/2006  12/1/2035   3,571.19   7/1/2006
148517378  Primary    SFR             360      352  68.95  5.875  12/1/2005   7/1/2006  11/1/2035     978.68   6/1/2006
148522626  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,292.43   6/1/2006
148523079  Investor   Condo - Low     360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035   3,378.75   6/1/2006
148523533  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,310.61   6/1/2006
148524432  Primary    SFR             360      353  79.17  6.125   1/1/2006   7/1/2006  12/1/2035   2,423.32   6/1/2006
148526023  Primary    SFR             360      353  64.55  5.875   1/1/2006   8/1/2006  12/1/2035   3,461.18   7/1/2006
148526494  Primary    SFR             360      353     95  5.875   1/1/2006   7/1/2006  12/1/2035     812.36   6/1/2006
148528193  Primary    SFR             360      352     70   6.25  12/1/2005   7/1/2006  11/1/2035   2,522.92   6/1/2006
148528599  Primary    SFR             360      354  62.87  5.875   2/1/2006   7/1/2006   1/1/2036   3,182.18   6/1/2006
148529589  Primary    SFR             360      352   73.8      6  12/1/2005   7/1/2006  11/1/2035   2,306.25   6/1/2006
148530629  Secondary  Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,413.37   7/1/2006
148530983  Primary    SFR             360      354  89.15      6   2/1/2006   8/1/2006   1/1/2036   2,875.00   7/1/2006
148531403  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,153.64   6/1/2006
148531411  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,173.58   7/1/2006
148535149  Secondary  SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,432.51   6/1/2006
148537848  Primary    SFR             360      352     80  5.875  12/1/2005   9/1/2006  11/1/2035   2,051.11   8/1/2006
148539299  Primary    SFR             360      353   63.2      6   1/1/2006   7/1/2006  12/1/2035   4,736.45   6/1/2006
148540032  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   2,447.92   7/1/2006
148542566  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     626.67   6/1/2006
148542616  Primary    SFR             360      353  74.88      6   1/1/2006   7/1/2006  12/1/2035   2,337.75   6/1/2006
148543135  Primary    SFR             360      353  78.76   6.25   1/1/2006   8/1/2006  12/1/2035   2,317.71   7/1/2006
148544232  Primary    Condo - High    360      353     70  6.125   1/1/2006   9/1/2006  12/1/2035   2,140.18   8/1/2006
148546484  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,184.58   6/1/2006
148549298  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   4,076.77   6/1/2006
148551492  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035   2,688.00   7/1/2006
148551831  Primary    SFR             360      353  38.33  6.125   1/1/2006   7/1/2006  12/1/2035   4,695.83   6/1/2006
148554892  Primary    SFR             360      353  74.29      6   1/1/2006   7/1/2006  12/1/2035   2,599.20   6/1/2006
148555519  Secondary  SFR             360      352  72.22  5.875  12/1/2005   7/1/2006  11/1/2035   2,862.46   6/1/2006
148557275  Primary    SFR             360      353     70  5.875   1/1/2006   7/1/2006  12/1/2035   2,570.31   6/1/2006
148558513  Investor   SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     587.48   6/1/2006
148559263  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   3,850.00   6/1/2006
148559339  Primary    SFR             360      353   72.4   6.25   1/1/2006   8/1/2006  12/1/2035   4,242.19   7/1/2006
148560642  Secondary  SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,742.78   6/1/2006
148561129  Primary    SFR             360      353  76.51      6   1/1/2006   7/1/2006  12/1/2035   3,251.09   6/1/2006
148562697  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,214.17   6/1/2006
148564453  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   1,293.73   7/1/2006
148565203  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035   2,416.67   7/1/2006
148569205  Primary    SFR             360      353  77.33  6.125   1/1/2006   7/1/2006  12/1/2035   2,368.33   6/1/2006
148570468  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035     919.39   7/1/2006
148570831  Primary    SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035   2,398.96   6/1/2006
148571151  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036   3,250.00   6/1/2006
148572068  Primary    SFR             360      353  71.24  5.875   1/1/2006   7/1/2006  12/1/2035   2,109.59   6/1/2006
148573603  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035   2,490.83   6/1/2006
148578016  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,954.46   6/1/2006
148578693  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,778.87   6/1/2006
148582968  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   2,056.25   6/1/2006
148584394  Primary    2-Family        360      353  74.07  5.875   1/1/2006   7/1/2006  12/1/2035   4,895.34   6/1/2006
148585532  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,553.67   6/1/2006
148587934  Primary    SFR             360      353  45.07  5.875   1/1/2006   7/1/2006  12/1/2035   3,573.96   6/1/2006
148588346  Primary    SFR             360      350  77.08  5.875  10/1/2005   7/1/2006   9/1/2035   2,452.81   6/1/2006
148589039  Primary    SFR             360      353  75.83  5.875   1/1/2006   7/1/2006  12/1/2035   2,657.95   6/1/2006
148591712  Primary    SFR             360      353  67.19  5.875   1/1/2006   7/1/2006  12/1/2035   2,001.91   6/1/2006
148593346  Primary    SFR             360      353  59.68  5.875   1/1/2006   7/1/2006  12/1/2035   1,811.46   6/1/2006
148597123  Primary    SFR             360      353  74.96   6.25   1/1/2006   7/1/2006  12/1/2035   2,557.29   6/1/2006
148597594  Primary    SFR             360      353  74.75  5.875   1/1/2006   7/1/2006  12/1/2035   2,232.50   6/1/2006
148601602  Primary    SFR             360      354  77.71  5.875   2/1/2006   7/1/2006   1/1/2036   1,604.85   6/1/2006
148601768  Primary    SFR             360      353   9.09      6   1/1/2006   8/1/2006  12/1/2035   2,500.00   7/1/2006
148609126  Primary    SFR             360      354  72.41  6.125   2/1/2006   7/1/2006   1/1/2036   2,679.69   6/1/2006
148609415  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035   1,872.66   6/1/2006
148610934  Secondary  SFR             360      353     70  6.125   1/1/2006   7/1/2006  12/1/2035   2,358.13   6/1/2006
148613474  Primary    SFR             360      352   69.4  5.875  12/1/2005   7/1/2006  11/1/2035   4,895.83   6/1/2006
148615438  Investor   Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,795.77   6/1/2006
148615784  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     724.58   7/1/2006
148617855  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,014.42   6/1/2006
148619182  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     655.38   6/1/2006
148620479  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,420.00   6/1/2006
148622715  Primary    SFR             360      353  62.22      6   1/1/2006   7/1/2006  12/1/2035   2,800.00   6/1/2006
148624695  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,307.08   6/1/2006
148624968  Primary    SFR             360      353  57.19      6   1/1/2006   7/1/2006  12/1/2035   2,545.00   6/1/2006
148625619  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,075.78   7/1/2006
148628217  Primary    SFR             360      353  71.43  5.875   1/1/2006   7/1/2006  12/1/2035   2,557.53   6/1/2006
148629413  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   2,790.62   6/1/2006
148629843  Investor   Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035   1,758.68   6/1/2006
148629991  Primary    SFR             360      353  50.87  5.875   1/1/2006   7/1/2006  12/1/2035   1,580.37   6/1/2006
148634579  Investor   Condo - Low     360      353  79.49      6   1/1/2006   7/1/2006  12/1/2035        620   6/1/2006
148634702  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,668.71   6/1/2006
148643471  Investor   Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035     772.92   6/1/2006
148643752  Primary    SFR             360      353  77.42  5.875   1/1/2006   7/1/2006  12/1/2035   2,937.50   6/1/2006
148648801  Primary    Cooperative     360      355  89.85  5.875   3/1/2006   8/1/2006   2/1/2036      967.8   7/1/2006
148650252  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,010.50   6/1/2006
148650807  Primary    SFR             360      353  56.85  5.875   1/1/2006   7/1/2006  12/1/2035   1,767.40   6/1/2006
148651086  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035   2,708.33   6/1/2006
148653959  Investor   SFR             360      353  79.98  5.875   1/1/2006   7/1/2006  12/1/2035     520.54   6/1/2006
148656176  Primary    SFR             360      353     70   6.25   1/1/2006   8/1/2006  12/1/2035   2,914.07   7/1/2006
148660244  Primary    SFR             360      352  79.96  5.875  12/1/2005   7/1/2006  11/1/2035   2,407.56   6/1/2006
148664337  Primary    SFR             360      353     65  5.875   1/1/2006   7/1/2006  12/1/2035   3,977.59   6/1/2006
148665789  Investor   SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035     483.33   6/1/2006
148670094  Primary    SFR             360      354  46.77  5.875   2/1/2006   7/1/2006   1/1/2036   1,395.31   6/1/2006
148670797  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   2,839.39   6/1/2006
148671209  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,304.25   7/1/2006
148671514  Primary    SFR             360      353  58.25      6   1/1/2006   7/1/2006  12/1/2035   3,494.98   6/1/2006
148674971  Primary    SFR             360      353  69.32  5.875   1/1/2006   8/1/2006  12/1/2035   1,493.23   7/1/2006
148676364  Primary    Condo - Low     360      353     71  5.875   1/1/2006   7/1/2006  12/1/2035     695.21   6/1/2006
148676497  Primary    PUD Detached    360      353  74.07  5.875   1/1/2006   7/1/2006  12/1/2035   1,958.33   6/1/2006
148678477  Primary    SFR             360      353     65  5.875   1/1/2006   7/1/2006  12/1/2035   2,096.82   6/1/2006
148679301  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,645.83   6/1/2006
148679913  Primary    SFR             360      353  76.88  5.875   1/1/2006   7/1/2006  12/1/2035   1,931.16   6/1/2006
148680531  Primary    SFR             360      353  54.79  6.125   1/1/2006   7/1/2006  12/1/2035   5,104.17   6/1/2006
148681927  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035     759.14   6/1/2006
148683121  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035   2,619.64   6/1/2006
148683709  Primary    Condo - Low     360      353  72.16  5.875   1/1/2006   7/1/2006  12/1/2035   2,208.02   6/1/2006
148685258  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036        564   6/1/2006
148685415  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,252.08   6/1/2006
148687775  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   2,275.00   6/1/2006
148689649  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,200.53   6/1/2006
148693419  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,272.79   6/1/2006
148696016  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     549.31   6/1/2006
148696545  Primary    SFR             360      353  60.34  5.875   1/1/2006   7/1/2006  12/1/2035   1,713.10   6/1/2006
148697386  Primary    SFR             360      353   58.1      6   1/1/2006   7/1/2006  12/1/2035   2,600.00   6/1/2006
148697436  Primary    SFR             360      352  72.69      6  12/1/2005   7/1/2006  11/1/2035   2,675.00   6/1/2006
148699739  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,332.81   6/1/2006
148701279  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   3,465.00   6/1/2006
148702186  Primary    SFR             360      353     65  5.875   1/1/2006   7/1/2006  12/1/2035   3,182.29   6/1/2006
148703226  Primary    SFR             360      353  68.64  5.875   1/1/2006   7/1/2006  12/1/2035   3,965.29   6/1/2006
148705726  Primary    SFR             360      353  57.51  5.875   1/1/2006   7/1/2006  12/1/2035   2,716.69   6/1/2006
148707573  Primary    SFR             360      353  70.06  5.875   1/1/2006   7/1/2006  12/1/2035   2,692.71   6/1/2006
148709652  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,919.17   6/1/2006
148709827  Primary    SFR             360      353  67.61      6   1/1/2006   7/1/2006  12/1/2035   4,300.00   6/1/2006
148710882  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,552.07   6/1/2006
148715642  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     564.78   7/1/2006
148717259  Primary    PUD Detached    360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035   1,037.74   6/1/2006
148718992  Primary    Condo - Low     360      353  77.11  5.875   1/1/2006   7/1/2006  12/1/2035   1,566.67   6/1/2006
148721046  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,860.42   6/1/2006
148722077  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,077.08   6/1/2006
148723547  Primary    SFR             360      353  58.79  5.875   1/1/2006   7/1/2006  12/1/2035   2,370.75   6/1/2006
148723778  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,552.09   6/1/2006
148723877  Investor   Condo - Low     360      353     70   6.25   1/1/2006   7/1/2006  12/1/2035   1,822.78   6/1/2006
148726938  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,885.63   7/1/2006
148730294  Secondary  Condo - Low     360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035     865.13   6/1/2006
148731706  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,096.67   6/1/2006
148732993  Primary    SFR             360      353  73.61  6.125   1/1/2006   7/1/2006  12/1/2035   3,118.65   6/1/2006
148735533  Secondary  SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,787.33   6/1/2006
148737281  Primary    SFR             360      353  79.31  6.125   1/1/2006   7/1/2006  12/1/2035   2,347.92   6/1/2006
148737307  Primary    Condo - Low     360      353  74.52   6.25   1/1/2006   8/1/2006  12/1/2035   3,134.01   7/1/2006
148738313  Primary    SFR             360      353  76.92  5.875   1/1/2006   7/1/2006  12/1/2035   1,958.33   6/1/2006
148738511  Primary    SFR             360      353  76.92  6.125   1/1/2006   7/1/2006  12/1/2035   2,296.88   6/1/2006
148739048  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     943.08   7/1/2006
148739394  Primary    SFR             360      353  79.96  5.875   1/1/2006   7/1/2006  12/1/2035   2,894.87   6/1/2006
148740459  Primary    SFR             360      353  64.99  5.875   1/1/2006   7/1/2006  12/1/2035   2,717.19   6/1/2006
148740509  Primary    SFR             360      353  77.54   6.25   1/1/2006   7/1/2006  12/1/2035   2,786.46   6/1/2006
148741861  Primary    Condo - Low     360      353  79.56  6.125   1/1/2006   8/1/2006  12/1/2035   2,329.93   7/1/2006
148748825  Primary    Condo - Low     360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035   1,280.75   7/1/2006
148750532  Primary    SFR             360      353  59.99      6   1/1/2006   7/1/2006  12/1/2035   2,399.48   6/1/2006
148753007  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   3,138.21   6/1/2006
148753593  Primary    SFR             360      353     70      6   1/1/2006   7/1/2006  12/1/2035   3,150.00   6/1/2006
148754757  Primary    SFR             360      353  62.02  5.875   1/1/2006   7/1/2006  12/1/2035   1,958.33   6/1/2006
148757065  Primary    SFR             360      353  66.25  5.875   1/1/2006   8/1/2006  12/1/2035   1,037.92   7/1/2006
148757297  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,447.92   6/1/2006
148757826  Primary    SFR             360      353  44.11  5.875   1/1/2006   7/1/2006  12/1/2035   2,127.24   6/1/2006
148758394  Primary    Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   1,931.41   7/1/2006
148759863  Primary    SFR             360      353  33.33  5.875   1/1/2006   8/1/2006  12/1/2035   2,447.92   7/1/2006
148760457  Secondary  SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035   2,556.17   6/1/2006
148761323  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     784.26   6/1/2006
148762743  Primary    SFR             360      354  67.25  5.875   2/1/2006   7/1/2006   1/1/2036     839.64   6/1/2006
148763113  Primary    SFR             360      353     75      6   1/1/2006   7/1/2006  12/1/2035   2,437.50   6/1/2006
148765126  Primary    SFR             360      353  78.43      6   1/1/2006   7/1/2006  12/1/2035   2,995.66   6/1/2006
148766892  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,087.58   6/1/2006
148773096  Primary    SFR             360      353  79.93    6.5   1/1/2006   8/1/2006  12/1/2035   2,610.83   7/1/2006
148775919  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,708.25   6/1/2006
148776933  Primary    SFR             360      353  61.33  5.875   1/1/2006   7/1/2006  12/1/2035   2,252.08   6/1/2006
148784424  Primary    SFR             360      353  74.73  5.875   1/1/2006   7/1/2006  12/1/2035   2,249.99   6/1/2006
148786536  Primary    SFR             360      353  88.31  5.875   1/1/2006   7/1/2006  12/1/2035     962.03   6/1/2006
148788128  Primary    SFR             360      353     70  6.125   1/1/2006   7/1/2006  12/1/2035   4,445.71   6/1/2006
148789563  Investor   PUD Detached    360      352     90  5.875  12/1/2005   8/1/2006  11/1/2035      863.5   7/1/2006
148796485  Primary    SFR             360      353     75   6.25   1/1/2006   8/1/2006  12/1/2035   2,734.36   7/1/2006
148798754  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   1,732.69   6/1/2006
148802523  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   3,415.62   6/1/2006
148805997  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,788.67   7/1/2006
148812753  Primary    SFR             360      353  60.83  5.875   1/1/2006   7/1/2006  12/1/2035   1,786.54   6/1/2006
148813066  Primary    SFR             360      353     75  6.375   1/1/2006   7/1/2006  12/1/2035   2,868.75   6/1/2006
148813298  Primary    SFR             360      353  78.13  5.875   1/1/2006   7/1/2006  12/1/2035   2,447.92   6/1/2006
148814049  Primary    SFR             360      353     75      6   1/1/2006   7/1/2006  12/1/2035   3,060.00   6/1/2006
148816374  Primary    Condo - Low     360      353   72.6  5.875   1/1/2006   7/1/2006  12/1/2035   2,594.79   6/1/2006
148821044  Primary    SFR             360      352     65      6  12/1/2005   7/1/2006  11/1/2035   2,110.00   6/1/2006
148821721  Primary    2-Family        360      353     75  5.875   1/1/2006   8/1/2006  12/1/2035   2,935.64   7/1/2006
148821812  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,793.83   6/1/2006
148825748  Primary    SFR             360      354  79.99  5.875   2/1/2006   7/1/2006   1/1/2036   1,720.89   6/1/2006
148826308  Secondary  Condo - Low     360      353  78.85  5.875   1/1/2006   7/1/2006  12/1/2035   2,080.73   6/1/2006
148829955  Investor   Condo - Low     360      352     80  6.375  12/1/2005   8/1/2006  11/1/2035      892.5   7/1/2006
148831811  Primary    Condo - Low     360      353  74.18  5.875   1/1/2006   7/1/2006  12/1/2035   2,658.44   6/1/2006
148833387  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,399.08   6/1/2006
148833692  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   3,272.32   6/1/2006
148834112  Primary    SFR             360      353  74.52  5.875   1/1/2006   7/1/2006  12/1/2035   3,460.50   6/1/2006
148835184  Investor   Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   1,408.34   6/1/2006
148835572  Primary    SFR             360      353  73.48      6   1/1/2006   7/1/2006  12/1/2035   2,416.45   6/1/2006
148837305  Primary    SFR             360      353     70  5.875   1/1/2006   8/1/2006  12/1/2035   1,507.92   7/1/2006
148839012  Primary    SFR             360      353  74.63  5.875   1/1/2006   7/1/2006  12/1/2035   2,196.54   6/1/2006
148839269  Primary    Condo - Low     360      353  79.86   6.25   1/1/2006   8/1/2006  12/1/2035   2,994.79   7/1/2006
148839491  Secondary  SFR             360      353     95  5.875   1/1/2006   7/1/2006  12/1/2035     753.19   6/1/2006
148839582  Primary    SFR             360      353   89.9   6.25   1/1/2006   7/1/2006  12/1/2035   2,645.39   6/1/2006
148840036  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   2,740.01   7/1/2006
148840259  Primary    PUD Detached    360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035      586.4   6/1/2006
148847437  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035   2,184.58   6/1/2006
148851207  Primary    Condo - Low     360      353  72.22  6.125   1/1/2006   7/1/2006  12/1/2035   3,317.71   6/1/2006
148852189  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,318.57   6/1/2006
148853252  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,312.90   6/1/2006
148853328  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,175.00   6/1/2006
148855117  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035        705   7/1/2006
148856347  Primary    PUD Detached    360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,697.36   6/1/2006
148856875  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,170.14   6/1/2006
148858988  Primary    SFR             360      354     75  5.875   2/1/2006   8/1/2006   1/1/2036   1,980.78   7/1/2006
148861438  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035   3,687.08   7/1/2006
148863343  Secondary  SFR             360      353  79.99  5.875   1/1/2006   7/1/2006  12/1/2035   1,850.62   6/1/2006
148867922  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,214.17   6/1/2006
148868763  Primary    SFR             360      353  70.56  6.125   1/1/2006   8/1/2006  12/1/2035   3,240.27   7/1/2006
148869936  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,263.12   6/1/2006
148871346  Primary    SFR             360      353  72.34  5.875   1/1/2006   7/1/2006  12/1/2035   2,092.97   6/1/2006
148873748  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,727.25   6/1/2006
148880859  Primary    SFR             360      353     50      6   1/1/2006   7/1/2006  12/1/2035   5,000.00   6/1/2006
148881246  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   3,480.00   6/1/2006
148882525  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,249.65   6/1/2006
148883093  Primary    SFR             360      353  70.92      6   1/1/2006   7/1/2006  12/1/2035   7,500.00   6/1/2006
148885965  Primary    Condo - High    360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035   2,347.92   7/1/2006
148886856  Primary    SFR             360      353  73.61  6.125   1/1/2006   7/1/2006  12/1/2035   2,705.21   6/1/2006
148887805  Primary    SFR             360      353     70  6.375   1/1/2006   7/1/2006  12/1/2035   3,843.04   6/1/2006
148891054  Primary    SFR             360      353  74.71  5.875   1/1/2006   7/1/2006  12/1/2035   3,181.76   6/1/2006
148893506  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,958.33   6/1/2006
148894736  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,424.42   7/1/2006
148895485  Primary    SFR             360      354     75      6   2/1/2006   7/1/2006   1/1/2036   2,606.25   6/1/2006
148897408  Primary    Condo - Low     360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     589.07   7/1/2006
148900228  Primary    SFR             360      353     70  5.875   1/1/2006   7/1/2006  12/1/2035   4,626.56   6/1/2006
148903495  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,397.00   6/1/2006
148904477  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,179.17   6/1/2006
148906068  Primary    SFR             360      353     75    6.5   1/1/2006   7/1/2006  12/1/2035   2,478.13   6/1/2006
148909864  Primary    SFR             360      354  76.19  5.875   2/1/2006   7/1/2006   1/1/2036   2,350.00   6/1/2006
148911514  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,193.33   6/1/2006
148914179  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,279.50   6/1/2006
148915218  Primary    SFR             360      353  71.32  5.875   1/1/2006   8/1/2006  12/1/2035   2,251.98   7/1/2006
148918485  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,416.67   6/1/2006
148919178  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,303.00   6/1/2006
148919657  Primary    SFR             360      355   77.1  5.875   3/1/2006   7/1/2006   2/1/2036   1,845.19   6/1/2006
148920317  Primary    SFR             360      353     95  5.875   1/1/2006   8/1/2006  12/1/2035   1,348.80   7/1/2006
148921588  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,037.92   6/1/2006
148922636  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   2,325.34   7/1/2006
148923865  Primary    SFR             360      353  79.03  6.125   1/1/2006   7/1/2006  12/1/2035   2,551.57   6/1/2006
148926181  Primary    Condo - Low     360      353  78.53  5.875   1/1/2006   7/1/2006  12/1/2035   1,940.94   6/1/2006
148927213  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,594.08   6/1/2006
148932288  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   1,253.32   7/1/2006
148932551  Primary    SFR             360      354  73.95      6   2/1/2006   7/1/2006   1/1/2036   2,638.03   6/1/2006
148933583  Secondary  SFR             360      353  68.37  5.875   1/1/2006   7/1/2006  12/1/2035   1,638.34   6/1/2006
148933658  Primary    SFR             360      353  73.82   6.25   1/1/2006   8/1/2006  12/1/2035   2,364.58   7/1/2006
148934714  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036   3,805.50   6/1/2006
148935133  Primary    SFR             360      353  64.31  6.375   1/1/2006   7/1/2006  12/1/2035   2,607.78   6/1/2006
148937683  Primary    SFR             360      353  47.08      6   1/1/2006   8/1/2006  12/1/2035   5,000.00   7/1/2006
148938236  Primary    Condo - Low     360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   2,531.79   7/1/2006
148938848  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   1,484.42   7/1/2006
148940299  Primary    SFR             360      353     75  6.125   1/1/2006   8/1/2006  12/1/2035   3,253.91   7/1/2006
148940547  Primary    SFR             360      353  74.67  5.875   1/1/2006   7/1/2006  12/1/2035   2,735.28   6/1/2006
148946148  Primary    SFR             360      352  66.67  5.875  12/1/2005   7/1/2006  11/1/2035   2,543.88   6/1/2006
148947294  Primary    SFR             360      353  71.58  6.125   1/1/2006   7/1/2006  12/1/2035   3,459.41   6/1/2006
148949027  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,122.25   6/1/2006
148949894  Primary    SFR             360      353  69.48  5.875   1/1/2006   7/1/2006  12/1/2035   2,330.87   6/1/2006
148950363  Primary    SFR             360      352  70.51      6  12/1/2005   8/1/2006  11/1/2035   3,243.39   7/1/2006
148951296  Primary    SFR             360      355     85  5.875   3/1/2006   7/1/2006   2/1/2036   3,268.25   6/1/2006
148953193  Secondary  SFR             360      353     75   6.25   1/1/2006   8/1/2006  12/1/2035   2,636.72   7/1/2006
148955545  Primary    Condo - Low     360      353     72  5.875   1/1/2006   8/1/2006  12/1/2035   1,233.75   7/1/2006
148955685  Primary    Condo - Low     360      353     75   6.25   1/1/2006   8/1/2006  12/1/2035   2,441.41   7/1/2006
148959448  Primary    SFR             360      350     95  5.875  10/1/2005   7/1/2006   9/1/2035   1,499.25   6/1/2006
148961352  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035   2,910.37   7/1/2006
148965148  Primary    SFR             360      353  72.15  5.875   1/1/2006   7/1/2006  12/1/2035   3,373.23   6/1/2006
148966898  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035   2,395.83   7/1/2006
148967987  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,256.00   6/1/2006
148968902  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,770.83   6/1/2006
148969066  Primary    SFR             360      353     80  5.875   1/1/2006   9/1/2006  12/1/2035   3,291.84   8/1/2006
148969272  Primary    SFR             360      354  33.44   6.25   2/1/2006   8/1/2006   1/1/2036   2,603.49   7/1/2006
148969462  Primary    SFR             360      353  79.93      6   1/1/2006   8/1/2006  12/1/2035   2,450.00   7/1/2006
148970221  Primary    SFR             360      354  68.49      6   2/1/2006   7/1/2006   1/1/2036   2,997.76   6/1/2006
148970494  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036     816.62   7/1/2006
148971393  Primary    Condo - Low     360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   2,270.97   7/1/2006
148972276  Primary    SFR             360      354   79.6  6.125   2/1/2006   7/1/2006   1/1/2036   3,026.77   6/1/2006
148973019  Primary    SFR             360      354  79.66  5.875   2/1/2006   7/1/2006   1/1/2036   1,255.68   6/1/2006
148973316  Primary    SFR             360      353  76.52      6   1/1/2006   7/1/2006  12/1/2035   2,525.00   6/1/2006
148980204  Secondary  SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,500.00   7/1/2006
148980816  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,798.96   6/1/2006
148982051  Primary    SFR             360      354  59.17  6.375   2/1/2006   8/1/2006   1/1/2036   4,429.48   7/1/2006
148983158  Primary    Condo - Low     360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,240.00   7/1/2006
148985641  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   2,630.88   6/1/2006
148986144  Primary    SFR             360      353  62.62  5.875   1/1/2006   7/1/2006  12/1/2035   1,992.60   6/1/2006
148986318  Primary    SFR             360      354  59.31   6.25   2/1/2006   8/1/2006   1/1/2036   2,239.59   7/1/2006
148986557  Primary    SFR             360      353  79.82  6.125   1/1/2006   7/1/2006  12/1/2035   2,322.40   6/1/2006
148987001  Secondary  SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035   2,187.50   6/1/2006
148988132  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,912.96   7/1/2006
148988827  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,463.83   6/1/2006
148990336  Primary    Cooperative     360      354     75  5.875   2/1/2006   7/1/2006   1/1/2036   2,019.53   6/1/2006
148990484  Primary    SFR             360      353  63.05   6.25   1/1/2006   7/1/2006  12/1/2035   3,333.33   6/1/2006
148993124  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   2,215.89   7/1/2006
148998537  Secondary  SFR             360      353     70  5.875   1/1/2006   8/1/2006  12/1/2035   3,782.03   7/1/2006
148998644  Primary    SFR             360      353  68.63   6.25   1/1/2006   7/1/2006  12/1/2035   2,734.37   6/1/2006
149000978  Primary    SFR             360      354  57.95      6   2/1/2006   7/1/2006   1/1/2036   4,375.00   6/1/2006
149001695  Primary    SFR             360      354  54.98      6   2/1/2006   7/1/2006   1/1/2036   4,796.41   6/1/2006
149002628  Primary    SFR             360      355  74.75   6.25   3/1/2006   7/1/2006   2/1/2036   2,906.25   6/1/2006
149007957  Primary    SFR             360      356  72.75  5.875   4/1/2006   7/1/2006   3/1/2036   1,424.69   6/1/2006
149009557  Primary    SFR             360      353   79.8  5.875   1/1/2006   7/1/2006  12/1/2035   1,585.91   6/1/2006
149009797  Primary    SFR             360      354     80  6.125   2/1/2006   8/1/2006   1/1/2036   2,615.67   7/1/2006
149014482  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036   2,919.58   6/1/2006
149022709  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036     877.02   7/1/2006
149027153  Primary    SFR             360      353  65.93   6.25   1/1/2006   7/1/2006  12/1/2035   2,500.00   6/1/2006
149030355  Primary    SFR             360      353     75  5.875   1/1/2006   7/1/2006  12/1/2035   2,129.17   6/1/2006
149036089  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   2,602.77   7/1/2006
149045163  Secondary  SFR             360      353  31.25   6.25   1/1/2006   7/1/2006  12/1/2035   5,208.33   6/1/2006
149047334  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,448.48   6/1/2006
149047375  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,342.01   6/1/2006
149048977  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,518.81   6/1/2006
149053399  Primary    SFR             360      355  79.99      6   3/1/2006   8/1/2006   2/1/2036   2,565.50   7/1/2006
149054165  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   1,527.50   6/1/2006
149057283  Primary    SFR             360      354  65.43  6.125   2/1/2006   7/1/2006   1/1/2036   2,705.21   6/1/2006
149058448  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035   2,349.61   6/1/2006
149060766  Secondary  SFR             360      354  61.54   6.25   2/1/2006   7/1/2006   1/1/2036   6,312.96   6/1/2006
149069403  Secondary  SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   1,003.27   7/1/2006
149070005  Primary    SFR             360      353  79.98  5.875   1/1/2006   7/1/2006  12/1/2035     903.28   6/1/2006
149077042  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,572.62   6/1/2006
149077737  Primary    Condo - Low     360      354  76.23  5.875   2/1/2006   8/1/2006   1/1/2036   2,265.79   7/1/2006
149082174  Primary    SFR             360      354  44.69  5.875   2/1/2006   7/1/2006   1/1/2036   1,957.16   6/1/2006
149083065  Primary    SFR             360      353  89.99  6.375   1/1/2006   7/1/2006  12/1/2035   2,642.70   6/1/2006
149091498  Primary    SFR             360      354  67.59  6.125   2/1/2006   8/1/2006   1/1/2036   2,501.04   7/1/2006
149092124  Primary    SFR             360      354  61.11  6.375   2/1/2006   7/1/2006   1/1/2036   2,628.99   6/1/2006
149101685  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,579.40   6/1/2006
149103723  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036   2,800.00   7/1/2006
149105108  Primary    SFR             360      355  48.19  5.875   3/1/2006   7/1/2006   2/1/2036   9,791.67   6/1/2006
149109639  Primary    SFR             360      353  79.99  5.875   1/1/2006   7/1/2006  12/1/2035   2,737.26   6/1/2006
149111973  Investor   Condo - Low     360      353  79.98  6.125   1/1/2006   8/1/2006  12/1/2035   1,029.64   7/1/2006
149113417  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   2,187.50   6/1/2006
149115818  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035   2,500.00   7/1/2006
149115974  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035     939.18   7/1/2006
149118549  Primary    SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036   2,396.00   7/1/2006
149119091  Primary    SFR             360      354  67.34  5.875   2/1/2006   7/1/2006   1/1/2036   6,750.53   6/1/2006
149124968  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035        788   6/1/2006
149125965  Primary    SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036   2,939.72   6/1/2006
149129579  Primary    SFR             360      355     95      6   3/1/2006   7/1/2006   2/1/2036   2,210.62   6/1/2006
149133605  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036   1,334.07   7/1/2006
149134694  Primary    SFR             360      354  74.29  6.125   2/1/2006   7/1/2006   1/1/2036   3,317.71   6/1/2006
149135642  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035   2,350.00   6/1/2006
149137333  Investor   Condo - Low     360      353  79.98  6.375   1/1/2006   7/1/2006  12/1/2035     950.67   6/1/2006
149139339  Primary    SFR             360      353  61.48      6   1/1/2006   8/1/2006  12/1/2035   2,250.00   7/1/2006
149198251  Secondary  SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035   2,698.75   6/1/2006
149334526  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   2,399.28   6/1/2006
149467078  Primary    SFR             360      353  43.75  5.875   1/1/2006   7/1/2006  12/1/2035   2,570.31   6/1/2006
149615247  Primary    2-Family        360      353  63.91   6.25   1/1/2006   8/1/2006  12/1/2035   4,160.82   7/1/2006
146574769  Investor   SFR             360      350     80  5.375  10/1/2005   7/1/2006   9/1/2035   1,343.31   6/1/2006
146618988  Primary    Condo - Low     360      350  79.99  4.875  10/1/2005   7/1/2006   9/1/2035   1,446.13   6/1/2006
146748728  Primary    SFR             360      350  39.39  5.375  10/1/2005   7/1/2006   9/1/2035   2,911.46   6/1/2006
147328777  Primary    Condo - Low     360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035   1,068.75   6/1/2006
147706105  Primary    SFR             360      351  79.63  4.625  11/1/2005   7/1/2006  10/1/2035   1,994.20   6/1/2006
139007363  Primary    SFR             360      337     95      5   9/1/2004   7/1/2006   8/1/2034   1,825.73   6/1/2006
 52393832  Primary    SFR             360      349   92.7  5.625   9/1/2005   7/1/2006   8/1/2035   2,340.62   6/1/2006
 53851762  Investor   Condo - Low     360      351     80  5.625  11/1/2005   7/1/2006  10/1/2035   1,402.37   6/1/2006
133432682  Primary    Condo - High    360      329     80   5.25   1/1/2004   7/1/2006  12/1/2033   2,208.82   6/1/2006
132317389  Primary    SFR             360      327     80    4.5  11/1/2003   7/1/2006  10/1/2033   1,763.26   6/1/2006
143537686  Investor   SFR             360      345  74.77  5.625   5/1/2005   8/1/2006   4/1/2035   2,302.63   7/1/2006
 46827457  Primary    SFR             360      354  64.71  5.625   2/1/2006   7/1/2006   1/1/2036   3,166.11   6/1/2006
133740761  Primary    SFR             360      330  59.52      5   2/1/2004   7/1/2006   1/1/2034   2,147.29   6/1/2006
  4373802  Primary    SFR             360      305  53.86  6.875   1/1/2002   7/1/2006  12/1/2031   2,803.45   6/1/2006
125705467  Primary    SFR             360      318  33.33  6.875   2/1/2003   8/1/2006   1/1/2033   6,473.60   7/1/2006
145343877  Primary    SFR             360      348     95  5.375   8/1/2005   7/1/2006   7/1/2035   1,548.37   6/1/2006
 56660541  Primary    SFR             360      349  89.85  5.625   9/1/2005   8/1/2006   8/1/2035     815.27   7/1/2006
148857535  Primary    Condo - Low     360      353     80  5.625   1/1/2006   8/1/2006  12/1/2035   1,290.00   7/1/2006
 60573706  Primary    SFR             360      353     80  5.625   1/1/2006   8/1/2006  12/1/2035   2,325.00   7/1/2006
147780498  Primary    SFR             360      352     80  5.625  12/1/2005   7/1/2006  11/1/2035     806.25   6/1/2006
 58262791  Secondary  SFR             360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035   1,435.97   6/1/2006
 57952608  Primary    SFR             360      350     80  5.625  10/1/2005   8/1/2006   9/1/2035     746.25   7/1/2006
 56871809  Primary    SFR             360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035   2,024.72   6/1/2006
 57583684  Secondary  SFR             360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035   1,233.75   6/1/2006
 57719056  Primary    SFR             360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035   1,856.25   6/1/2006
146596465  Investor   Condo - Low     360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035     858.75   6/1/2006
145983227  Secondary  SFR             360      349     80  5.625   9/1/2005   7/1/2006   8/1/2035     899.63   6/1/2006
144834462  Primary    2-Family        360      348     80  5.625   8/1/2005   7/1/2006   7/1/2035   2,006.25   6/1/2006
 55083752  Primary    SFR             360      348  79.81  5.625   8/1/2005   7/1/2006   7/1/2035   1,574.75   6/1/2006
 58286436  Secondary  Condo - Low     360      350  79.57  5.625  10/1/2005   7/1/2006   9/1/2035     871.88   6/1/2006
148646508  Primary    Condo - Low     360      353  78.95  5.625   1/1/2006   7/1/2006  12/1/2035   3,515.63   6/1/2006
 57102451  Primary    Condo - High    360      351  78.62  5.625  11/1/2005   8/1/2006  10/1/2035   3,450.63   7/1/2006
148129844  Primary    SFR             360      352  78.31  5.625  12/1/2005   7/1/2006  11/1/2035   3,046.16   6/1/2006
 54879002  Primary    SFR             360      349  75.54  5.625   9/1/2005   7/1/2006   8/1/2035   1,141.88   6/1/2006
 57338436  Primary    SFR             360      350  70.65  5.125  10/1/2005   7/1/2006   9/1/2035   1,689.76   6/1/2006
146617386  Secondary  Condo - High    360      355     70  5.625   3/1/2006   8/1/2006   2/1/2036   3,937.50   7/1/2006
 59972133  Investor   SFR             360      351     70  5.625  11/1/2005   8/1/2006  10/1/2035   2,460.94   7/1/2006
 56979156  Secondary  SFR             360      350     70  5.625  10/1/2005   7/1/2006   9/1/2035   1,033.59   6/1/2006
 60130309  Primary    SFR             360      352  61.33   5.25  12/1/2005   7/1/2006  11/1/2035   8,050.00   6/1/2006
 52991742  Primary    SFR             360      347  58.82  5.375   7/1/2005   7/1/2006   6/1/2035   8,958.30   6/1/2006
 60980729  Primary    SFR             360      353   57.5  5.625   1/1/2006   7/1/2006  12/1/2035   2,689.51   6/1/2006
145296489  Primary    SFR             360      349  55.32  5.625   9/1/2005   7/1/2006   8/1/2035   2,416.88   6/1/2006
 57099178  Investor   SFR             360      350  52.94  5.625  10/1/2005   7/1/2006   9/1/2035   1,054.69   6/1/2006
 57057044  Primary    SFR             360      349  40.39  5.625   9/1/2005   9/1/2006   8/1/2035      651.4   8/1/2006
146825716  Primary    SFR             360      351     95    5.5  11/1/2005   7/1/2006  10/1/2035   1,652.41   6/1/2006
 58330044  Primary    SFR             360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035   1,500.00   6/1/2006
144105228  Primary    Condo - Low     360      348     80   4.75   8/1/2005   7/1/2006   7/1/2035   1,425.00   6/1/2006
 58547647  Primary    SFR             360      350  74.94  5.625  10/1/2005   8/1/2006   9/1/2035   2,767.74   7/1/2006
148747884  Primary    SFR             360      353     80  5.625   1/1/2006   7/1/2006  12/1/2035     635.82   6/1/2006
148335557  Primary    SFR             360      352     80  5.625  12/1/2005   8/1/2006  11/1/2035     804.77   7/1/2006
 57938037  Secondary  SFR             360      351     80  5.625  11/1/2005   7/1/2006  10/1/2035   1,125.00   6/1/2006
147361844  Secondary  Condo - Low     360      351     80    5.5  11/1/2005   7/1/2006  10/1/2035   1,326.72   6/1/2006
 52942885  Primary    SFR             360      350     80   5.25  10/1/2005   7/1/2006   9/1/2035     719.25   6/1/2006
146525092  Primary    SFR             360      350     80  5.625  10/1/2005   8/1/2006   9/1/2035     806.25   7/1/2006
 57332728  Primary    Condo - High    360      349  79.74  5.625   9/1/2005   7/1/2006   8/1/2035   1,601.25   6/1/2006
 57399248  Investor   SFR             360      349     75  5.625   9/1/2005   7/1/2006   8/1/2035     914.06   6/1/2006
 59405209  Primary    SFR             360      351  74.07  5.625  11/1/2005   7/1/2006  10/1/2035   2,343.75   6/1/2006
146143144  Primary    SFR             360      349  73.71  5.625   9/1/2005   7/1/2006   8/1/2035   1,537.50   6/1/2006
146287628  Investor   SFR             360      349     70  5.625   9/1/2005   7/1/2006   8/1/2035     902.34   6/1/2006
 57705964  Primary    Condo - Low     360      352  66.78   5.25  12/1/2005   7/1/2006  11/1/2035   8,750.00   6/1/2006
 57876583  Primary    SFR             360      349  55.56  5.625   9/1/2005   7/1/2006   8/1/2035   4,687.50   6/1/2006
148635071  Primary    SFR             360      353  55.03  5.625   1/1/2006   7/1/2006  12/1/2035   3,998.40   6/1/2006
145005328  Primary    SFR             360      348   80.4   5.25   8/1/2005   7/1/2006   7/1/2035   1,400.00   6/1/2006
146708391  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,429.58   6/1/2006
147195101  Primary    SFR             360      356     80  5.125   4/1/2006   8/1/2006   3/1/2036   1,178.75   7/1/2006
147558795  Primary    Condo - Low     360      352  72.73  5.625  12/1/2005   7/1/2006  11/1/2035   1,875.00   6/1/2006
148586894  Primary    SFR             360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,865.63   6/1/2006
149255952  Investor   PUD Detached    360      353  73.33  6.625   1/1/2006   7/1/2006  12/1/2035   1,518.23   6/1/2006
149286361  Primary    SFR             360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036     812.68   6/1/2006
149288573  Primary    SFR             360      350  94.88  5.875  10/1/2005   7/1/2006   9/1/2035     997.53   6/1/2006
149311474  Secondary  SFR             360      355     80   5.75   3/1/2006   8/1/2006   2/1/2036     900.83   7/1/2006
149421554  Investor   Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036   1,419.50   6/1/2006
149448847  Investor   Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036   1,459.50   6/1/2006
149449092  Primary    SFR             360      357     80   5.25   5/1/2006   8/1/2006   4/1/2036   1,504.64   7/1/2006
149459422  Primary    Condo - Low     360      355     80   5.75   3/1/2006   7/1/2006   2/1/2036     781.81   6/1/2006
149474934  Primary    SFR             360      353     80   5.75   1/1/2006   7/1/2006  12/1/2035   1,744.17   6/1/2006
149499279  Primary    SFR             360      355  79.47  5.875   3/1/2006   7/1/2006   2/1/2036   1,762.50   6/1/2006
149505398  Primary    PUD Detached    360      353  83.91  5.625   1/1/2006   7/1/2006  12/1/2035   1,533.98   6/1/2006
149586018  Secondary  SFR             360      354  78.75  5.875   2/1/2006   7/1/2006   1/1/2036     616.88   6/1/2006
149586265  Investor   SFR             360      354     80  6.375   2/1/2006   8/1/2006   1/1/2036   1,827.50   7/1/2006
149588683  Primary    SFR             360      353  66.99  5.875   1/1/2006   7/1/2006  12/1/2035   1,022.98   6/1/2006
149595498  Primary    SFR             360      355     65   5.75   3/1/2006   8/1/2006   2/1/2036   1,323.70   7/1/2006
149599946  Investor   Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,135.83   6/1/2006
149602146  Primary    SFR             360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036   1,723.33   7/1/2006
149647935  Investor   Condo - Low     360      355     75  6.375   3/1/2006   7/1/2006   2/1/2036   1,095.70   6/1/2006
149672016  Secondary  SFR             360      355     80  6.125   3/1/2006   7/1/2006   2/1/2036   1,803.16   6/1/2006
149758468  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,360.59   6/1/2006
149801847  Primary    Condo - Low     360      355  56.67   5.75   3/1/2006   7/1/2006   2/1/2036   1,219.96   6/1/2006
149842015  Primary    Condo - Low     360      355  76.19  5.625   3/1/2006   7/1/2006   2/1/2036   1,125.00   6/1/2006
149851875  Primary    SFR             360      355     80   5.75   3/1/2006   8/1/2006   2/1/2036   1,322.39   7/1/2006
149881906  Primary    SFR             360      355  79.27   5.75   3/1/2006   8/1/2006   2/1/2036   1,823.23   7/1/2006
149919425  Primary    SFR             360      355     90   5.75   3/1/2006   7/1/2006   2/1/2036   1,569.75   6/1/2006
149921389  Primary    SFR             360      355  78.33  5.875   3/1/2006   7/1/2006   2/1/2036   1,150.61   6/1/2006
149923096  Primary    SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036   1,731.17   6/1/2006
149930323  Primary    SFR             360      355  82.37  5.375   3/1/2006   8/1/2006   2/1/2036   1,324.49   7/1/2006
149934549  Primary    SFR             360      355     80  5.375   3/1/2006   7/1/2006   2/1/2036   1,856.39   6/1/2006
149936163  Investor   Condo - High    360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036   1,041.67   6/1/2006
149938664  Primary    SFR             360      355  74.71  5.625   3/1/2006   7/1/2006   2/1/2036     914.06   6/1/2006
149942393  Investor   Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036   1,562.50   6/1/2006
149953796  Primary    SFR             360      355  79.12  5.875   3/1/2006   8/1/2006   2/1/2036   1,104.01   7/1/2006
149965394  Primary    SFR             360      355     80   5.75   3/1/2006   7/1/2006   2/1/2036     601.83   6/1/2006
149972929  Primary    SFR             360      356  77.41  5.875   4/1/2006   7/1/2006   3/1/2036   1,402.17   6/1/2006
149975807  Primary    SFR             360      355  76.11  5.875   3/1/2006   7/1/2006   2/1/2036     670.73   6/1/2006
149991044  Primary    Condo - Low     360      355  78.97   5.75   3/1/2006   8/1/2006   2/1/2036     590.33   7/1/2006
150002749  Primary    SFR             360      356     90  5.875   4/1/2006   7/1/2006   3/1/2036     861.01   6/1/2006
150020055  Investor   2-Family        360      357  61.82  5.875   5/1/2006   7/1/2006   4/1/2036   1,664.42   6/1/2006
150021376  Investor   2-Family        360      357  61.82  5.875   5/1/2006   7/1/2006   4/1/2036   1,664.42   6/1/2006
150032217  Primary    SFR             360      355  76.62  5.875   3/1/2006   7/1/2006   2/1/2036   1,219.06   6/1/2006
150032886  Investor   SFR             360      356  60.67   5.75   4/1/2006   7/1/2006   3/1/2036   1,744.17   6/1/2006
150041655  Primary    SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036   1,586.05   6/1/2006
150061281  Primary    SFR             360      355     80   5.75   3/1/2006   7/1/2006   2/1/2036   1,495.00   6/1/2006
150072452  Primary    SFR             360      355  74.12  5.875   3/1/2006   8/1/2006   2/1/2036   1,233.75   7/1/2006
150107894  Primary    SFR             360      356  79.89  5.875   4/1/2006   7/1/2006   3/1/2036   1,449.17   6/1/2006
150114429  Primary    SFR             360      355  75.99  5.875   3/1/2006   7/1/2006   2/1/2036     546.86   6/1/2006
150117711  Investor   Condo - High    360      356  64.99    6.5   4/1/2006   7/1/2006   3/1/2036     480.19   6/1/2006
150127538  Primary    2-Family        360      356  49.12  5.875   4/1/2006   7/1/2006   3/1/2036   2,056.25   6/1/2006
150132033  Primary    SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036   1,958.33   6/1/2006
150136638  Primary    Condo - Low     360      354   72.6  6.125   2/1/2006   7/1/2006   1/1/2036   1,508.27   6/1/2006
150156388  Primary    SFR             360      356     80    5.5   4/1/2006   7/1/2006   3/1/2036     989.63   6/1/2006
150186526  Primary    SFR             360      356  79.37  5.875   4/1/2006   7/1/2006   3/1/2036     979.17   6/1/2006
150190965  Secondary  SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,840.84   6/1/2006
150207058  Primary    SFR             360      357     80  5.375   5/1/2006   7/1/2006   4/1/2036   1,057.08   6/1/2006
150208106  Primary    SFR             360      357  71.69  5.875   5/1/2006   7/1/2006   4/1/2036     768.16   6/1/2006
150214856  Primary    Condo - Low     360      354     80    5.5   2/1/2006   8/1/2006   1/1/2036     535.33   7/1/2006
150217131  Secondary  SFR             360      354  80.37  5.875   2/1/2006   7/1/2006   1/1/2036     743.68   6/1/2006
150217511  Primary    SFR             360      354  79.98  5.875   2/1/2006   7/1/2006   1/1/2036   1,851.60   6/1/2006
150218519  Primary    SFR             360      354  66.03  5.875   2/1/2006   7/1/2006   1/1/2036   2,460.80   6/1/2006
150219996  Primary    Condo - Low     360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     998.75   6/1/2006
150220242  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036   1,840.83   6/1/2006
150220762  Investor   Condo - High    360      355     80      6   3/1/2006   8/1/2006   2/1/2036   1,580.00   7/1/2006
150232494  Primary    SFR             360      356     80   5.75   4/1/2006   7/1/2006   3/1/2036   1,809.47   6/1/2006
150235364  Investor   Condo - Low     360      355  79.81   6.25   3/1/2006   8/1/2006   2/1/2036     895.83   7/1/2006
150243095  Primary    SFR             360      355     80   5.75   3/1/2006   7/1/2006   2/1/2036   1,525.32   6/1/2006
150265635  Investor   Condo - Low     360      355     80  6.875   3/1/2006   8/1/2006   2/1/2036   2,337.50   7/1/2006
150273662  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036     560.08   6/1/2006
150297869  Primary    SFR             360      357     80    5.5   5/1/2006   8/1/2006   4/1/2036   1,279.67   7/1/2006
150331007  Primary    SFR             360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   1,578.42   6/1/2006
150338739  Primary    Condo - High    360      357     80  4.875   5/1/2006   8/1/2006   4/1/2036   1,571.38   7/1/2006
150347094  Primary    SFR             360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036     871.88   6/1/2006
150358869  Primary    SFR             360      356     80  5.375   4/1/2006   7/1/2006   3/1/2036   1,451.25   6/1/2006
150363539  Investor   3-Family        360      356     80      7   4/1/2006   7/1/2006   3/1/2036   1,017.33   6/1/2006
150374049  Primary    SFR             360      355     80  5.375   3/1/2006   7/1/2006   2/1/2036   1,390.60   6/1/2006
150406379  Primary    SFR             360      356     80  5.375   4/1/2006   8/1/2006   3/1/2036   1,307.92   7/1/2006
150407146  Investor   Condo - Low     360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   1,458.96   6/1/2006
150444776  Primary    PUD Detached    360      356  79.99  5.875   4/1/2006   7/1/2006   3/1/2036   1,820.27   6/1/2006
150455509  Primary    SFR             360      356     80   5.75   4/1/2006   7/1/2006   3/1/2036   1,533.25   6/1/2006
150456556  Primary    2-Family        360      356  74.29  5.875   4/1/2006   7/1/2006   3/1/2036   2,545.83   6/1/2006
150462596  Primary    SFR             360      356  61.22   5.75   4/1/2006   7/1/2006   3/1/2036   1,437.50   6/1/2006
150467066  Primary    Condo - Low     360      356  79.99   5.75   4/1/2006   7/1/2006   3/1/2036   1,417.85   6/1/2006
150492809  Primary    SFR             360      358     80  5.375   6/1/2006   8/1/2006   5/1/2036   1,859.75   7/1/2006
150493062  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,410.00   6/1/2006
150493153  Primary    SFR             360      355     80   5.75   3/1/2006   7/1/2006   2/1/2036   1,360.83   6/1/2006
150494953  Primary    SFR             360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036     679.15   6/1/2006
150521458  Secondary  SFR             360      356     75  5.875   4/1/2006   7/1/2006   3/1/2036   1,931.37   6/1/2006
150525764  Investor   Condo - Low     360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036   1,335.38   7/1/2006
150528479  Primary    PUD Detached    360      356     80  5.875   4/1/2006   8/1/2006   3/1/2036   1,507.92   7/1/2006
150538684  Primary    Condo - Low     360      356  61.05  5.875   4/1/2006   7/1/2006   3/1/2036   1,135.83   6/1/2006
150541886  Primary    SFR             360      353  94.99  5.875   1/1/2006   7/1/2006  12/1/2035   1,693.71   6/1/2006
150548857  Primary    SFR             360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   1,429.59   6/1/2006
150564722  Primary    SFR             360      356     80   5.75   4/1/2006   7/1/2006   3/1/2036   1,222.07   6/1/2006
150585545  Primary    SFR             360      356  79.99   5.75   4/1/2006   7/1/2006   3/1/2036   1,548.91   6/1/2006
150602266  Primary    SFR             360      354  75.61  5.625   2/1/2006   8/1/2006   1/1/2036     902.81   7/1/2006
150603934  Primary    SFR             360      355  77.54   5.75   3/1/2006   8/1/2006   2/1/2036     742.53   7/1/2006
150606135  Primary    SFR             360      354  79.85  5.375   2/1/2006   7/1/2006   1/1/2036     704.26   6/1/2006
150606242  Primary    SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036   1,013.84   6/1/2006
150615102  Primary    SFR             360      355  78.84  5.875   3/1/2006   7/1/2006   2/1/2036   1,331.67   6/1/2006
150636041  Primary    SFR             360      357     80  5.375   5/1/2006   7/1/2006   4/1/2036   1,413.63   6/1/2006
150663854  Primary    Condo - Low     360      359     90  5.875   7/1/2006   7/1/2006   6/1/2036   1,209.31   7/1/2006
150670578  Primary    Condo - Low     360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,642.58   6/1/2006
150685899  Primary    SFR             360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036   1,867.15   6/1/2006
150696938  Primary    SFR             360      358     80  5.375   6/1/2006   8/1/2006   5/1/2036   1,031.77   7/1/2006
150726941  Primary    SFR             360      357     95  6.125   5/1/2006   7/1/2006   4/1/2036   1,163.69   6/1/2006
150728277  Primary    SFR             360      355  70.73  5.875   3/1/2006   7/1/2006   2/1/2036   1,903.72   6/1/2006
150741221  Investor   Condo - Low     360      356  67.47  6.875   4/1/2006   7/1/2006   3/1/2036   1,604.17   6/1/2006
150778868  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036     943.92   6/1/2006
150794279  Primary    PUD Detached    360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036   1,195.83   6/1/2006
150802874  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   1,283.33   6/1/2006
150817492  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036   1,835.50   6/1/2006
150850576  Primary    SFR             360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036   1,664.58   6/1/2006
150885697  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,303.33   6/1/2006
150891661  Primary    Condo - Low     360      356  79.47  5.875   4/1/2006   7/1/2006   3/1/2036   1,762.50   6/1/2006
150893808  Primary    SFR             360      355  57.89  5.875   3/1/2006   8/1/2006   2/1/2036   1,346.35   7/1/2006
150900843  Primary    SFR             360      355     80   5.75   3/1/2006   7/1/2006   2/1/2036   1,466.25   6/1/2006
150907673  Primary    SFR             360      357     95  5.875   5/1/2006   7/1/2006   4/1/2036   1,700.66   6/1/2006
150942712  Primary    SFR             360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   1,703.75   6/1/2006
150953909  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,313.65   6/1/2006
150958155  Primary    SFR             360      359     80    5.5   7/1/2006   8/1/2006   6/1/2036   1,653.67   7/1/2006
151058831  Primary    SFR             360      357  79.92  5.875   5/1/2006   7/1/2006   4/1/2036   1,860.42   6/1/2006
151068699  Primary    SFR             360      356  79.79   5.75   4/1/2006   7/1/2006   3/1/2036     718.74   6/1/2006
151074309  Primary    PUD Detached    360      357  79.97  5.625   5/1/2006   7/1/2006   4/1/2036   1,169.53   6/1/2006
151083946  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036     785.83   6/1/2006
151142213  Primary    SFR             360      357     95   5.75   5/1/2006   7/1/2006   4/1/2036   1,346.58   6/1/2006
151257755  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,084.77   6/1/2006
151271095  Primary    SFR             360      359     80  5.875   7/1/2006   8/1/2006   6/1/2036   1,363.00   7/1/2006
151288552  Investor   Condo - High    360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036     925.17   7/1/2006
151298536  Investor   Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   1,210.19   6/1/2006
151349032  Primary    SFR             360      358     80  5.875   6/1/2006   8/1/2006   5/1/2036   1,233.75   7/1/2006
151354693  Primary    SFR             360      353  79.99   5.75   1/1/2006   7/1/2006  12/1/2035     868.32   6/1/2006
151384781  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036     979.17   6/1/2006
151389632  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,006.58   6/1/2006
151474145  Primary    SFR             360      357     75  5.875   5/1/2006   8/1/2006   4/1/2036   1,946.09   7/1/2006
151486826  Primary    SFR             360      358     90  5.875   6/1/2006   7/1/2006   5/1/2036   1,343.91   6/1/2006
151497666  Primary    SFR             360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   1,840.44   6/1/2006
151558889  Primary    SFR             360      358   59.8  5.875   6/1/2006   7/1/2006   5/1/2036   1,150.52   6/1/2006
151660198  Investor   Condo - Low     360      357  79.99      6   5/1/2006   7/1/2006   4/1/2036   1,811.25   6/1/2006
151712999  Secondary  SFR             360      358  72.77   5.75   6/1/2006   8/1/2006   5/1/2036        575   7/1/2006
151725355  Primary    Condo - Low     360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036   1,705.83   7/1/2006
151725504  Primary    Condo - Low     360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,449.17   6/1/2006
151759362  Investor   SFR             360      358     80      7   6/1/2006   7/1/2006   5/1/2036   1,353.10   6/1/2006
151882784  Primary    SFR             360      359     80  5.875   7/1/2006   7/1/2006   6/1/2036     638.02   7/1/2006
152048401  Primary    Condo - High    360      358  79.99  5.875   6/1/2006   8/1/2006   5/1/2036   1,092.26   7/1/2006
152062766  Primary    SFR             360      357  94.71   5.25   5/1/2006   7/1/2006   4/1/2036   1,408.72   6/1/2006
 53405478  Primary    SFR             360      358     95   5.75   6/1/2006   7/1/2006   5/1/2036   1,268.23   6/1/2006
 54855374  Primary    SFR             360      358     95  5.375   6/1/2006   7/1/2006   5/1/2036   1,469.19   6/1/2006
 58844176  Primary    SFR             360      358     80   4.25   6/1/2006   7/1/2006   5/1/2036   1,166.48   6/1/2006
 61609905  Primary    SFR             360      358     90   5.75   6/1/2006   7/1/2006   5/1/2036     868.02   6/1/2006
 63801062  Primary    SFR             360      358  79.81  5.875   6/1/2006   8/1/2006   5/1/2036   1,238.65   7/1/2006
 64399231  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036      678.5   6/1/2006
 64778343  Investor   SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036        825   6/1/2006
146668413  Primary    SFR             360      357  79.99    4.5   5/1/2006   7/1/2006   4/1/2036   1,341.19   6/1/2006
149782724  Primary    SFR             360      358     80   5.25   6/1/2006   7/1/2006   5/1/2036   1,127.00   6/1/2006
149835563  Primary    SFR             360      358     80    5.5   6/1/2006   8/1/2006   5/1/2036   1,084.96   7/1/2006
150673465  Primary    SFR             360      359     80   5.75   7/1/2006   7/1/2006   6/1/2036   1,314.83   7/1/2006
150827178  Primary    SFR             360      358  78.36   5.75   6/1/2006   8/1/2006   5/1/2036   1,725.00   7/1/2006
150978773  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,573.52   6/1/2006
151243904  Secondary  SFR             360      357  64.06  5.875   5/1/2006   7/1/2006   4/1/2036   2,007.29   6/1/2006
151280559  Investor   Condo - Low     360      357     80   6.75   5/1/2006   8/1/2006   4/1/2036      526.8   7/1/2006
151388055  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036   2,041.67   7/1/2006
151636396  Investor   Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036     933.18   6/1/2006
151677622  Investor   Condo - Low     360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036   1,105.00   6/1/2006
151696101  Primary    SFR             360      358     80  5.625   6/1/2006   7/1/2006   5/1/2036   1,635.00   6/1/2006
151731619  Primary    Condo - Low     360      358  77.93    5.5   6/1/2006   7/1/2006   5/1/2036   1,571.62   6/1/2006
151918513  Primary    SFR             360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036   1,771.00   7/1/2006
152064838  Primary    Condo - Low     360      358  78.24  5.625   6/1/2006   8/1/2006   5/1/2036   1,558.59   7/1/2006
 47223854  Primary    SFR             360      356  70.77   5.75   4/1/2006   7/1/2006   3/1/2036   4,026.65   6/1/2006
 51941433  Primary    SFR             360      357     85      6   5/1/2006   7/1/2006   4/1/2036   1,497.77   6/1/2006
 53226932  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   5,906.25   6/1/2006
 54614433  Primary    SFR             360      359     80  5.625   7/1/2006   7/1/2006   6/1/2036   4,626.56   7/1/2006
 57450116  Primary    SFR             360      357  66.29   5.75   5/1/2006   7/1/2006   4/1/2036   9,583.33   6/1/2006
 58390147  Primary    SFR             360      358  62.51   6.25   6/1/2006   7/1/2006   5/1/2036   2,213.54   6/1/2006
 58969452  Primary    SFR             360      358  71.68      6   6/1/2006   8/1/2006   5/1/2036   3,200.00   7/1/2006
 60059979  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   6,251.75   6/1/2006
 60981099  Primary    SFR             360      357  52.48      6   5/1/2006   7/1/2006   4/1/2036   4,750.00   6/1/2006
 61186052  Primary    SFR             360      359     80    6.5   7/1/2006   7/1/2006   6/1/2036   3,078.40   7/1/2006
 62282058  Primary    SFR             360      359  55.56   6.25   7/1/2006   8/1/2006   6/1/2036   5,208.33   7/1/2006
 62295084  Primary    SFR             360      355     70  6.125   3/1/2006   7/1/2006   2/1/2036   4,823.44   6/1/2006
 62541321  Primary    SFR             360      358  71.43  6.375   6/1/2006   7/1/2006   5/1/2036   5,312.50   6/1/2006
 62563424  Secondary  SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036   8,333.33   6/1/2006
 62637368  Primary    SFR             360      359   67.8   6.25   7/1/2006   7/1/2006   6/1/2036   5,208.33   7/1/2006
 62699798  Primary    SFR             360      358  75.44  6.375   6/1/2006   7/1/2006   5/1/2036   2,656.25   6/1/2006
 62728183  Primary    SFR             360      358  65.93  6.375   6/1/2006   7/1/2006   5/1/2036   3,187.50   6/1/2006
 62776679  Primary    Condo - High    360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,507.50   6/1/2006
 62783741  Primary    Condo - Low     360      358     75    6.5   6/1/2006   7/1/2006   5/1/2036   3,250.00   6/1/2006
 62802368  Primary    SFR             360      358  79.94  6.375   6/1/2006   7/1/2006   5/1/2036   2,597.65   6/1/2006
 62908694  Secondary  Condo - Low     360      357   62.5   6.25   5/1/2006   7/1/2006   4/1/2036   2,604.17   6/1/2006
 62964796  Primary    SFR             360      358     65  6.125   6/1/2006   7/1/2006   5/1/2036   8,957.81   6/1/2006
 63198543  Secondary  SFR             360      358     75   6.25   6/1/2006   7/1/2006   5/1/2036   3,320.31   6/1/2006
 63221402  Primary    SFR             360      358     70  6.375   6/1/2006   7/1/2006   5/1/2036   3,681.56   6/1/2006
 63315725  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036   2,913.28   6/1/2006
 63321939  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036   3,166.25   6/1/2006
 63342877  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   3,995.00   6/1/2006
 63413645  Primary    Condo - High    360      358  70.42  6.125   6/1/2006   7/1/2006   5/1/2036   2,552.08   6/1/2006
 63423842  Primary    SFR             360      357  58.41  6.375   5/1/2006   7/1/2006   4/1/2036   2,656.25   6/1/2006
 63447619  Primary    SFR             360      358  55.56  6.375   6/1/2006   7/1/2006   5/1/2036   2,656.25   6/1/2006
 63474035  Primary    SFR             360      357  82.83  6.375   5/1/2006   8/1/2006   4/1/2036   2,332.19   7/1/2006
 63477673  Primary    SFR             360      357     90   5.75   5/1/2006   7/1/2006   4/1/2036   2,420.37   6/1/2006
 63545537  Primary    SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036   2,187.50   7/1/2006
 63548812  Primary    SFR             360      358  64.52  6.375   6/1/2006   8/1/2006   5/1/2036   5,311.09   7/1/2006
 63550776  Primary    Condo - High    360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036   2,465.00   7/1/2006
 63554968  Primary    SFR             360      358  72.86   6.25   6/1/2006   7/1/2006   5/1/2036   3,320.31   6/1/2006
 63556237  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   3,440.67   6/1/2006
 63588875  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036   7,670.00   7/1/2006
 63596415  Primary    SFR             360      358     80      6   6/1/2006   8/1/2006   5/1/2036   5,600.00   7/1/2006
 63641021  Primary    SFR             360      358     75  6.375   6/1/2006   7/1/2006   5/1/2036   7,769.53   6/1/2006
 63654164  Primary    SFR             360      357  69.57  6.625   5/1/2006   7/1/2006   4/1/2036   5,122.49   6/1/2006
 63658132  Primary    SFR             360      357  45.82      6   5/1/2006   7/1/2006   4/1/2036   5,040.00   6/1/2006
 63763908  Primary    SFR             360      357     75    6.5   5/1/2006   7/1/2006   4/1/2036   2,461.88   6/1/2006
 63768493  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036   2,994.58   6/1/2006
 63799167  Primary    SFR             360      357  56.08   6.25   5/1/2006   7/1/2006   4/1/2036   3,723.96   6/1/2006
 63802581  Secondary  SFR             360      357  82.96  6.375   5/1/2006   7/1/2006   4/1/2036   2,968.56   6/1/2006
 63837306  Primary    SFR             360      358     75      6   6/1/2006   7/1/2006   5/1/2036   8,662.50   6/1/2006
 63864946  Primary    SFR             360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036   2,998.96   7/1/2006
 63909717  Secondary  SFR             360      357     85  6.125   5/1/2006   7/1/2006   4/1/2036   2,144.95   6/1/2006
 63950539  Primary    SFR             360      357     95    6.5   5/1/2006   7/1/2006   4/1/2036   3,160.34   6/1/2006
 63954408  Primary    SFR             360      359     80   6.25   7/1/2006   7/1/2006   6/1/2036   3,402.08   7/1/2006
 63955777  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036   2,817.50   6/1/2006
 63994479  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  13,175.00   6/1/2006
 63995666  Primary    SFR             360      358  72.73  6.625   6/1/2006   7/1/2006   5/1/2036   3,312.50   6/1/2006
 64005705  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036   3,110.97   7/1/2006
 64007248  Primary    SFR             360      358     33  6.375   6/1/2006   7/1/2006   5/1/2036   3,506.25   6/1/2006
 64026594  Primary    SFR             360      358   77.6   6.25   6/1/2006   8/1/2006   5/1/2036   7,340.62   7/1/2006
 64036486  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,642.79   6/1/2006
 64070105  Secondary  SFR             360      358  55.02    6.5   6/1/2006   7/1/2006   5/1/2036   2,647.13   6/1/2006
 64080112  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036   2,729.08   6/1/2006
 64093941  Primary    SFR             360      358     65  5.875   6/1/2006   7/1/2006   5/1/2036   3,118.65   6/1/2006
 64114226  Primary    SFR             360      357  73.17  6.125   5/1/2006   7/1/2006   4/1/2036   7,656.25   6/1/2006
 64126196  Primary    SFR             360      358     80  6.125   6/1/2006   8/1/2006   5/1/2036   3,327.48   7/1/2006
 64137243  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,601.00   6/1/2006
 64144041  Primary    SFR             360      357  79.96  5.625   5/1/2006   8/1/2006   4/1/2036   1,401.07   7/1/2006
 64187214  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036   4,675.00   7/1/2006
 64196835  Primary    SFR             360      357     95   6.75   5/1/2006   8/1/2006   4/1/2036   3,046.95   7/1/2006
 64200108  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   7,012.50   6/1/2006
 64229982  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036   8,958.33   6/1/2006
 64232002  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,938.00   6/1/2006
 64232374  Primary    SFR             360      358     90    6.5   6/1/2006   8/1/2006   5/1/2036   2,504.19   7/1/2006
 64278682  Primary    SFR             360      358  68.49  6.375   6/1/2006   7/1/2006   5/1/2036   3,092.94   6/1/2006
 64279979  Primary    SFR             360      358  63.43   6.25   6/1/2006   7/1/2006   5/1/2036   5,203.12   6/1/2006
 64286321  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,925.00   6/1/2006
 64304553  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,738.67   6/1/2006
 64332455  Primary    SFR             360      358  54.05  6.375   6/1/2006   7/1/2006   5/1/2036   5,312.49   6/1/2006
 64335037  Primary    Condo - Low     360      358  78.13  6.125   6/1/2006   7/1/2006   5/1/2036   5,104.17   6/1/2006
 64335896  Primary    SFR             360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036   9,008.33   7/1/2006
 64337371  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036   2,919.71   7/1/2006
 64362999  Secondary  Condo - Low     360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036   7,095.83   7/1/2006
 64374663  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036   5,210.14   7/1/2006
 64384233  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036   3,792.41   7/1/2006
 64395783  Primary    SFR             360      358     50      6   6/1/2006   7/1/2006   5/1/2036   2,500.00   6/1/2006
 64395924  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,932.80   6/1/2006
 64435746  Primary    SFR             360      358     42  6.375   6/1/2006   7/1/2006   5/1/2036   3,346.88   6/1/2006
 64470321  Primary    SFR             360      357     95  6.625   5/1/2006   7/1/2006   4/1/2036   2,753.52   6/1/2006
 64471519  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,844.85   6/1/2006
 64537129  Primary    SFR             360      358  69.31  6.125   6/1/2006   8/1/2006   5/1/2036   7,145.83   7/1/2006
 64561103  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,275.00   6/1/2006
 64603624  Primary    SFR             360      357  93.13  6.625   5/1/2006   8/1/2006   4/1/2036   2,760.42   7/1/2006
 64610017  Secondary  SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  13,758.33   6/1/2006
 64611148  Primary    2-Family        360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036   6,653.12   6/1/2006
 64619869  Primary    SFR             360      358  76.75    6.5   6/1/2006   7/1/2006   5/1/2036   2,843.75   6/1/2006
 64689607  Primary    SFR             360      358  67.43  6.625   6/1/2006   7/1/2006   5/1/2036   2,754.90   6/1/2006
 64712557  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   4,766.67   6/1/2006
 64738222  Primary    SFR             360      358  73.57  6.375   6/1/2006   7/1/2006   5/1/2036   2,735.94   6/1/2006
 64768021  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036   3,251.25   7/1/2006
 64798457  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036   2,925.00   6/1/2006
 64808371  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   3,255.15   6/1/2006
 64808496  Primary    Condo - High    360      358  73.55  6.375   6/1/2006   7/1/2006   5/1/2036   3,074.53   6/1/2006
 64835119  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   3,791.78   6/1/2006
 64842958  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   4,670.75   6/1/2006
 64859952  Primary    SFR             360      358     90  6.625   6/1/2006   7/1/2006   5/1/2036   3,080.07   6/1/2006
 64867013  Primary    SFR             360      358     80  7.125   6/1/2006   7/1/2006   5/1/2036   2,944.67   6/1/2006
 64933328  Primary    SFR             360      358  79.92    6.5   6/1/2006   7/1/2006   5/1/2036   5,389.58   6/1/2006
 64933757  Secondary  Condo - Low     360      358  65.28    6.5   6/1/2006   7/1/2006   5/1/2036   3,412.50   6/1/2006
 64967318  Secondary  SFR             360      358     75  5.875   6/1/2006   8/1/2006   5/1/2036   2,963.18   7/1/2006
 64987092  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036   3,392.00   6/1/2006
 65126229  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036   4,085.42   6/1/2006
 65302655  Primary    SFR             360      359     80  6.625   7/1/2006   8/1/2006   6/1/2036   2,945.43   7/1/2006
146208475  Primary    SFR             360      358   78.4    4.5   6/1/2006   8/1/2006   5/1/2036   1,611.19   7/1/2006
149220808  Primary    SFR             360      356   94.9   6.25   4/1/2006   8/1/2006   3/1/2036   2,746.26   7/1/2006
149860132  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036   2,813.50   7/1/2006
149871428  Investor   Condo - Low     360      358  60.61  6.375   6/1/2006   7/1/2006   5/1/2036   2,656.25   6/1/2006
150001485  Primary    SFR             360      358  79.45   5.25   6/1/2006   7/1/2006   5/1/2036   2,231.25   6/1/2006
150085124  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036   2,140.00   6/1/2006
150356848  Primary    SFR             360      358  68.18  5.625   6/1/2006   8/1/2006   5/1/2036   2,590.46   7/1/2006
150361368  Primary    SFR             360      356  66.84   6.25   4/1/2006   7/1/2006   3/1/2036   3,909.80   6/1/2006
150424695  Secondary  SFR             360      356  70.42    6.5   4/1/2006   7/1/2006   3/1/2036   2,708.33   6/1/2006
150453116  Primary    SFR             360      356  74.38    6.5   4/1/2006   7/1/2006   3/1/2036   2,437.50   6/1/2006
150512994  Primary    SFR             360      358  59.29  6.375   6/1/2006   7/1/2006   5/1/2036   2,762.50   6/1/2006
150563187  Primary    SFR             360      358  67.57      6   6/1/2006   7/1/2006   5/1/2036   3,747.20   6/1/2006
150644979  Primary    SFR             360      357   58.6    6.5   5/1/2006   8/1/2006   4/1/2036   3,411.48   7/1/2006
150722569  Primary    PUD Detached    360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036   2,541.50   6/1/2006
150756955  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036   2,491.42   6/1/2006
150764264  Primary    Cooperative     360      358     90  6.125   6/1/2006   7/1/2006   5/1/2036   2,205.00   6/1/2006
150774388  Primary    SFR             360      357  80.09  6.375   5/1/2006   7/1/2006   4/1/2036   3,674.78   6/1/2006
150804219  Primary    SFR             360      357  79.44   6.25   5/1/2006   8/1/2006   4/1/2036   2,366.30   7/1/2006
150811875  Primary    SFR             360      357  79.92  6.375   5/1/2006   7/1/2006   4/1/2036   3,171.26   6/1/2006
150814929  Primary    SFR             360      357  73.39    6.5   5/1/2006   7/1/2006   4/1/2036   4,988.75   6/1/2006
150818052  Primary    Condo - Low     360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036   2,805.00   7/1/2006
150841005  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036   2,650.00   6/1/2006
150850782  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036   3,166.25   6/1/2006
150854578  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036   2,907.67   6/1/2006
150859841  Primary    SFR             360      356  71.32    6.5   4/1/2006   8/1/2006   3/1/2036   2,907.51   7/1/2006
150898393  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   3,315.83   6/1/2006
150936649  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   3,123.75   6/1/2006
150945145  Primary    SFR             360      356     75   6.25   4/1/2006   8/1/2006   3/1/2036   3,242.19   7/1/2006
151000064  Primary    SFR             360      358  79.99  6.375   6/1/2006   7/1/2006   5/1/2036   2,692.11   6/1/2006
151001344  Primary    Cooperative     360      358     75      6   6/1/2006   7/1/2006   5/1/2036   3,037.50   6/1/2006
151001773  Primary    SFR             360      358  76.93  5.875   6/1/2006   7/1/2006   5/1/2036   2,881.20   6/1/2006
151008471  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,635.00   6/1/2006
151020195  Primary    SFR             360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036   2,902.50   6/1/2006
151028891  Primary    SFR             360      358     90    6.5   6/1/2006   7/1/2006   5/1/2036   2,681.25   6/1/2006
151029923  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036   3,462.20   6/1/2006
151034451  Primary    SFR             360      357  57.69  6.375   5/1/2006   7/1/2006   4/1/2036   3,984.38   6/1/2006
151056637  Primary    SFR             360      357     75   6.25   5/1/2006   7/1/2006   4/1/2036   2,770.73   6/1/2006
151062155  Primary    SFR             360      357  53.13    6.5   5/1/2006   7/1/2006   4/1/2036   4,604.17   6/1/2006
151073517  Primary    SFR             360      358     50  6.375   6/1/2006   7/1/2006   5/1/2036   2,390.63   6/1/2006
151075082  Primary    SFR             360      356  68.24   6.75   4/1/2006   7/1/2006   3/1/2036   3,262.50   6/1/2006
151098886  Primary    SFR             360      357  56.36   6.75   5/1/2006   7/1/2006   4/1/2036   4,021.31   6/1/2006
151101961  Primary    Condo - Low     360      358     75  6.375   6/1/2006   7/1/2006   5/1/2036   3,099.84   6/1/2006
151103538  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036   2,347.92   6/1/2006
151104858  Primary    SFR             360      357     75    6.5   5/1/2006   7/1/2006   4/1/2036   3,396.25   6/1/2006
151108776  Primary    SFR             360      358  78.87      6   6/1/2006   7/1/2006   5/1/2036   2,780.00   6/1/2006
151111192  Primary    SFR             360      357  65.51  6.875   5/1/2006   7/1/2006   4/1/2036   3,471.88   6/1/2006
151111267  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036   3,180.00   6/1/2006
151118858  Investor   SFR             360      357     65  6.625   5/1/2006   7/1/2006   4/1/2036   3,068.20   6/1/2006
151137288  Primary    SFR             360      358  59.36  5.875   6/1/2006   8/1/2006   5/1/2036   2,717.19   7/1/2006
151139441  Primary    SFR             360      358  75.58    6.5   6/1/2006   7/1/2006   5/1/2036   2,646.64   6/1/2006
151144615  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036   2,773.33   7/1/2006
151149671  Primary    SFR             360      358  77.11  6.375   6/1/2006   7/1/2006   5/1/2036   3,400.00   6/1/2006
151151925  Primary    Condo - Low     360      358     80   6.75   6/1/2006   8/1/2006   5/1/2036   4,140.00   7/1/2006
151153426  Primary    SFR             360      357     75  6.375   5/1/2006   7/1/2006   4/1/2036   2,951.92   6/1/2006
151162765  Primary    SFR             360      357  71.82   6.25   5/1/2006   7/1/2006   4/1/2036   2,614.58   6/1/2006
151169174  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036   3,102.50   6/1/2006
151173317  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036   3,675.00   6/1/2006
151175288  Secondary  Condo - High    360      357  79.37  6.875   5/1/2006   7/1/2006   4/1/2036   2,847.06   6/1/2006
151181252  Primary    SFR             360      357     75    6.5   5/1/2006   7/1/2006   4/1/2036   4,956.25   6/1/2006
151196326  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036   2,535.00   6/1/2006
151205499  Primary    SFR             360      357  67.75   6.75   5/1/2006   7/1/2006   4/1/2036   2,696.07   6/1/2006
151229622  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,783.75   6/1/2006
151243201  Primary    SFR             360      358     80  7.125   6/1/2006   7/1/2006   5/1/2036   3,800.00   6/1/2006
151247608  Primary    SFR             360      357  43.59  6.625   5/1/2006   7/1/2006   4/1/2036   4,692.71   6/1/2006
151250255  Primary    SFR             360      357  78.46    6.5   5/1/2006   7/1/2006   4/1/2036   2,979.17   6/1/2006
151274644  Primary    SFR             360      358     55    6.5   6/1/2006   7/1/2006   5/1/2036   2,681.25   6/1/2006
151282118  Primary    Condo - High    360      357  77.23    6.5   5/1/2006   7/1/2006   4/1/2036   2,823.21   6/1/2006
151293743  Primary    SFR             360      357  40.85   6.25   5/1/2006   7/1/2006   4/1/2036   4,244.79   6/1/2006
151302932  Primary    SFR             360      358  40.27  6.375   6/1/2006   7/1/2006   5/1/2036   3,872.31   6/1/2006
151309499  Primary    SFR             360      357  79.69    6.5   5/1/2006   7/1/2006   4/1/2036   2,692.08   6/1/2006
151312642  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,805.00   6/1/2006
151321668  Primary    SFR             360      357  68.31    6.5   5/1/2006   7/1/2006   4/1/2036   2,404.10   6/1/2006
151330065  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,911.25   6/1/2006
151331659  Secondary  Condo - Low     360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036   4,416.67   7/1/2006
151331774  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,665.00   6/1/2006
151352275  Primary    SFR             360      359  77.72    6.5   7/1/2006   7/1/2006   6/1/2036   3,250.00   7/1/2006
151359254  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,656.25   6/1/2006
151379021  Primary    2-Family        360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036   5,391.00   6/1/2006
151382215  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036   4,356.25   6/1/2006
151382819  Primary    SFR             360      357  84.62   6.25   5/1/2006   7/1/2006   4/1/2036   2,578.12   6/1/2006
151394582  Primary    SFR             360      358     70  6.625   6/1/2006   7/1/2006   5/1/2036   3,478.12   6/1/2006
151394608  Primary    SFR             360      358     80      7   6/1/2006   7/1/2006   5/1/2036   2,566.67   6/1/2006
151406162  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036   3,098.29   6/1/2006
151409406  Primary    SFR             360      357  58.89  6.625   5/1/2006   7/1/2006   4/1/2036   2,925.22   6/1/2006
151419652  Primary    SFR             360      358  55.38  6.875   6/1/2006   7/1/2006   5/1/2036   4,124.57   6/1/2006
151421708  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036   2,475.00   6/1/2006
151435104  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036   3,980.00   6/1/2006
151435294  Primary    SFR             360      358  79.56  6.375   6/1/2006   8/1/2006   5/1/2036   2,789.06   7/1/2006
151450541  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036   2,430.00   6/1/2006
151466828  Primary    SFR             360      358  60.36  5.875   6/1/2006   8/1/2006   5/1/2036   2,952.03   7/1/2006
151467115  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036   2,958.94   6/1/2006
151468527  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036   2,792.25   7/1/2006
151468782  Primary    SFR             360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036   3,375.00   6/1/2006
151471653  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036   2,251.96   6/1/2006
151486727  Primary    SFR             360      358  53.85  6.625   6/1/2006   7/1/2006   5/1/2036   2,511.98   6/1/2006
151497864  Primary    Condo - Low     360      358  79.39  6.125   6/1/2006   7/1/2006   5/1/2036   2,654.17   6/1/2006
151499373  Primary    SFR             360      358  77.42   6.25   6/1/2006   8/1/2006   5/1/2036   2,536.46   7/1/2006
151500386  Primary    SFR             360      358  78.78  6.375   6/1/2006   7/1/2006   5/1/2036   2,603.13   6/1/2006
151511573  Primary    SFR             360      358  72.34  6.625   6/1/2006   7/1/2006   5/1/2036   2,556.15   6/1/2006
151553989  Primary    SFR             360      358  58.39    6.5   6/1/2006   8/1/2006   5/1/2036   2,941.25   7/1/2006
151591476  Primary    SFR             360      358  60.31    6.5   6/1/2006   7/1/2006   5/1/2036   5,227.08   6/1/2006
151593209  Primary    SFR             360      358  65.08    6.5   6/1/2006   7/1/2006   5/1/2036   2,291.25   6/1/2006
151596418  Primary    SFR             360      358  66.54  6.625   6/1/2006   7/1/2006   5/1/2036   2,920.52   6/1/2006
151606407  Secondary  SFR             360      358     60  6.375   6/1/2006   7/1/2006   5/1/2036   2,390.63   6/1/2006
151616406  Primary    SFR             360      358  76.92  6.375   6/1/2006   7/1/2006   5/1/2036   2,656.25   6/1/2006
151630431  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036   3,079.17   7/1/2006
151631348  Primary    SFR             360      358  79.99    6.5   6/1/2006   8/1/2006   5/1/2036   2,816.48   7/1/2006
151672151  Primary    SFR             360      358  73.03   6.25   6/1/2006   7/1/2006   5/1/2036   2,890.59   6/1/2006
151672367  Primary    SFR             360      358     90   6.75   6/1/2006   7/1/2006   5/1/2036   3,508.27   6/1/2006
151682127  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,448.32   6/1/2006
151702354  Primary    SFR             360      358  76.41   6.25   6/1/2006   7/1/2006   5/1/2036   2,248.44   6/1/2006
151715638  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036   4,420.00   7/1/2006
151723178  Primary    SFR             360      358     75    6.5   6/1/2006   7/1/2006   5/1/2036   2,620.31   6/1/2006
151724119  Primary    SFR             360      358     50    6.5   6/1/2006   7/1/2006   5/1/2036   2,708.33   6/1/2006
151746054  Primary    SFR             360      358     95  6.625   6/1/2006   7/1/2006   5/1/2036   2,919.82   6/1/2006
151747953  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036   2,409.33   7/1/2006
151758265  Primary    SFR             360      358  76.92   6.75   6/1/2006   7/1/2006   5/1/2036   5,624.99   6/1/2006
151761848  Secondary  SFR             360      358     65    6.5   6/1/2006   7/1/2006   5/1/2036   3,872.92   6/1/2006
151780285  Primary    SFR             360      358  48.98    6.5   6/1/2006   7/1/2006   5/1/2036   3,250.00   6/1/2006
151790763  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036   2,465.00   7/1/2006
151802592  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,413.67   6/1/2006
151835501  Primary    SFR             360      358     80   6.75   6/1/2006   9/1/2006   5/1/2036   3,144.38   8/1/2006
151852605  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   2,465.54   6/1/2006
151871134  Primary    SFR             360      358   54.5  6.625   6/1/2006   7/1/2006   5/1/2036   3,008.85   6/1/2006
151878725  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   2,907.00   6/1/2006
151881844  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036   2,362.50   6/1/2006
151918612  Primary    SFR             360      358     75  6.875   6/1/2006   7/1/2006   5/1/2036   3,759.77   6/1/2006
151951555  Primary    SFR             360      358  59.08    6.5   6/1/2006   7/1/2006   5/1/2036   2,979.17   6/1/2006
151959962  Primary    SFR             360      358  67.43    6.5   6/1/2006   7/1/2006   5/1/2036   3,195.83   6/1/2006
152008975  Primary    SFR             360      358  70.97   7.25   6/1/2006   7/1/2006   5/1/2036   3,322.92   6/1/2006
152011359  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,361.67   6/1/2006
152024626  Primary    SFR             360      358  74.63      6   6/1/2006   8/1/2006   5/1/2036   3,022.50   7/1/2006
152042925  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   2,730.00   6/1/2006
152279097  Primary    SFR             360      359     90   6.75   7/1/2006   7/1/2006   6/1/2036   3,181.38   7/1/2006
 39526231  Secondary  SFR             360      356  51.05  5.875   4/1/2006   7/1/2006   3/1/2036     905.98   6/1/2006
 46082871  Secondary  Condo - High    360      358     90  5.625   6/1/2006   8/1/2006   5/1/2036     984.66   7/1/2006
 47879457  Primary    Condo - Low     360      356   66.8  5.625   4/1/2006   7/1/2006   3/1/2036     782.81   6/1/2006
 49364854  Primary    SFR             360      350  84.85   5.75  10/1/2005   7/1/2006   9/1/2035   1,463.61   6/1/2006
 50649771  Secondary  Condo - High    360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,773.02   6/1/2006
 50889583  Primary    SFR             360      358  79.99  4.875   6/1/2006   7/1/2006   5/1/2036   1,670.50   6/1/2006
 50971985  Primary    SFR             360      358  79.98  5.125   6/1/2006   7/1/2006   5/1/2036     971.61   6/1/2006
 51985463  Secondary  Condo - High    360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,421.40   6/1/2006
 52081668  Primary    SFR             360      357  79.85  5.875   5/1/2006   8/1/2006   4/1/2036   1,591.13   7/1/2006
 52083235  Secondary  Condo - High    360      358     90  5.625   6/1/2006   8/1/2006   5/1/2036   1,336.92   7/1/2006
 52128162  Primary    SFR             360      358  76.22  5.375   6/1/2006   8/1/2006   5/1/2036   1,536.35   7/1/2006
 52158698  Secondary  Condo - Low     360      357  79.87  5.125   5/1/2006   8/1/2006   4/1/2036   1,084.43   7/1/2006
 52341641  Primary    Condo - High    360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,237.67   6/1/2006
 52363082  Secondary  SFR             360      356     95  5.875   4/1/2006   7/1/2006   3/1/2036   1,117.72   6/1/2006
 52452885  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   1,383.27   6/1/2006
 52940202  Secondary  SFR             360      357     95   5.75   5/1/2006   7/1/2006   4/1/2036     430.17   6/1/2006
 53240974  Primary    SFR             360      355     80  5.875   3/1/2006   8/1/2006   2/1/2036     685.83   7/1/2006
 53368981  Primary    Condo - High    360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   1,438.80   6/1/2006
 54068903  Primary    SFR             360      358     80    5.5   6/1/2006   7/1/2006   5/1/2036   1,948.02   6/1/2006
 54315593  Secondary  SFR             360      357  89.93  5.625   5/1/2006   7/1/2006   4/1/2036     641.25   6/1/2006
 54956149  Primary    SFR             360      357  48.28  5.125   5/1/2006   8/1/2006   4/1/2036   1,633.46   7/1/2006
 56389679  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   2,262.62   6/1/2006
 56536873  Primary    Condo - Low     360      357     80  5.625   5/1/2006   8/1/2006   4/1/2036   1,706.25   7/1/2006
 56591738  Primary    SFR             360      349  56.52  5.375   9/1/2005   7/1/2006   8/1/2035     580.79   6/1/2006
 56821275  Secondary  Condo - High    360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,296.42   6/1/2006
 56988488  Primary    Condo - Low     360      358  78.87  5.875   6/1/2006   7/1/2006   5/1/2036   1,196.57   6/1/2006
 57528622  Secondary  Condo - High    360      357     80  5.625   5/1/2006   8/1/2006   4/1/2036   1,263.45   7/1/2006
 57921926  Primary    SFR             360      359     80  5.875   7/1/2006   7/1/2006   6/1/2036   1,549.16   7/1/2006
 58095118  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,850.39   6/1/2006
 58180522  Primary    Condo - High    360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   1,000.27   6/1/2006
 58493438  Primary    SFR             360      359  79.79  5.625   7/1/2006   7/1/2006   6/1/2036   1,054.69   7/1/2006
 58510819  Secondary  SFR             360      358     90   5.75   6/1/2006   7/1/2006   5/1/2036   1,341.62   6/1/2006
 59469445  Primary    Condo - Low     360      357  79.96   5.75   5/1/2006   8/1/2006   4/1/2036     486.88   7/1/2006
 59616789  Primary    Condo - Low     360      359     95   5.25   7/1/2006   7/1/2006   6/1/2036   1,812.13   7/1/2006
 59769976  Primary    Condo - Low     360      358     90  5.375   6/1/2006   7/1/2006   5/1/2036     846.73   6/1/2006
 60130911  Primary    SFR             360      357     80  5.625   5/1/2006   8/1/2006   4/1/2036     955.22   7/1/2006
 60320215  Primary    SFR             360      355   31.5  5.875   3/1/2006   9/1/2006   2/1/2036   1,183.08   8/1/2006
 60449691  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036     917.48   6/1/2006
 60597929  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036     908.67   6/1/2006
 60801867  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,608.75   6/1/2006
 60955416  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,595.71   6/1/2006
 61351441  Investor   Condo - Low     360      357     90   6.25   5/1/2006   8/1/2006   4/1/2036     646.83   7/1/2006
 62063276  Investor   Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036     830.83   6/1/2006
 62114525  Secondary  Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036   1,174.64   6/1/2006
 62224555  Secondary  SFR             360      357  20.64  5.875   5/1/2006   7/1/2006   4/1/2036     298.03   6/1/2006
 62261458  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,946.04   6/1/2006
 62300884  Secondary  Condo - High    360      357     75  5.875   5/1/2006   7/1/2006   4/1/2036     991.04   6/1/2006
 62322847  Primary    SFR             360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036     692.58   7/1/2006
 62533393  Investor   Condo - Low     360      357     90  6.875   5/1/2006   7/1/2006   4/1/2036     180.47   6/1/2006
 62539218  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   2,460.80   6/1/2006
 62555198  Primary    SFR             360      357     95  5.875   5/1/2006   7/1/2006   4/1/2036     651.15   6/1/2006
 62655303  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,547.08   6/1/2006
 62731989  Primary    SFR             360      356     80  5.875   4/1/2006   8/1/2006   3/1/2036   1,390.42   7/1/2006
 62767991  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,062.98   6/1/2006
 62781315  Primary    SFR             360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036   1,879.61   7/1/2006
 62868757  Secondary  SFR             360      357     90  5.875   5/1/2006   7/1/2006   4/1/2036     656.09   6/1/2006
 62979406  Primary    Condo - Low     360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036     860.38   6/1/2006
 63219489  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,605.83   6/1/2006
 63274161  Investor   Condo - Low     360      357     80      6   5/1/2006   7/1/2006   4/1/2036   1,483.60   6/1/2006
 63528012  Primary    Condo - High    360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,440.95   6/1/2006
 63559843  Primary    Condo - Low     360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036     677.69   7/1/2006
 63705891  Primary    SFR             360      357  79.01  5.625   5/1/2006   7/1/2006   4/1/2036   1,499.63   6/1/2006
 63746424  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   1,296.48   6/1/2006
 63840656  Primary    Condo - Low     360      357  79.99  5.875   5/1/2006   7/1/2006   4/1/2036   1,016.86   6/1/2006
 63883896  Primary    Condo - Low     360      358     80  5.375   6/1/2006   8/1/2006   5/1/2036   1,429.03   7/1/2006
 63923239  Primary    SFR             360      357     95   5.25   5/1/2006   8/1/2006   4/1/2036   1,506.82   7/1/2006
 64042302  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036     462.17   6/1/2006
 64140015  Secondary  Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036   1,487.50   6/1/2006
 64153901  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,429.58   6/1/2006
 64178429  Investor   Condo - Low     360      357  79.81  6.125   5/1/2006   8/1/2006   4/1/2036   1,330.86   7/1/2006
 64180649  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,272.52   6/1/2006
 64196959  Investor   Condo - High    360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036   1,324.37   6/1/2006
 64253438  Primary    Condo - Low     360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,109.63   6/1/2006
 64259245  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,087.50   6/1/2006
 64259864  Primary    Condo - Low     360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036   1,258.97   7/1/2006
 64284771  Secondary  Condo - Low     360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036     608.73   6/1/2006
 64291834  Secondary  Condo - Low     360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,454.26   6/1/2006
 64321011  Investor   Condo - Low     360      358     90  6.875   6/1/2006   7/1/2006   5/1/2036     708.47   6/1/2006
 64323447  Investor   Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036   1,766.67   6/1/2006
 64330566  Primary    Condo - Low     360      357  79.05  5.875   5/1/2006   7/1/2006   4/1/2036     883.51   6/1/2006
 64373897  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,502.67   6/1/2006
 64420052  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036     830.68   6/1/2006
 64461114  Primary    SFR             360      358     90  5.625   6/1/2006   7/1/2006   5/1/2036   1,457.16   6/1/2006
 64484108  Investor   SFR             360      358     64   6.25   6/1/2006   7/1/2006   5/1/2036   1,241.29   6/1/2006
 64501562  Secondary  Condo - High    360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036     695.99   6/1/2006
 64554017  Primary    SFR             360      358     80  5.875   6/1/2006   8/1/2006   5/1/2036   1,762.50   7/1/2006
 64571425  Primary    SFR             360      359     80   5.75   7/1/2006   7/1/2006   6/1/2036   1,985.51   7/1/2006
 64619687  Primary    Condo - Low     360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,428.11   6/1/2006
 64622467  Primary    Condo - Low     360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,547.08   6/1/2006
 64710767  Primary    SFR             360      358     80  5.875   6/1/2006   8/1/2006   5/1/2036   1,174.61   7/1/2006
 64724685  Primary    SFR             360      358     80  5.375   6/1/2006   7/1/2006   5/1/2036   1,836.37   6/1/2006
 64918493  Primary    Condo - Low     360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,845.60   6/1/2006
 64988314  Investor   Condo - Low     360      359     80  6.625   7/1/2006   7/1/2006   6/1/2036   1,289.22   7/1/2006
 65018285  Secondary  SFR             360      358     95   6.25   6/1/2006   8/1/2006   5/1/2036   1,191.95   7/1/2006
 65340333  Primary    Condo - Low     360      358  66.66  5.625   6/1/2006   7/1/2006   5/1/2036   1,405.78   6/1/2006
144804242  Primary    SFR             360      348  79.72  5.375   8/1/2005   7/1/2006   7/1/2035      709.5   6/1/2006
145425823  Primary    SFR             360      350     80    4.5  10/1/2005   7/1/2006   9/1/2035   1,184.56   6/1/2006
145453544  Primary    SFR             360      349     95   5.25   9/1/2005   7/1/2006   8/1/2035   1,331.17   6/1/2006
145735247  Primary    PUD Detached    360      350     95  5.375  10/1/2005   7/1/2006   9/1/2035     865.21   6/1/2006
145786257  Primary    SFR             360      349     80    5.5   9/1/2005   7/1/2006   8/1/2035   1,539.63   6/1/2006
146909486  Primary    Condo - Low     360      357     90  6.625   5/1/2006   7/1/2006   4/1/2036   1,415.09   6/1/2006
147137509  Secondary  SFR             360      351     80  5.125  11/1/2005   8/1/2006  10/1/2035   1,120.67   7/1/2006
148086713  Primary    SFR             360      357     80  5.375   5/1/2006   8/1/2006   4/1/2036   1,594.23   7/1/2006
148101819  Investor   Condo - High    360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036   1,867.50   6/1/2006
149200131  Primary    Condo - Low     360      357     80  5.375   5/1/2006   7/1/2006   4/1/2036   1,640.81   6/1/2006
149566911  Primary    SFR             360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036   1,008.54   7/1/2006
149608283  Primary    Condo - High    360      357     80   5.75   5/1/2006   8/1/2006   4/1/2036   1,954.43   7/1/2006
149747818  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,100.92   6/1/2006
149837171  Primary    SFR             360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036   1,292.46   7/1/2006
149837312  Primary    SFR             360      357     80  5.375   5/1/2006   7/1/2006   4/1/2036   1,200.06   6/1/2006
149875742  Primary    SFR             360      357     80  5.375   5/1/2006   7/1/2006   4/1/2036   1,548.00   6/1/2006
149912529  Investor   Condo - Low     360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036     489.44   6/1/2006
149941759  Primary    SFR             360      358     80  5.875   6/1/2006   8/1/2006   5/1/2036     524.83   7/1/2006
149960874  Primary    Condo - Low     360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036   1,489.21   6/1/2006
149965881  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036     740.67   6/1/2006
150003812  Primary    SFR             360      358     80  5.625   6/1/2006   7/1/2006   5/1/2036     926.25   6/1/2006
150061331  Primary    Condo - Low     360      357     80  5.625   5/1/2006   8/1/2006   4/1/2036   1,837.50   7/1/2006
150110617  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,453.08   6/1/2006
150136554  Primary    SFR             360      357     80  5.625   5/1/2006   8/1/2006   4/1/2036     693.17   7/1/2006
150189504  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,931.25   6/1/2006
150193431  Primary    SFR             360      357     80  5.375   5/1/2006   7/1/2006   4/1/2036     949.58   6/1/2006
150208098  Investor   Condo - Low     360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036     912.08   6/1/2006
150211969  Primary    SFR             360      357     90  5.375   5/1/2006   7/1/2006   4/1/2036   1,511.72   6/1/2006
150285229  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   1,407.63   6/1/2006
150292472  Primary    SFR             360      356     80  5.875   4/1/2006   8/1/2006   3/1/2036   1,588.70   7/1/2006
150367639  Primary    Condo - Low     360      357     80  5.125   5/1/2006   8/1/2006   4/1/2036     948.12   7/1/2006
150369981  Primary    SFR             360      357     80    5.5   5/1/2006   8/1/2006   4/1/2036   1,466.30   7/1/2006
150395754  Primary    Condo - Low     360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,650.00   6/1/2006
150398329  Primary    SFR             360      357     80      5   5/1/2006   8/1/2006   4/1/2036   1,448.08   7/1/2006
150420883  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,145.62   6/1/2006
150426765  Primary    SFR             360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   1,292.50   6/1/2006
150450617  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036     682.33   6/1/2006
150459519  Primary    SFR             360      357     80  5.625   5/1/2006   8/1/2006   4/1/2036   1,912.50   7/1/2006
150485829  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036     850.67   6/1/2006
150501088  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,106.65   6/1/2006
150544732  Primary    SFR             360      358     80    5.5   6/1/2006   7/1/2006   5/1/2036   1,319.73   6/1/2006
150622421  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,098.75   6/1/2006
150667822  Investor   Condo - Low     360      357  79.99   6.25   5/1/2006   7/1/2006   4/1/2036     587.76   6/1/2006
150669984  Primary    SFR             360      356  79.99  5.625   4/1/2006   7/1/2006   3/1/2036   1,226.96   6/1/2006
150690956  Primary    SFR             360      356  79.99      6   4/1/2006   7/1/2006   3/1/2036   1,575.14   6/1/2006
150744514  Primary    Condo - Low     360      358     75    5.5   6/1/2006   8/1/2006   5/1/2036   1,615.25   7/1/2006
150746477  Primary    PUD Detached    360      356     80  5.875   4/1/2006   7/1/2006   3/1/2036   1,174.73   6/1/2006
150767952  Investor   SFR             360      357     80  6.875   5/1/2006   8/1/2006   4/1/2036     389.58   7/1/2006
150778777  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,575.00   6/1/2006
150814606  Primary    SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036     938.67   6/1/2006
150820942  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,057.50   6/1/2006
150824928  Primary    SFR             360      357     80   6.25   5/1/2006   9/1/2006   4/1/2036   1,643.92   8/1/2006
150888972  Primary    SFR             360      359     80  5.375   7/1/2006   7/1/2006   6/1/2036   1,289.64   7/1/2006
150892347  Primary    SFR             360      357     68  5.875   5/1/2006   7/1/2006   4/1/2036     832.29   6/1/2006
150903979  Primary    Condo - Low     360      357     80      5   5/1/2006   7/1/2006   4/1/2036   1,506.67   6/1/2006
150909596  Primary    SFR             360      357     65  5.875   5/1/2006   7/1/2006   4/1/2036   2,036.67   6/1/2006
150920528  Primary    PUD Detached    360      357     95  5.875   5/1/2006   7/1/2006   4/1/2036   1,023.90   6/1/2006
150930683  Primary    SFR             360      359     80  5.875   7/1/2006   8/1/2006   6/1/2036   2,036.67   7/1/2006
150939213  Primary    SFR             360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036      874.7   7/1/2006
150955698  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036     724.58   6/1/2006
150974897  Primary    Condo - Low     360      357     80   5.75   5/1/2006   9/1/2006   4/1/2036   1,495.00   8/1/2006
150994671  Primary    SFR             360      358  79.27   5.75   6/1/2006   7/1/2006   5/1/2036   1,556.96   6/1/2006
151011756  Primary    Condo - Low     360      358  92.09  5.875   6/1/2006   7/1/2006   5/1/2036   1,140.68   6/1/2006
151012887  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,073.33   6/1/2006
151027141  Primary    Condo - Low     360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,742.30   6/1/2006
151043452  Primary    SFR             360      358     80  5.625   6/1/2006   8/1/2006   5/1/2036   1,068.75   7/1/2006
151044427  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,656.75   6/1/2006
151051919  Primary    SFR             360      357  61.93  5.875   5/1/2006   7/1/2006   4/1/2036   1,067.29   6/1/2006
151057254  Primary    PUD Detached    360      357     80   5.75   5/1/2006   8/1/2006   4/1/2036     785.11   7/1/2006
151062791  Primary    SFR             360      358     80  5.625   6/1/2006   8/1/2006   5/1/2036   1,030.87   7/1/2006
151095718  Primary    Condo - Low     360      358     80    5.5   6/1/2006   7/1/2006   5/1/2036     989.63   6/1/2006
151097367  Investor   Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036   1,199.79   6/1/2006
151097615  Investor   SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036   1,615.00   6/1/2006
151135753  Primary    SFR             360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036   1,333.62   7/1/2006
151155793  Primary    SFR             360      357  79.99   5.75   5/1/2006   7/1/2006   4/1/2036   1,226.19   6/1/2006
151191905  Primary    SFR             360      357     80   5.75   5/1/2006   8/1/2006   4/1/2036   1,278.15   7/1/2006
151198652  Primary    Condo - Low     360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036        705   7/1/2006
151217452  Primary    Condo - Low     360      359  72.84    5.5   7/1/2006   7/1/2006   6/1/2036   1,535.42   7/1/2006
151217924  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036     391.67   6/1/2006
151218476  Primary    SFR             360      358     80    5.5   6/1/2006   8/1/2006   5/1/2036   1,769.77   7/1/2006
151225711  Investor   SFR             360      357  62.96  6.375   5/1/2006   7/1/2006   4/1/2036   2,056.92   6/1/2006
151246329  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036     889.12   6/1/2006
151249059  Secondary  Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036   1,797.36   6/1/2006
151270691  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036   1,635.87   6/1/2006
151289287  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,016.25   6/1/2006
151304052  Secondary  SFR             360      357     90   5.75   5/1/2006   8/1/2006   4/1/2036   1,146.32   7/1/2006
151308814  Primary    SFR             360      358  36.63  5.875   6/1/2006   7/1/2006   5/1/2036     697.66   6/1/2006
151323243  Primary    SFR             360      358  29.17  5.875   6/1/2006   7/1/2006   5/1/2036     685.42   6/1/2006
151335965  Primary    SFR             360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,449.17   6/1/2006
151417581  Primary    SFR             360      358     80  5.375   6/1/2006   7/1/2006   5/1/2036   1,211.17   6/1/2006
151432572  Primary    PUD Detached    360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036     786.25   7/1/2006
151444767  Primary    Condo - Low     360      358     80  5.875   6/1/2006   7/1/2006   5/1/2036   1,860.42   6/1/2006
151486586  Primary    SFR             360      358     80    5.5   6/1/2006   8/1/2006   5/1/2036   1,037.67   7/1/2006
151490406  Primary    SFR             360      358  66.52  5.875   6/1/2006   7/1/2006   5/1/2036   1,498.12   6/1/2006
151516226  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,860.32   6/1/2006
151622727  Primary    SFR             360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036   1,725.00   7/1/2006
151657632  Primary    SFR             360      358     80  5.875   6/1/2006   8/1/2006   5/1/2036   1,468.74   7/1/2006
151666732  Primary    SFR             360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036   1,483.50   7/1/2006
151673332  Investor   SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036        637   6/1/2006
151685054  Primary    Condo - Low     360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,169.17   6/1/2006
151691995  Primary    SFR             360      358     79  5.875   6/1/2006   7/1/2006   5/1/2036   1,160.19   6/1/2006
151706926  Secondary  SFR             360      358  77.78  5.875   6/1/2006   7/1/2006   5/1/2036   1,370.83   6/1/2006
151709342  Investor   SFR             360      358  52.38  6.375   6/1/2006   7/1/2006   5/1/2036   1,460.94   6/1/2006
151783925  Primary    SFR             360      358  76.03  5.875   6/1/2006   8/1/2006   5/1/2036   1,086.87   7/1/2006
151800083  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,456.67   6/1/2006
151814431  Primary    Condo - Low     360      358  79.97  5.875   6/1/2006   7/1/2006   5/1/2036     979.66   6/1/2006
151863909  Primary    SFR             360      359     80   5.75   7/1/2006   8/1/2006   6/1/2036   1,418.33   7/1/2006
151864402  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,296.80   6/1/2006
151883907  Primary    SFR             360      358     80  5.875   6/1/2006   8/1/2006   5/1/2036   1,684.17   7/1/2006
151897782  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,414.31   6/1/2006
151938172  Investor   SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036   1,581.67   6/1/2006
151945359  Investor   Condo - Low     360      358  69.12  6.625   6/1/2006   7/1/2006   5/1/2036   1,297.40   6/1/2006
151962818  Investor   Condo - Low     360      358     80   6.75   6/1/2006   8/1/2006   5/1/2036   2,175.75   7/1/2006
151996741  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036   1,502.67   6/1/2006
152010187  Primary    SFR             360      359     80  5.875   7/1/2006   8/1/2006   6/1/2036   1,872.17   7/1/2006
   322835  Primary    SFR             360      315     90  5.125  11/1/2002   7/1/2006  10/1/2032   1,715.14   6/1/2006
   700303  Primary    SFR             360      313     95  5.375   9/1/2002   7/1/2006   8/1/2032     891.33   6/1/2006
   782007  Primary    SFR             360      315     95  5.125  11/1/2002   7/1/2006  10/1/2032   1,708.89   6/1/2006
   866263  Primary    SFR             360      311  77.27  5.375   7/1/2002   8/1/2006   6/1/2032   1,903.91   7/1/2006
   894267  Primary    SFR             360      312     80  5.375   8/1/2002   7/1/2006   7/1/2032   1,379.58   6/1/2006
   962934  Primary    SFR             360      324  78.53      4   8/1/2003   8/1/2006   7/1/2033   1,098.06   7/1/2006
 18567354  Primary    SFR             360      319  25.53  4.875   3/1/2003   8/1/2006   2/1/2033     486.98   7/1/2006
 31581358  Primary    SFR             360      325     80      5   9/1/2003   7/1/2006   8/1/2033        633   6/1/2006
 36392801  Primary    SFR             360      329  51.85  4.875   1/1/2004   7/1/2006  12/1/2033   1,015.63   6/1/2006
 37476504  Primary    SFR             360      332  69.93      5   4/1/2004   7/1/2006   3/1/2034   1,019.19   6/1/2006
 38997698  Primary    SFR             360      333  75.07  4.875   5/1/2004   7/1/2006   4/1/2034   1,137.50   6/1/2006
 42659276  Secondary  SFR             360      345     95  5.125   5/1/2005   7/1/2006   4/1/2035     710.03   6/1/2006
 43586171  Primary    SFR             360      338     80   5.25  10/1/2004   7/1/2006   9/1/2034     705.84   6/1/2006
 44093706  Primary    SFR             360      336  79.02  5.375   8/1/2004   7/1/2006   7/1/2034   1,449.49   6/1/2006
 44279727  Secondary  SFR             360      342     80      5   2/1/2005   7/1/2006   1/1/2035     966.22   6/1/2006
 44982734  Primary    SFR             360      338     90  4.875  10/1/2004   7/1/2006   9/1/2034   1,031.06   6/1/2006
 45547312  Primary    2-Family        360      338     70   5.25  10/1/2004   7/1/2006   9/1/2034   1,835.21   6/1/2006
 47618236  Primary    SFR             360      345     80   5.25   5/1/2005   7/1/2006   4/1/2035      690.9   6/1/2006
 48477673  Primary    SFR             360      342     80   5.25   2/1/2005   8/1/2006   1/1/2035        917   7/1/2006
 49203797  Primary    SFR             360      344  79.99      5   4/1/2005   7/1/2006   3/1/2035   1,166.25   6/1/2006
 49230824  Primary    SFR             360      343   73.3  4.875   3/1/2005   7/1/2006   2/1/2035     471.96   6/1/2006
 49297393  Primary    Condo - High    360      343     80  5.125   3/1/2005   7/1/2006   2/1/2035     599.54   6/1/2006
 49385289  Primary    Condo - High    360      343  79.99   5.25   3/1/2005   7/1/2006   2/1/2035     783.78   6/1/2006
 49412158  Primary    Condo - Low     360      342  90.07  5.375   2/1/2005   7/1/2006   1/1/2035     608.76   6/1/2006
 49433949  Primary    SFR             360      343  36.19  4.875   3/1/2005   8/1/2006   2/1/2035   1,272.58   7/1/2006
 49662927  Primary    SFR             360      342  93.81  5.125   2/1/2005   7/1/2006   1/1/2035     777.29   6/1/2006
 49814155  Primary    SFR             360      342     95  5.375   2/1/2005   7/1/2006   1/1/2035     876.56   6/1/2006
 49838196  Primary    Condo - Low     360      343     80  5.125   3/1/2005   7/1/2006   2/1/2035   1,622.92   6/1/2006
 49895097  Primary    SFR             360      343  79.32      5   3/1/2005   7/1/2006   2/1/2035      944.5   6/1/2006
 49992217  Primary    SFR             360      344     95  5.125   4/1/2005   8/1/2006   3/1/2035     880.43   7/1/2006
 49998438  Primary    SFR             360      343     70  5.375   3/1/2005   7/1/2006   2/1/2035     778.48   6/1/2006
 49998768  Secondary  SFR             360      343     80      5   3/1/2005   7/1/2006   2/1/2035   1,226.67   6/1/2006
 50057074  Primary    SFR             300      283     80  5.125   3/1/2005   7/1/2006   2/1/2030   1,192.42   6/1/2006
 50070283  Primary    SFR             360      344     80  5.375   4/1/2005   8/1/2006   3/1/2035   1,308.52   7/1/2006
 50096064  Primary    SFR             360      344     95  5.375   4/1/2005   7/1/2006   3/1/2035   1,264.28   6/1/2006
 50161413  Primary    Condo - Low     360      345  94.98  5.375   5/1/2005   8/1/2006   4/1/2035     584.71   7/1/2006
 50232404  Primary    SFR             360      344     95      5   4/1/2005   7/1/2006   3/1/2035     591.18   6/1/2006
 50310598  Primary    SFR             360      343  78.77  5.375   3/1/2005   7/1/2006   2/1/2035   1,136.65   6/1/2006
 50411818  Primary    SFR             360      344     80  4.875   4/1/2005   7/1/2006   3/1/2035   1,315.84   6/1/2006
 50557404  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035     788.33   6/1/2006
 50867258  Primary    Condo - Low     360      344     90   5.25   4/1/2005   7/1/2006   3/1/2035     629.61   6/1/2006
 50867449  Primary    Condo - Low     360      348     95  5.375   8/1/2005   7/1/2006   7/1/2035     661.68   6/1/2006
 50870971  Primary    SFR             360      345     95  5.125   5/1/2005   7/1/2006   4/1/2035   1,094.61   6/1/2006
 50913508  Primary    2-Family        360      345  85.29  5.125   5/1/2005   8/1/2006   4/1/2035   1,584.48   7/1/2006
 50953942  Primary    Condo - Low     360      344     95  5.125   4/1/2005   8/1/2006   3/1/2035     918.14   7/1/2006
 51003259  Primary    SFR             360      344  93.16      5   4/1/2005   7/1/2006   3/1/2035     600.35   6/1/2006
 51170678  Primary    SFR             360      344  94.64  5.375   4/1/2005   7/1/2006   3/1/2035     474.79   6/1/2006
 51196103  Primary    SFR             360      344     80      5   4/1/2005   7/1/2006   3/1/2035     321.16   6/1/2006
 51472652  Primary    SFR             360      345     90  5.375   5/1/2005   7/1/2006   4/1/2035     755.57   6/1/2006
 51700979  Primary    Condo - High    360      344     80   5.25   4/1/2005   8/1/2006   3/1/2035      892.5   7/1/2006
 51792711  Primary    SFR             360      345     80      5   5/1/2005   8/1/2006   4/1/2035     534.36   7/1/2006
 51794816  Primary    SFR             360      345  69.11      5   5/1/2005   7/1/2006   4/1/2035   1,327.08   6/1/2006
 51891851  Primary    SFR             360      347     80   5.25   7/1/2005   7/1/2006   6/1/2035   1,071.00   6/1/2006
 51915072  Primary    2-Family        360      347   94.9  5.375   7/1/2005   8/1/2006   6/1/2035   2,011.55   7/1/2006
 52382017  Primary    Condo - High    360      345     80  5.125   5/1/2005   7/1/2006   4/1/2035   1,118.92   6/1/2006
 52409547  Primary    SFR             360      346   78.7  5.125   6/1/2005   7/1/2006   5/1/2035   1,294.06   6/1/2006
 52418068  Primary    SFR             360      345     95  5.375   5/1/2005   7/1/2006   4/1/2035     574.45   6/1/2006
 52731874  Primary    SFR             360      346  79.37   4.75   6/1/2005   8/1/2006   5/1/2035   1,099.43   7/1/2006
 52807526  Primary    SFR             360      347  84.21      5   7/1/2005   8/1/2006   6/1/2035     462.73   7/1/2006
 52891249  Primary    SFR             360      347  77.54   5.25   7/1/2005   7/1/2006   6/1/2035     634.38   6/1/2006
 52963923  Secondary  Condo - High    360      346     95  5.375   6/1/2005   8/1/2006   5/1/2035   1,588.71   7/1/2006
 53050878  Primary    SFR             360      347     80   5.25   7/1/2005   7/1/2006   6/1/2035     759.15   6/1/2006
 53212882  Primary    Condo - Low     360      346  79.99  5.375   6/1/2005   7/1/2006   5/1/2035     544.22   6/1/2006
 53599858  Primary    SFR             360      347     95   5.25   7/1/2005   7/1/2006   6/1/2035   1,514.61   6/1/2006
 53877395  Primary    SFR             360      347  83.82   5.25   7/1/2005   7/1/2006   6/1/2035   1,246.88   6/1/2006
 53904769  Primary    Condo - Low     360      348     80  5.375   8/1/2005   7/1/2006   7/1/2035     670.08   6/1/2006
 53948436  Primary    SFR             360      347     80  5.375   7/1/2005   7/1/2006   6/1/2035     397.75   6/1/2006
 54268719  Primary    Condo - Low     360      347     80  5.375   7/1/2005   7/1/2006   6/1/2035     553.93   6/1/2006
 54389531  Primary    SFR             360      347  79.53   5.25   7/1/2005   7/1/2006   6/1/2035   1,050.00   6/1/2006
 54918867  Primary    Condo - Low     360      348  79.84  5.375   8/1/2005   7/1/2006   7/1/2035     867.17   6/1/2006
 56953201  Secondary  SFR             360      348     95      5   8/1/2005   7/1/2006   7/1/2035     842.85   6/1/2006
 57012783  Primary    SFR             360      349     95  5.375   9/1/2005   7/1/2006   8/1/2035   1,174.45   6/1/2006
 57690281  Primary    Condo - Low     360      350  69.83   5.25  10/1/2005   7/1/2006   9/1/2035     369.61   6/1/2006
 57985087  Primary    SFR             360      350   79.1  5.375  10/1/2005   7/1/2006   9/1/2035   2,356.04   6/1/2006
 58065509  Primary    SFR             360      350     80  5.375  10/1/2005   7/1/2006   9/1/2035     591.25   6/1/2006
125050799  Primary    SFR             360      317     80      5   1/1/2003   7/1/2006  12/1/2032     985.49   6/1/2006
125694877  Primary    SFR             360      318     80      5   2/1/2003   7/1/2006   1/1/2033     683.33   6/1/2006
128545472  Secondary  SFR             360      323  92.42  5.125   7/1/2003   7/1/2006   6/1/2033   1,302.60   6/1/2006
131720641  Primary    SFR             360      327     80  4.875  11/1/2003   7/1/2006  10/1/2033   1,137.21   6/1/2006
131804742  Primary    SFR             360      330     80      5   2/1/2004   7/1/2006   1/1/2034     598.24   6/1/2006
132231721  Primary    SFR             360      326     90   5.25  10/1/2003   7/1/2006   9/1/2033   1,432.80   6/1/2006
132438052  Primary    SFR             360      329     80  4.875   1/1/2004   7/1/2006  12/1/2033     771.88   6/1/2006
132677634  Primary    SFR             360      329  82.15  4.875   1/1/2004   7/1/2006  12/1/2033     990.97   6/1/2006
132688888  Primary    SFR             360      328     80      5  12/1/2003   7/1/2006  11/1/2033   1,122.49   6/1/2006
132763061  Primary    SFR             360      328     95  4.875  12/1/2003   7/1/2006  11/1/2033   1,156.93   6/1/2006
132867581  Primary    Condo - Low     360      329     95  4.875   1/1/2004   7/1/2006  12/1/2033     372.42   6/1/2006
134123132  Primary    SFR             360      331     80  4.875   3/1/2004   7/1/2006   2/1/2034   1,109.97   6/1/2006
134544857  Primary    SFR             360      332     95  4.875   4/1/2004   8/1/2006   3/1/2034   1,357.63   7/1/2006
134568476  Primary    SFR             360      332  86.48  4.875   4/1/2004   7/1/2006   3/1/2034     569.12   6/1/2006
135045235  Primary    SFR             360      332     90  5.125   4/1/2004   7/1/2006   3/1/2034   1,018.37   6/1/2006
135229631  Primary    Condo - Low     360      334     80  4.875   6/1/2004   8/1/2006   5/1/2034     699.48   7/1/2006
136116936  Primary    SFR             360      337     80      5   9/1/2004   7/1/2006   8/1/2034     932.67   6/1/2006
136748282  Primary    SFR             360      337     80  4.875   9/1/2004   8/1/2006   8/1/2034   1,131.00   7/1/2006
136888575  Primary    SFR             360      334  68.87  4.875   6/1/2004   7/1/2006   5/1/2034   1,430.04   6/1/2006
137017935  Primary    Condo - Low     360      337     80  4.875   9/1/2004   7/1/2006   8/1/2034   1,267.50   6/1/2006
137431516  Primary    Condo - High    360      335     95  4.875   7/1/2004   7/1/2006   6/1/2034     813.49   6/1/2006
137831632  Primary    SFR             360      336     80  4.875   8/1/2004   7/1/2006   7/1/2034   1,004.25   6/1/2006
137846879  Primary    SFR             360      336  94.93  5.125   8/1/2004   7/1/2006   7/1/2034     862.73   6/1/2006
138059597  Primary    SFR             360      337     80      5   9/1/2004   7/1/2006   8/1/2034   1,229.82   6/1/2006
138064324  Primary    Condo - Low     360      337     80      5   9/1/2004   8/1/2006   8/1/2034   1,236.41   7/1/2006
138106968  Secondary  SFR             360      336     95   5.25   8/1/2004   8/1/2006   7/1/2034     764.65   7/1/2006
138167283  Primary    SFR             360      337     80  4.875   9/1/2004   8/1/2006   8/1/2034     893.63   7/1/2006
138240304  Primary    SFR             360      337     90      5   9/1/2004   7/1/2006   8/1/2034   1,498.12   6/1/2006
138287602  Primary    SFR             360      336     80      5   8/1/2004   7/1/2006   7/1/2034   1,300.00   6/1/2006
138289038  Primary    SFR             360      336     80      5   8/1/2004   7/1/2006   7/1/2034   1,105.05   6/1/2006
138296728  Primary    SFR             360      337     80  4.875   9/1/2004   7/1/2006   8/1/2034     653.25   6/1/2006
138423827  Primary    SFR             360      337     80      5   9/1/2004   7/1/2006   8/1/2034     815.93   6/1/2006
138484357  Primary    Condo - Low     360      338  79.45  4.875  10/1/2004   7/1/2006   9/1/2034   1,354.35   6/1/2006
138487566  Primary    SFR             360      337     80  4.875   9/1/2004   8/1/2006   8/1/2034     703.49   7/1/2006
138558192  Primary    SFR             360      337     80  4.875   9/1/2004   7/1/2006   8/1/2034   1,434.29   6/1/2006
138724257  Primary    SFR             360      339     80  4.875  11/1/2004   7/1/2006  10/1/2034     816.85   6/1/2006
138768726  Primary    SFR             360      337     80   5.25   9/1/2004   7/1/2006   8/1/2034     622.71   6/1/2006
138852561  Primary    SFR             360      337     80  4.875   9/1/2004   9/1/2006   8/1/2034     736.12   8/1/2006
138901558  Primary    SFR             360      337     90      5   9/1/2004   7/1/2006   8/1/2034     755.25   6/1/2006
138971866  Primary    SFR             360      338     70  4.875  10/1/2004   7/1/2006   9/1/2034   1,412.04   6/1/2006
139039523  Primary    SFR             360      339    100  5.125  11/1/2004   7/1/2006  10/1/2034   1,437.14   6/1/2006
139441802  Primary    SFR             360      338     80      5  10/1/2004   8/1/2006   9/1/2034     941.67   7/1/2006
140432949  Primary    SFR             360      347     80   4.75   7/1/2005   8/1/2006   6/1/2035     839.17   7/1/2006
140566035  Primary    Condo - Low     360      345     80  4.875   5/1/2005   7/1/2006   4/1/2035   1,081.18   6/1/2006
140896952  Primary    Condo - Low     360      343     80  4.875   3/1/2005   7/1/2006   2/1/2035     888.92   6/1/2006
141011882  Primary    SFR             360      342     80  5.125   2/1/2005   7/1/2006   1/1/2035   1,195.82   6/1/2006
141059139  Primary    SFR             360      345     95      5   5/1/2005   7/1/2006   4/1/2035   1,404.04   6/1/2006
141171454  Secondary  SFR             360      342     80      5   2/1/2005   8/1/2006   1/1/2035   1,016.67   7/1/2006
141279943  Primary    SFR             360      342     80      5   2/1/2005   7/1/2006   1/1/2035     733.24   6/1/2006
141470112  Primary    SFR             360      344  79.44  4.875   4/1/2005   7/1/2006   3/1/2035     663.54   6/1/2006
141507111  Primary    SFR             360      342     80  5.125   2/1/2005   7/1/2006   1/1/2035   1,520.12   6/1/2006
141549105  Secondary  Condo - Low     360      343  79.63  4.875   3/1/2005   7/1/2006   2/1/2035   1,310.16   6/1/2006
141610097  Primary    SFR             360      344  88.55      5   4/1/2005   7/1/2006   3/1/2035     479.56   6/1/2006
141611368  Primary    SFR             360      342  79.31  4.875   2/1/2005   8/1/2006   1/1/2035     754.45   7/1/2006
141634725  Primary    Condo - Low     360      342     80   5.25   2/1/2005   7/1/2006   1/1/2035   1,504.65   6/1/2006
141640169  Primary    SFR             360      342     80  4.875   2/1/2005   8/1/2006   1/1/2035     656.47   7/1/2006
141647362  Primary    SFR             360      343  79.98      5   3/1/2005   7/1/2006   2/1/2035   1,027.50   6/1/2006
141655878  Primary    SFR             360      342     80  4.875   2/1/2005   7/1/2006   1/1/2035     573.63   6/1/2006
141656298  Primary    SFR             360      342     80  4.875   2/1/2005   7/1/2006   1/1/2035     578.38   6/1/2006
141656728  Primary    SFR             360      346  78.91   4.75   6/1/2005   7/1/2006   5/1/2035     969.79   6/1/2006
141714162  Secondary  Condo - Low     360      343  79.34  4.875   3/1/2005   8/1/2006   2/1/2035        780   7/1/2006
141735126  Primary    SFR             360      344     75  5.375   4/1/2005   7/1/2006   3/1/2035   1,310.16   6/1/2006
141750216  Primary    Condo - Low     360      343  79.98      5   3/1/2005   7/1/2006   2/1/2035   1,498.35   6/1/2006
141760306  Primary    SFR             360      342    100   5.25   2/1/2005   7/1/2006   1/1/2035     765.63   6/1/2006
141794008  Secondary  SFR             360      342  78.37      5   2/1/2005   7/1/2006   1/1/2035     702.06   6/1/2006
141828673  Primary    Condo - Low     360      343     90  4.875   3/1/2005   7/1/2006   2/1/2035   1,019.81   6/1/2006
141831594  Primary    SFR             360      347     80  4.875   7/1/2005   7/1/2006   6/1/2035   1,329.87   6/1/2006
141831933  Primary    SFR             360      343     80      5   3/1/2005   8/1/2006   2/1/2035     897.91   7/1/2006
141836932  Secondary  SFR             360      342     80  4.875   2/1/2005   7/1/2006   1/1/2035     900.25   6/1/2006
141842419  Primary    SFR             360      343     80  5.375   3/1/2005   8/1/2006   2/1/2035     588.72   7/1/2006
141887331  Primary    SFR             360      342     80  4.875   2/1/2005   8/1/2006   1/1/2035     568.75   7/1/2006
141915231  Primary    Condo - Low     360      343     90      5   3/1/2005   7/1/2006   2/1/2035   1,262.28   6/1/2006
141932483  Primary    SFR             360      343  29.41  4.875   3/1/2005   7/1/2006   2/1/2035     507.81   6/1/2006
141938712  Primary    SFR             360      344     80  4.875   4/1/2005   8/1/2006   3/1/2035     671.17   7/1/2006
141945949  Primary    SFR             360      342     80  4.875   2/1/2005   8/1/2006   1/1/2035     758.19   7/1/2006
141949941  Primary    SFR             360      342  94.51  5.375   2/1/2005   7/1/2006   1/1/2035   1,083.45   6/1/2006
141968602  Primary    SFR             360      342     80  4.875   2/1/2005   7/1/2006   1/1/2035     974.67   6/1/2006
141972406  Primary    SFR             360      343  79.86      5   3/1/2005   8/1/2006   2/1/2035   1,190.80   7/1/2006
141976266  Primary    SFR             360      343     95      5   3/1/2005   7/1/2006   2/1/2035   1,275.00   6/1/2006
141999383  Primary    Condo - Low     360      343     80  4.875   3/1/2005   7/1/2006   2/1/2035     647.22   6/1/2006
142013705  Primary    Condo - Low     360      344     95   5.25   4/1/2005   7/1/2006   3/1/2035     697.83   6/1/2006
142019249  Primary    SFR             360      342     90      5   2/1/2005   7/1/2006   1/1/2035      952.5   6/1/2006
142027911  Secondary  Condo - Low     360      344     80      5   4/1/2005   7/1/2006   3/1/2035        384   6/1/2006
142031152  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035   1,313.67   6/1/2006
142084359  Primary    Condo - Low     360      343     80  4.875   3/1/2005   7/1/2006   2/1/2035   1,046.50   6/1/2006
142113125  Primary    SFR             360      343  66.92      5   3/1/2005   7/1/2006   2/1/2035     181.25   6/1/2006
142127091  Primary    SFR             360      344     80  4.875   4/1/2005   8/1/2006   3/1/2035      552.5   7/1/2006
142135672  Primary    Condo - Low     360      343     80  5.375   3/1/2005   7/1/2006   2/1/2035     680.32   6/1/2006
142155316  Primary    SFR             360      344     80  4.875   4/1/2005   7/1/2006   3/1/2035   1,145.63   6/1/2006
142158666  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035      904.5   6/1/2006
142159458  Primary    SFR             360      344     80      5   4/1/2005   7/1/2006   3/1/2035   1,496.67   6/1/2006
142201193  Primary    SFR             360      345     80  5.125   5/1/2005   7/1/2006   4/1/2035   1,108.01   6/1/2006
142207935  Primary    Condo - High    360      343     80  5.375   3/1/2005   7/1/2006   2/1/2035     653.47   6/1/2006
142213032  Primary    SFR             360      343     80      5   3/1/2005   7/1/2006   2/1/2035   1,223.33   6/1/2006
142220268  Primary    SFR             360      344    100  5.375   4/1/2005   7/1/2006   3/1/2035   1,226.96   6/1/2006
142225572  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035      981.4   6/1/2006
142228857  Primary    Cooperative     360      345     80  4.875   5/1/2005   8/1/2006   4/1/2035   1,283.75   7/1/2006
142241322  Primary    SFR             360      343     80  5.375   3/1/2005   8/1/2006   2/1/2035   1,324.71   7/1/2006
142241694  Primary    SFR             360      343   78.9      5   3/1/2005   7/1/2006   2/1/2035   1,435.42   6/1/2006
142242023  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035     975.95   6/1/2006
142287572  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035   1,233.00   6/1/2006
142288281  Primary    SFR             360      343     80  4.875   3/1/2005   7/1/2006   2/1/2035     821.46   6/1/2006
142325521  Primary    Condo - Low     360      344  79.85      5   4/1/2005   7/1/2006   3/1/2035     908.33   6/1/2006
142329325  Primary    Cooperative     360      346     75  4.875   6/1/2005   7/1/2006   5/1/2035   1,096.88   6/1/2006
142338797  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035     762.23   6/1/2006
142359603  Primary    Cooperative     360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035      779.5   6/1/2006
142361955  Primary    SFR             360      345  77.94      5   5/1/2005   8/1/2006   4/1/2035   1,354.17   7/1/2006
142362987  Primary    Condo - Low     360      345     95  5.125   5/1/2005   8/1/2006   4/1/2035     595.25   7/1/2006
142386507  Primary    SFR             360      344  43.77  4.875   4/1/2005   7/1/2006   3/1/2035     469.22   6/1/2006
142389089  Primary    Condo - Low     360      346     80  4.875   6/1/2005   8/1/2006   5/1/2035     833.63   7/1/2006
142389345  Primary    SFR             360      344  59.78  4.875   4/1/2005   8/1/2006   3/1/2035   1,116.73   7/1/2006
142396761  Primary    Condo - Low     360      343     80      5   3/1/2005   7/1/2006   2/1/2035     858.33   6/1/2006
142397843  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,200.00   6/1/2006
142435197  Primary    SFR             360      348     80  4.875   8/1/2005   7/1/2006   7/1/2035   1,170.61   6/1/2006
142456094  Primary    SFR             360      346     80      5   6/1/2005   7/1/2006   5/1/2035   1,147.96   6/1/2006
142458314  Primary    SFR             360      344   92.8      5   4/1/2005   7/1/2006   3/1/2035     987.08   6/1/2006
142472042  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035     684.58   6/1/2006
142493998  Primary    SFR             360      344  69.38      5   4/1/2005   7/1/2006   3/1/2035   1,381.72   6/1/2006
142502368  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035     996.67   6/1/2006
142528512  Primary    SFR             360      346     80      5   6/1/2005   7/1/2006   5/1/2035     933.33   6/1/2006
142564293  Primary    SFR             360      345  73.05  4.875   5/1/2005   7/1/2006   4/1/2035     914.06   6/1/2006
142571934  Primary    Condo - Low     360      341     80   5.25   1/1/2005   7/1/2006  12/1/2034   1,504.52   6/1/2006
142584101  Primary    SFR             360      345     80      5   5/1/2005   8/1/2006   4/1/2035   1,236.51   7/1/2006
142595156  Primary    SFR             360      344  79.99  5.375   4/1/2005   7/1/2006   3/1/2035     580.05   6/1/2006
142602804  Primary    SFR             360      347     80   4.75   7/1/2005   8/1/2006   6/1/2035   1,393.33   7/1/2006
142610849  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035   1,350.38   6/1/2006
142619618  Primary    SFR             360      346  72.14  5.125   6/1/2005   7/1/2006   5/1/2035   1,106.15   6/1/2006
142627256  Primary    SFR             360      345     80  4.875   5/1/2005   7/1/2006   4/1/2035   1,150.50   6/1/2006
142628874  Primary    SFR             360      345     77      5   5/1/2005   7/1/2006   4/1/2035     705.83   6/1/2006
142645845  Secondary  Condo - Low     360      344     80      5   4/1/2005   8/1/2006   3/1/2035        850   7/1/2006
142689728  Primary    SFR             360      348     80  4.875   8/1/2005   7/1/2006   7/1/2035   1,105.00   6/1/2006
142703792  Primary    SFR             360      345  79.99  5.125   5/1/2005   7/1/2006   4/1/2035     990.41   6/1/2006
142745538  Primary    SFR             360      345     90  4.875   5/1/2005   8/1/2006   4/1/2035     605.97   7/1/2006
142751361  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035      669.5   6/1/2006
142751635  Primary    SFR             360      344  77.05  5.375   4/1/2005   7/1/2006   3/1/2035     751.47   6/1/2006
142755156  Primary    SFR             360      344     25  4.875   4/1/2005   7/1/2006   3/1/2035   1,320.31   6/1/2006
142756444  Primary    Condo - Low     360      345     80  5.375   5/1/2005   7/1/2006   4/1/2035     956.75   6/1/2006
142778174  Primary    SFR             360      345     95  5.375   5/1/2005   8/1/2006   4/1/2035   1,127.18   7/1/2006
142793504  Primary    SFR             360      345     80  4.875   5/1/2005   7/1/2006   4/1/2035      877.5   6/1/2006
142794106  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035     983.33   6/1/2006
142816586  Primary    SFR             360      345     80      5   5/1/2005   8/1/2006   4/1/2035   1,494.29   7/1/2006
142821362  Primary    SFR             360      347     80      5   7/1/2005   8/1/2006   6/1/2035     832.65   7/1/2006
142859982  Primary    Condo - High    360      345     80      5   5/1/2005   8/1/2006   4/1/2035   1,366.67   7/1/2006
142873132  Secondary  Condo - Low     360      345     80  4.875   5/1/2005   7/1/2006   4/1/2035     601.25   6/1/2006
142879212  Primary    SFR             360      345  78.82  4.875   5/1/2005   7/1/2006   4/1/2035     494.42   6/1/2006
142895978  Primary    Condo - Low     360      344     80      5   4/1/2005   7/1/2006   3/1/2035   1,200.00   6/1/2006
142903681  Primary    SFR             360      346     80      5   6/1/2005   9/1/2006   5/1/2035   1,429.70   8/1/2006
142924075  Primary    SFR             360      346     80  4.875   6/1/2005   8/1/2006   5/1/2035     747.45   7/1/2006
142928845  Primary    SFR             360      346  55.16  4.875   6/1/2005   7/1/2006   5/1/2035   1,042.03   6/1/2006
142939313  Primary    2-Family        360      345     95  5.125   5/1/2005   7/1/2006   4/1/2035   1,724.35   6/1/2006
142990712  Primary    SFR             360      345     90   5.25   5/1/2005   8/1/2006   4/1/2035   1,251.85   7/1/2006
143011542  Primary    SFR             360      345     80  4.875   5/1/2005   9/1/2006   4/1/2035   1,179.51   8/1/2006
143016418  Primary    SFR             360      346  70.97   4.75   6/1/2005   8/1/2006   5/1/2035     870.83   7/1/2006
143028868  Primary    SFR             360      345  47.49  4.875   5/1/2005   7/1/2006   4/1/2035     730.47   6/1/2006
143035731  Primary    SFR             360      344     95   5.25   4/1/2005   7/1/2006   3/1/2035   1,163.75   6/1/2006
143042224  Primary    SFR             360      346     80  4.875   6/1/2005   8/1/2006   5/1/2035     581.43   7/1/2006
143047165  Primary    SFR             360      345  93.67   5.25   5/1/2005   8/1/2006   4/1/2035     971.25   7/1/2006
143048734  Primary    Condo - Low     360      344     80   5.25   4/1/2005   7/1/2006   3/1/2035     548.72   6/1/2006
143059467  Primary    SFR             360      346  70.31  4.875   6/1/2005   8/1/2006   5/1/2035     731.25   7/1/2006
143065282  Primary    SFR             360      345  35.33  4.875   5/1/2005   7/1/2006   4/1/2035     861.25   6/1/2006
143073138  Primary    SFR             360      347   79.8  4.875   7/1/2005   8/1/2006   6/1/2035     794.22   7/1/2006
143103745  Primary    SFR             360      345   79.9      5   5/1/2005   7/1/2006   4/1/2035   1,321.81   6/1/2006
143113538  Primary    SFR             360      345     80  5.375   5/1/2005   7/1/2006   4/1/2035     777.58   6/1/2006
143140796  Primary    Condo - High    360      345     80   5.25   5/1/2005   7/1/2006   4/1/2035   1,031.10   6/1/2006
143190593  Primary    SFR             360      346     80      5   6/1/2005   8/1/2006   5/1/2035   1,466.67   7/1/2006
143221307  Secondary  SFR             360      345     80  4.875   5/1/2005   7/1/2006   4/1/2035   1,220.12   6/1/2006
143232171  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,384.25   6/1/2006
143256584  Primary    SFR             360      346  76.92  4.875   6/1/2005   7/1/2006   5/1/2035   1,218.34   6/1/2006
143259695  Primary    SFR             360      347  78.33      5   7/1/2005   7/1/2006   6/1/2035     978.46   6/1/2006
143266443  Primary    SFR             360      346  73.09      5   6/1/2005   7/1/2006   5/1/2035     695.83   6/1/2006
143292209  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035   1,084.68   6/1/2006
143292217  Primary    SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035   1,083.74   6/1/2006
143302198  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035      942.5   6/1/2006
143303626  Primary    SFR             360      348     80  4.625   8/1/2005   7/1/2006   7/1/2035     998.65   6/1/2006
143313021  Secondary  SFR             360      345     80      5   5/1/2005   7/1/2006   4/1/2035     983.33   6/1/2006
143335743  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035     576.87   6/1/2006
143370542  Primary    SFR             360      347  68.12  4.875   7/1/2005   7/1/2006   6/1/2035   1,060.31   6/1/2006
143379204  Primary    Cooperative     360      347     80  5.375   7/1/2005   8/1/2006   6/1/2035     984.36   7/1/2006
143400406  Primary    SFR             360      346     80  4.875   6/1/2005   8/1/2006   5/1/2035   1,332.50   7/1/2006
143417178  Primary    SFR             360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035        936   6/1/2006
143420347  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,159.52   6/1/2006
143479236  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,298.36   6/1/2006
143510097  Primary    Condo - Low     360      346     80  4.875   6/1/2005   7/1/2006   5/1/2035     826.84   6/1/2006
143527737  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,209.67   6/1/2006
143529568  Primary    SFR             360      345     95  5.375   5/1/2005   7/1/2006   4/1/2035   1,555.37   6/1/2006
143553154  Primary    Condo - Low     360      346     75  4.875   6/1/2005   7/1/2006   5/1/2035   1,300.94   6/1/2006
143568889  Secondary  SFR             360      345     80  4.875   5/1/2005   8/1/2006   4/1/2035     861.25   7/1/2006
143599827  Primary    Condo - Low     360      348     80  4.625   8/1/2005   7/1/2006   7/1/2035     927.26   6/1/2006
143608792  Primary    SFR             360      346     80   5.25   6/1/2005   7/1/2006   5/1/2035   1,329.56   6/1/2006
143612406  Primary    SFR             360      348     80      5   8/1/2005   7/1/2006   7/1/2035   1,183.33   6/1/2006
143621449  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,089.53   6/1/2006
143622249  Primary    SFR             360      347     80  4.625   7/1/2005   8/1/2006   6/1/2035     824.08   7/1/2006
143640423  Primary    SFR             360      348     80      5   8/1/2005   8/1/2006   7/1/2035   1,292.73   7/1/2006
143651685  Primary    SFR             360      347     80  4.875   7/1/2005   7/1/2006   6/1/2035   1,218.43   6/1/2006
143688091  Primary    SFR             360      348     80  4.625   8/1/2005   7/1/2006   7/1/2035   1,208.67   6/1/2006
143734911  Primary    SFR             360      347  91.82    4.5   7/1/2005   7/1/2006   6/1/2035     791.97   6/1/2006
143763803  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,406.12   6/1/2006
143791069  Secondary  Condo - Low     360      345     80  5.375   5/1/2005   8/1/2006   4/1/2035     752.46   7/1/2006
143814168  Primary    SFR             360      347  54.62   4.75   7/1/2005   7/1/2006   6/1/2035   1,286.46   6/1/2006
143823482  Primary    SFR             360      346     80      5   6/1/2005   7/1/2006   5/1/2035     883.22   6/1/2006
143837888  Primary    SFR             360      347     80  4.875   7/1/2005   7/1/2006   6/1/2035   1,218.75   6/1/2006
143849545  Primary    SFR             360      348  79.99  5.375   8/1/2005   7/1/2006   7/1/2035     937.71   6/1/2006
143853851  Primary    SFR             360      347  78.34    4.5   7/1/2005   7/1/2006   6/1/2035   1,119.74   6/1/2006
143869089  Primary    SFR             360      346  67.85      5   6/1/2005   7/1/2006   5/1/2035      887.5   6/1/2006
143899664  Primary    SFR             360      348     80      5   8/1/2005   8/1/2006   7/1/2035   1,883.33   7/1/2006
143943496  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,373.33   6/1/2006
143948248  Primary    SFR             360      346  79.98  4.875   6/1/2005   7/1/2006   5/1/2035   1,153.27   6/1/2006
143954121  Primary    Condo - Low     360      347  78.44   5.25   7/1/2005   7/1/2006   6/1/2035     518.22   6/1/2006
143958395  Primary    SFR             360      346     80  4.875   6/1/2005   8/1/2006   5/1/2035     935.82   7/1/2006
143958478  Primary    SFR             360      347  61.18  4.875   7/1/2005   8/1/2006   6/1/2035   1,117.19   7/1/2006
143970804  Primary    SFR             360      348     80      5   8/1/2005   7/1/2006   7/1/2035     643.33   6/1/2006
143984235  Primary    SFR             360      347     80  4.875   7/1/2005   7/1/2006   6/1/2035   1,032.28   6/1/2006
144071412  Primary    SFR             360      347     80      5   7/1/2005   8/1/2006   6/1/2035   1,454.08   7/1/2006
144075959  Primary    SFR             360      347     80  4.625   7/1/2005   8/1/2006   6/1/2035     808.91   7/1/2006
144076734  Primary    SFR             360      347     80   5.25   7/1/2005   7/1/2006   6/1/2035   1,049.97   6/1/2006
144118288  Primary    SFR             360      347  73.68  4.875   7/1/2005   7/1/2006   6/1/2035     847.67   6/1/2006
144141124  Primary    SFR             360      348     80  4.625   8/1/2005   7/1/2006   7/1/2035   1,276.50   6/1/2006
144146537  Primary    SFR             360      347     80  5.375   7/1/2005   7/1/2006   6/1/2035   1,092.92   6/1/2006
144155603  Primary    SFR             360      346     80    4.5   6/1/2005   7/1/2006   5/1/2035     856.75   6/1/2006
144156809  Primary    SFR             360      348     80  4.875   8/1/2005   8/1/2006   7/1/2035   1,074.13   7/1/2006
144160116  Primary    SFR             360      346     80   4.75   6/1/2005   7/1/2006   5/1/2035        380   6/1/2006
144190881  Primary    SFR             360      347     80  4.875   7/1/2005   7/1/2006   6/1/2035   1,316.25   6/1/2006
144203213  Primary    SFR             360      347  71.95      5   7/1/2005   7/1/2006   6/1/2035   1,437.50   6/1/2006
144249406  Primary    Condo - High    360      346     95      5   6/1/2005   7/1/2006   5/1/2035     704.58   6/1/2006
144255577  Primary    SFR             360      347  79.06  5.125   7/1/2005   7/1/2006   6/1/2035      644.9   6/1/2006
144281201  Primary    Condo - High    360      348     80  5.125   8/1/2005   7/1/2006   7/1/2035   1,230.00   6/1/2006
144307881  Primary    SFR             360      347     80   4.75   7/1/2005   7/1/2006   6/1/2035   1,067.17   6/1/2006
144310588  Primary    SFR             360      347     80  4.875   7/1/2005   7/1/2006   6/1/2035     460.52   6/1/2006
144347077  Secondary  SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035   1,161.33   6/1/2006
144354735  Primary    SFR             360      347     80  4.375   7/1/2005   8/1/2006   6/1/2035     768.54   7/1/2006
144362357  Primary    SFR             360      347     80  4.625   7/1/2005   7/1/2006   6/1/2035   1,295.00   6/1/2006
144401007  Primary    SFR             360      348     80  4.875   8/1/2005   7/1/2006   7/1/2035   1,166.44   6/1/2006
144438207  Primary    Condo - Low     360      347  89.33   5.25   7/1/2005   7/1/2006   6/1/2035   1,465.62   6/1/2006
144464997  Primary    SFR             360      348     80  4.875   8/1/2005   7/1/2006   7/1/2035      773.5   6/1/2006
144509437  Primary    SFR             360      347  78.49      5   7/1/2005   8/1/2006   6/1/2035   1,108.33   7/1/2006
144542628  Primary    SFR             360      348     80      5   8/1/2005   7/1/2006   7/1/2035   1,066.63   6/1/2006
144565488  Primary    SFR             360      347     80  5.375   7/1/2005   7/1/2006   6/1/2035   1,515.75   6/1/2006
144573375  Primary    Condo - High    360      347     80  5.375   7/1/2005   7/1/2006   6/1/2035     770.22   6/1/2006
144591906  Primary    SFR             360      347  68.78   5.25   7/1/2005   7/1/2006   6/1/2035     616.74   6/1/2006
144621497  Primary    SFR             360      347  94.64  5.375   7/1/2005   8/1/2006   6/1/2035     709.93   7/1/2006
144642584  Primary    SFR             360      347     80  4.875   7/1/2005   7/1/2006   6/1/2035   1,391.19   6/1/2006
144672417  Primary    Condo - Low     360      347     80   4.75   7/1/2005   7/1/2006   6/1/2035   1,393.33   6/1/2006
144684982  Primary    SFR             360      348     80      5   8/1/2005   7/1/2006   7/1/2035   1,356.67   6/1/2006
144714896  Secondary  Condo - High    360      348     80  5.375   8/1/2005   8/1/2006   7/1/2035     895.83   7/1/2006
144749272  Primary    SFR             360      348     80  4.875   8/1/2005   7/1/2006   7/1/2035     851.29   6/1/2006
144759917  Primary    SFR             360      347     95  5.125   7/1/2005   7/1/2006   6/1/2035      624.9   6/1/2006
144765989  Primary    SFR             360      347     80  5.375   7/1/2005   7/1/2006   6/1/2035   1,066.66   6/1/2006
144796968  Primary    SFR             360      347     95   5.25   7/1/2005   7/1/2006   6/1/2035     685.13   6/1/2006
144828811  Primary    PUD Detached    360      347  72.65  5.125   7/1/2005   7/1/2006   6/1/2035   1,054.90   6/1/2006
144851151  Primary    SFR             360      348     80   5.25   8/1/2005   8/1/2006   7/1/2035     681.27   7/1/2006
144855343  Primary    SFR             360      347  79.89  5.375   7/1/2005   7/1/2006   6/1/2035     658.44   6/1/2006
144918331  Primary    SFR             360      347     80      5   7/1/2005   7/1/2006   6/1/2035     818.82   6/1/2006
145211868  Primary    SFR             360      349     80  4.625   9/1/2005   7/1/2006   8/1/2035   1,063.75   6/1/2006
145502696  Primary    SFR             360      350  79.99   4.75  10/1/2005   7/1/2006   9/1/2035     917.94   6/1/2006
145532735  Primary    Condo - Low     360      349     90  5.375   9/1/2005   7/1/2006   8/1/2035   1,124.72   6/1/2006
145618765  Primary    SFR             360      349     80   4.75   9/1/2005   7/1/2006   8/1/2035   1,139.68   6/1/2006
145690251  Primary    SFR             360      349     80   4.75   9/1/2005   8/1/2006   8/1/2035     699.65   7/1/2006
145750857  Secondary  SFR             360      349     80  5.125   9/1/2005   7/1/2006   8/1/2035      849.9   6/1/2006
145783742  Primary    SFR             360      349     80      5   9/1/2005   7/1/2006   8/1/2035        550   6/1/2006
145858023  Primary    PUD Detached    360      348  94.97  5.375   8/1/2005   8/1/2006   7/1/2035     630.22   7/1/2006
146182944  Primary    SFR             360      349     80   5.25   9/1/2005   7/1/2006   8/1/2035   1,214.13   6/1/2006
146191705  Primary    SFR             360      349     80  4.875   9/1/2005   7/1/2006   8/1/2035     403.73   6/1/2006
146202585  Primary    SFR             360      349     80      5   9/1/2005   7/1/2006   8/1/2035     546.67   6/1/2006
 17966466  Primary    SFR             360      319   37.5  5.125   3/1/2003   7/1/2006   2/1/2033   1,919.32   6/1/2006
 46162772  Primary    Condo - High    360      341  79.99  4.875   1/1/2005   7/1/2006  12/1/2034   1,541.31   6/1/2006
 47512116  Primary    Condo - High    360      340  79.89  4.875  12/1/2004   7/1/2006  11/1/2034   1,616.37   6/1/2006
 48500953  Secondary  SFR             360      340     75  4.375  12/1/2004   7/1/2006  11/1/2034     710.94   6/1/2006
 48564322  Primary    SFR             360      341     80    4.5   1/1/2005   7/1/2006  12/1/2034   1,728.90   6/1/2006
 51259703  Primary    SFR             360      344     80  4.875   4/1/2005   7/1/2006   3/1/2035   1,315.72   6/1/2006
 52690138  Primary    SFR             360      346     80  5.625   6/1/2005   7/1/2006   5/1/2035   1,436.25   6/1/2006
 53066171  Primary    SFR             360      346     80  5.625   6/1/2005   7/1/2006   5/1/2035   1,683.75   6/1/2006
 54058953  Primary    SFR             360      347     80   5.25   7/1/2005   7/1/2006   6/1/2035   1,085.00   6/1/2006
 57042103  Primary    SFR             360      350     80  5.625  10/1/2005   7/1/2006   9/1/2035   1,888.09   6/1/2006
 57347874  Primary    SFR             360      350     80  5.125  10/1/2005   7/1/2006   9/1/2035   1,605.49   6/1/2006
 58414079  Primary    Condo - Low     360      350     80    5.5  10/1/2005   7/1/2006   9/1/2035   1,264.42   6/1/2006
 59406082  Secondary  SFR             360      351  74.84    5.5  11/1/2005   7/1/2006  10/1/2035   1,595.00   6/1/2006
 59848093  Primary    SFR             360      352  84.21  5.375  12/1/2005   7/1/2006  11/1/2035   1,075.00   6/1/2006
 60744513  Primary    Condo - Low     360      353  81.18   5.25   1/1/2006   7/1/2006  12/1/2035   1,207.50   6/1/2006
 60836681  Secondary  Condo - Low     360      356     80    5.5   4/1/2006   7/1/2006   3/1/2036   1,620.67   6/1/2006
 61427357  Primary    Condo - High    360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,165.86   6/1/2006
 61918017  Primary    SFR             360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,818.75   6/1/2006
 61918322  Primary    SFR             360      357     80  5.625   5/1/2006   7/1/2006   4/1/2036   1,200.00   6/1/2006
 62009006  Primary    SFR             360      355     80    5.5   3/1/2006   7/1/2006   2/1/2036   1,301.67   6/1/2006
 62010004  Primary    SFR             360      355  29.73  5.625   3/1/2006   7/1/2006   2/1/2036   1,934.21   6/1/2006
 62045398  Primary    Condo - Low     360      355     80  5.375   3/1/2006   7/1/2006   2/1/2036   1,282.83   6/1/2006
 62065677  Primary    SFR             360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036   1,443.75   6/1/2006
 62097324  Primary    SFR             360      355  52.85  5.625   3/1/2006   7/1/2006   2/1/2036   1,476.56   6/1/2006
 62105929  Primary    Condo - High    360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,245.00   6/1/2006
 62159041  Primary    SFR             360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036     948.73   6/1/2006
 62187174  Secondary  Condo - Low     360      355  71.81    5.5   3/1/2006   8/1/2006   2/1/2036     851.68   7/1/2006
 62360029  Primary    SFR             360      356  76.34    5.5   4/1/2006   7/1/2006   3/1/2036   1,760.00   6/1/2006
 62467188  Secondary  SFR             360      357  69.87  5.625   5/1/2006   7/1/2006   4/1/2036   1,227.32   6/1/2006
 62496781  Primary    SFR             360      356  79.41  5.625   4/1/2006   7/1/2006   3/1/2036   1,265.14   6/1/2006
 62497227  Primary    Condo - Low     360      356     80  5.625   4/1/2006   8/1/2006   3/1/2036   1,796.25   7/1/2006
 62512587  Secondary  Condo - Low     360      356     80  5.375   4/1/2006   7/1/2006   3/1/2036   2,777.08   6/1/2006
 62534078  Secondary  Condo - Low     360      356  78.95    5.5   4/1/2006   7/1/2006   3/1/2036   1,031.25   6/1/2006
 62540448  Primary    SFR             360      356  76.19    5.5   4/1/2006   8/1/2006   3/1/2036   1,827.99   7/1/2006
 62585427  Primary    Condo - Low     360      356  69.96    5.5   4/1/2006   8/1/2006   3/1/2036   1,322.38   7/1/2006
 62633219  Secondary  SFR             360      356     90    5.5   4/1/2006   7/1/2006   3/1/2036     688.87   6/1/2006
 62732839  Primary    Condo - Low     360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,425.00   6/1/2006
 62741285  Secondary  Condo - Low     360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,706.25   6/1/2006
 62894191  Primary    SFR             360      356  79.84  5.625   4/1/2006   7/1/2006   3/1/2036   1,448.44   6/1/2006
 62982137  Secondary  Condo - Low     360      356     75  5.625   4/1/2006   7/1/2006   3/1/2036   1,318.36   6/1/2006
 63020069  Secondary  SFR             360      356  73.53  5.625   4/1/2006   7/1/2006   3/1/2036   1,406.25   6/1/2006
 63142558  Primary    Condo - Low     360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,320.00   6/1/2006
 63167746  Secondary  Condo - Low     360      356  47.17  5.625   4/1/2006   7/1/2006   3/1/2036   1,523.44   6/1/2006
 63217137  Primary    SFR             360      357  61.52  5.625   5/1/2006   7/1/2006   4/1/2036     951.52   6/1/2006
140990763  Secondary  SFR             360      342     80  4.875   2/1/2005   7/1/2006   1/1/2035   1,262.42   6/1/2006
142458959  Secondary  SFR             360      345     80    4.5   5/1/2005   7/1/2006   4/1/2035   1,170.00   6/1/2006
142844356  Primary    Condo - Low     360      345     80  5.125   5/1/2005   7/1/2006   4/1/2035   1,383.75   6/1/2006
143008605  Primary    SFR             360      346     80    4.5   6/1/2005   7/1/2006   5/1/2035     649.38   6/1/2006
144398732  Primary    Cooperative     360      349     80  4.875   9/1/2005   7/1/2006   8/1/2035   1,517.75   6/1/2006
144669413  Primary    SFR             360      348  42.47   5.25   8/1/2005   7/1/2006   7/1/2035   1,802.50   6/1/2006
147497101  Primary    SFR             360      353     80      5   1/1/2006   7/1/2006  12/1/2035   1,256.93   6/1/2006
147875975  Primary    SFR             360      354     80  5.375   2/1/2006   7/1/2006   1/1/2036   1,379.58   6/1/2006
147923585  Primary    SFR             360      357  72.52  5.625   5/1/2006   7/1/2006   4/1/2036   2,400.49   6/1/2006
148702103  Primary    SFR             360      354     80    4.5   2/1/2006   8/1/2006   1/1/2036   1,126.33   7/1/2006
148757289  Secondary  SFR             360      355  76.49    5.5   3/1/2006   7/1/2006   2/1/2036   1,604.17   6/1/2006
148814213  Primary    SFR             360      355     80  5.125   3/1/2006   7/1/2006   2/1/2036   1,041.45   6/1/2006
148916166  Primary    SFR             360      354  76.34  5.125   2/1/2006   7/1/2006   1/1/2036   1,516.15   6/1/2006
148970718  Primary    SFR             360      355     80      5   3/1/2006   7/1/2006   2/1/2036   1,183.33   6/1/2006
149029506  Primary    Condo - Low     360      356  79.79  5.625   4/1/2006   8/1/2006   3/1/2036   1,588.82   7/1/2006
149086506  Primary    SFR             360      355  42.55  5.625   3/1/2006   7/1/2006   2/1/2036   1,875.00   6/1/2006
149152555  Primary    SFR             360      355     80    5.5   3/1/2006   7/1/2006   2/1/2036     900.17   6/1/2006
149164337  Primary    Condo - High    360      355     80    5.5   3/1/2006   7/1/2006   2/1/2036   1,117.41   6/1/2006
149197956  Primary    Condo - Low     360      355     80  5.125   3/1/2006   7/1/2006   2/1/2036   1,185.58   6/1/2006
149198442  Secondary  SFR             360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036     894.38   6/1/2006
149313165  Primary    Condo - Low     360      355     80  5.625   3/1/2006   7/1/2006   2/1/2036   1,706.25   6/1/2006
149401317  Primary    SFR             360      355     80   5.25   3/1/2006   7/1/2006   2/1/2036   1,457.60   6/1/2006
149458416  Secondary  SFR             360      355  66.67  5.625   3/1/2006   7/1/2006   2/1/2036   1,875.00   6/1/2006
149507212  Secondary  SFR             360      355  69.37    5.5   3/1/2006   7/1/2006   2/1/2036     939.58   6/1/2006
149515561  Primary    Condo - Low     360      355     80  4.875   3/1/2006   7/1/2006   2/1/2036   1,140.75   6/1/2006
149578395  Primary    Condo - Low     360      355     80    5.5   3/1/2006   7/1/2006   2/1/2036   1,748.80   6/1/2006
149621021  Primary    SFR             360      355     80      5   3/1/2006   7/1/2006   2/1/2036   1,524.58   6/1/2006
149627259  Primary    SFR             360      355     80      5   3/1/2006   7/1/2006   2/1/2036   1,814.46   6/1/2006
149646374  Primary    SFR             360      355     80  5.375   3/1/2006   7/1/2006   2/1/2036   1,515.74   6/1/2006
149676389  Secondary  SFR             360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,510.35   6/1/2006
149715096  Secondary  SFR             360      355     80    5.5   3/1/2006   8/1/2006   2/1/2036   1,574.83   7/1/2006
149795932  Primary    SFR             360      355     80   4.75   3/1/2006   7/1/2006   2/1/2036   2,149.19   6/1/2006
149818171  Primary    SFR             360      356     70  5.375   4/1/2006   7/1/2006   3/1/2036   1,693.13   6/1/2006
149861593  Primary    SFR             360      355     80  5.375   3/1/2006   7/1/2006   2/1/2036   1,142.35   6/1/2006
149893935  Primary    SFR             360      356     80   5.25   4/1/2006   7/1/2006   3/1/2036   1,099.40   6/1/2006
149900086  Primary    SFR             360      356     80  5.125   4/1/2006   7/1/2006   3/1/2036      799.5   6/1/2006
150020667  Primary    Condo - Low     360      357  77.78    5.5   5/1/2006   7/1/2006   4/1/2036   1,604.17   6/1/2006
150040517  Primary    Condo - Low     360      356     80   5.25   4/1/2006   7/1/2006   3/1/2036   1,470.00   6/1/2006
150058527  Primary    Condo - Low     360      355     80  5.625   3/1/2006   8/1/2006   2/1/2036   1,950.00   7/1/2006
150076016  Primary    SFR             360      356  79.41  5.625   4/1/2006   7/1/2006   3/1/2036   1,954.69   6/1/2006
150085785  Primary    SFR             360      356  53.33    5.5   4/1/2006   7/1/2006   3/1/2036   1,833.33   6/1/2006
150086593  Primary    Condo - Low     360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,275.00   6/1/2006
150091684  Secondary  Condo - High    360      356     80    5.5   4/1/2006   7/1/2006   3/1/2036     967.27   6/1/2006
150116622  Secondary  SFR             360      355     80    5.5   3/1/2006   8/1/2006   2/1/2036   1,063.33   7/1/2006
150119675  Primary    Condo - Low     360      356  77.69  4.875   4/1/2006   7/1/2006   3/1/2036     911.69   6/1/2006
150186096  Primary    SFR             360      357     80  5.125   5/1/2006   7/1/2006   4/1/2036   1,292.33   6/1/2006
150221166  Primary    SFR             360      357  74.67    5.5   5/1/2006   8/1/2006   4/1/2036   1,415.04   7/1/2006
150226207  Primary    Condo - Low     360      356     80   5.25   4/1/2006   7/1/2006   3/1/2036   1,816.50   6/1/2006
150230597  Secondary  Condo - Low     360      356     80  5.375   4/1/2006   8/1/2006   3/1/2036   1,304.33   7/1/2006
150274967  Primary    Condo - Low     360      356     80  4.375   4/1/2006   7/1/2006   3/1/2036   1,045.62   6/1/2006
150346807  Primary    SFR             360      356     80  5.125   4/1/2006   7/1/2006   3/1/2036   1,076.25   6/1/2006
150353076  Primary    Condo - Low     360      356   55.1  5.375   4/1/2006   8/1/2006   3/1/2036     895.83   7/1/2006
150360055  Secondary  SFR             360      357     80   5.25   5/1/2006   7/1/2006   4/1/2036        980   6/1/2006
150373819  Primary    Condo - Low     360      357  79.78  4.625   5/1/2006   7/1/2006   4/1/2036   1,345.25   6/1/2006
150391977  Primary    Condo - Low     360      356     80   4.75   4/1/2006   7/1/2006   3/1/2036   1,419.54   6/1/2006
150425759  Secondary  SFR             360      357     80    5.5   5/1/2006   7/1/2006   4/1/2036   1,070.67   6/1/2006
150433738  Primary    SFR             360      356  83.33    5.5   4/1/2006   7/1/2006   3/1/2036      687.5   6/1/2006
150452076  Primary    SFR             360      356     80   5.25   4/1/2006   7/1/2006   3/1/2036   1,610.00   6/1/2006
150506988  Primary    SFR             360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,856.25   6/1/2006
150604759  Secondary  SFR             360      356     80  5.625   4/1/2006   7/1/2006   3/1/2036   1,528.83   6/1/2006
150620201  Secondary  SFR             360      357     50    5.5   5/1/2006   7/1/2006   4/1/2036   1,145.83   6/1/2006
150899516  Primary    Condo - Low     360      357     80  4.875   5/1/2006   7/1/2006   4/1/2036   1,396.45   6/1/2006
151039161  Primary    Condo - Low     360      357  79.96      5   5/1/2006   7/1/2006   4/1/2036   1,306.67   6/1/2006
151087939  Primary    Condo - Low     360      357     75   5.25   5/1/2006   8/1/2006   4/1/2036   1,734.42   7/1/2006
151093416  Primary    Condo - Low     360      358     75  5.375   6/1/2006   7/1/2006   5/1/2036   1,333.67   6/1/2006

LOANID     OBAL          COBAL         PURPOSE   DOC          OAPPVAL       FRTRDATE   CEILING  FLOOR  CAPINT  MARGIN  INDEX
---------------------------------------------------------------------------------------------------------------------------------

145678181    525,000.00    522,904.49  R/T Refi  Asset Only     700,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145683363    735,000.00    735,000.00  C/O Refi  Asset Only   1,050,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT
145692554    644,000.00    637,286.47  C/O Refi  Asset Only     925,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
145705398    432,000.00    432,000.00  Purchase  Full           545,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
145720942    997,750.00    993,985.00  C/O Refi  Full         1,535,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145735783    600,000.00    600,000.00  C/O Refi  Asset Only   1,100,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
145749958    550,000.00    550,000.00  Purchase  AUS            790,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145756698    420,000.00    420,000.00  R/T Refi  Full           670,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145790291    763,000.00    762,341.22  C/O Refi  Asset Only   1,090,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT
145833372    572,000.00    571,271.26  Purchase  Asset Only     642,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT
145840161    554,000.00    554,000.00  C/O Refi  Asset Only     740,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
145850541    432,000.00    432,000.00  R/T Refi  Asset Only     540,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
145858247    486,000.00    486,000.00  C/O Refi  Asset Only     633,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
145936357    470,000.00    469,884.95  Purchase  Asset Only     711,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
146043971    510,000.00    508,771.75  C/O Refi  Asset Only     795,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146081963    608,000.00    607,733.39  R/T Refi  Asset Only     765,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146104575    575,000.00    573,109.77  C/O Refi  AUS            850,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
146107834    510,150.00    504,827.60  Purchase  Asset Only     545,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146143391    550,000.00    546,910.79  Purchase  Full           835,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
146178272  1,350,000.00  1,350,000.00  Purchase  Full         1,800,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
146178793    555,000.00    553,467.27  Purchase  Full         1,425,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146209226    567,000.00    567,000.00  C/O Refi  Asset Only     725,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146254248    586,000.00    586,000.00  C/O Refi  Asset Only     975,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
146265541  1,320,000.00  1,320,000.00  R/T Refi  Full         1,650,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146273537    471,250.00    471,207.16  C/O Refi  Asset Only     725,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146281662    520,000.00    519,506.68  C/O Refi  Asset Only     650,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
146285754    650,000.00    650,000.00  C/O Refi  Asset Only     930,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146305032    435,000.00    432,982.91  C/O Refi  AUS            740,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146317672    975,000.00    975,000.00  C/O Refi  Asset Only   1,500,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
146330311    460,000.00    460,000.00  Purchase  Asset Only     638,100.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146348545    613,600.00    613,600.00  R/T Refi  Asset Only     810,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146372636    487,200.00    483,343.38  Purchase  Asset Only     624,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
146387907    592,500.00    592,500.00  C/O Refi  Full           790,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146456538    540,000.00    540,000.00  Purchase  Full           710,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146472477    600,000.00    600,000.00  C/O Refi  Full           860,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146475355    636,000.00    636,000.00  Purchase  Asset Only     795,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146497508    999,000.00    999,000.00  C/O Refi  Asset Only   1,665,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146499777    432,000.00    427,497.18  C/O Refi  Asset Only     555,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146505201    565,000.00    565,000.00  C/O Refi  AUS          1,075,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146526215    445,000.00    444,994.52  R/T Refi  Asset Only     700,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT
146544069    447,200.00    446,786.34  Purchase  Asset Only     570,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146545546    603,600.00    603,446.83  Purchase  Full           754,500.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146577259    582,600.00    582,116.61  Purchase  Full           740,000.00   8/1/2015   11.125   2.75       2    2.75  1 YR CMT
146589965    624,000.00    624,000.00  C/O Refi  Asset Only     782,500.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
146592548  1,760,000.00  1,760,000.00  Purchase  Full         2,200,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146601737    500,000.00    500,000.00  C/O Refi  AUS            825,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
146608609    476,000.00    476,000.00  Purchase  Asset Only     595,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146614557    611,250.00    611,250.00  Purchase  Asset Only     815,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146620208    562,500.00    562,500.00  R/T Refi  Asset Only     750,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146634522    600,000.00    600,000.00  C/O Refi  Asset Only   1,275,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
146636907    512,000.00    510,698.12  C/O Refi  Full           640,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
146641568    600,000.00    599,999.99  C/O Refi  Asset Only     823,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
146652896    733,600.00    733,600.00  Purchase  Full           917,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146657028    623,600.00    623,600.00  Purchase  Asset Only     780,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
146658497    537,500.00    537,500.00  R/T Refi  Asset Only     898,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
146665039    900,000.00    900,000.00  Purchase  Full         1,200,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146684154    430,000.00    430,000.00  C/O Refi  AUS          1,339,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146689161    425,000.00    424,895.96  C/O Refi  Asset Only   1,050,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146694732    510,000.00    499,700.68  C/O Refi  Asset Only     785,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
146705371    460,000.00    460,000.00  Purchase  Asset Only     600,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
146707575    735,000.00    735,000.00  C/O Refi  Asset Only   1,050,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT
146725858    535,800.00    535,800.00  Purchase  Asset Only     564,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT
146741905    580,000.00    580,000.00  C/O Refi  Full           725,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
146748678    675,500.00    675,500.00  C/O Refi  Asset Only     965,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
146755509    450,000.00    450,000.00  R/T Refi  Asset Only     600,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
146768338    428,000.00    420,088.38  C/O Refi  Asset Only     574,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT
146768718    498,000.00    498,000.00  R/T Refi  Asset Only     635,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146774906    525,000.00    525,000.00  C/O Refi  Asset Only     700,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT
146803457    639,200.00    639,200.00  Purchase  Asset Only     810,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146804935    492,000.00    487,000.00  Purchase  Asset Only     615,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
146811658    450,000.00    450,000.00  C/O Refi  Asset Only     840,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146815485    650,000.00    642,400.00  Purchase  Asset Only   1,280,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146823562    700,000.00    504,038.48  C/O Refi  Asset Only   1,370,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
146825377    525,000.00    525,000.00  Purchase  Asset Only     725,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146829205    568,000.00    568,000.00  Purchase  Full           710,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146840723    762,000.00    762,000.00  C/O Refi  Asset Only   1,320,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
146904495    455,000.00    455,000.00  C/O Refi  Asset Only     700,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
146905815    569,660.00    565,042.99  Purchase  Asset Only     712,500.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
146909205    430,450.00    425,436.09  Purchase  Asset Only     545,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146941778    500,000.00    500,000.00  C/O Refi  AUS            840,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146941794    440,000.00    439,548.16  C/O Refi  Asset Only     562,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
146942081    500,000.00    499,500.00  R/T Refi  Asset Only     700,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
146949938    650,000.00    643,224.99  C/O Refi  AUS          1,100,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
146957147    522,750.00    519,766.12  Purchase  Asset Only     697,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
146959978    500,000.00    500,000.00  C/O Refi  Asset Only     740,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
146968433    735,000.00    734,949.62  Purchase  Full           968,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
146970611    492,000.00    492,000.00  C/O Refi  Asset Only     615,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
146973425    454,000.00    454,000.00  C/O Refi  Asset Only     595,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
146994926    480,000.00    477,557.57  C/O Refi  Asset Only     603,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147004311    548,000.00    548,000.00  C/O Refi  Full           685,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
147022248    635,000.00    634,050.15  C/O Refi  Asset Only   1,350,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147037352    667,600.00    665,688.00  Purchase  Full           850,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
147059687    600,000.00    600,000.00  C/O Refi  Asset Only   1,020,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
147063952    651,700.00    651,699.31  R/T Refi  Full         1,050,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147073076    480,000.00    479,642.58  Purchase  Asset Only     610,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147074454    435,000.00    434,486.56  C/O Refi  Asset Only     580,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147087613    725,000.00    725,000.00  C/O Refi  Asset Only   1,090,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147103592    631,200.00    631,200.00  Purchase  Full           790,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
147112189    650,000.00    650,000.00  C/O Refi  Asset Only     830,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
147128714    430,000.00    430,000.00  R/T Refi  Asset Only     700,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
147131486    478,065.00    477,965.00  Purchase  Asset Only     609,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147135354    420,000.00    420,000.00  Purchase  Asset Only     525,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
147146401    980,000.00    980,000.00  Purchase  Full         1,225,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147148597    640,000.00    637,700.00  R/T Refi  Income Only    800,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
147154298    428,000.00    420,863.28  Purchase  Full           535,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147162051    528,000.00    528,000.00  C/O Refi  Asset Only     845,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
147162259    875,000.00    874,999.15  C/O Refi  Asset Only   1,800,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
147163109    999,900.00    999,900.00  C/O Refi  Asset Only   2,400,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147163133    514,400.00    514,400.00  R/T Refi  Asset Only     680,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147168678    620,000.00    614,198.20  C/O Refi  Asset Only     800,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147174494    632,000.00    632,000.00  Purchase  Full           790,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147179006    498,750.00    496,750.00  C/O Refi  Full           665,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
147188643    580,800.00    580,800.00  C/O Refi  Asset Only     726,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
147193825    509,000.00    507,917.76  C/O Refi  Asset Only     679,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
147205504    650,000.00    650,000.00  Purchase  Asset Only     850,500.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147208144    509,962.00    505,295.84  Purchase  Asset Only     680,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147213102    650,000.00    650,000.00  C/O Refi  Full           820,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147214969    608,000.00    608,000.00  C/O Refi  Asset Only     760,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147228084    639,950.00    639,800.00  Purchase  Full           799,950.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147229884    464,000.00    464,000.00  C/O Refi  Asset Only     665,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147231138    572,000.00    571,998.10  C/O Refi  Asset Only     715,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147235519    600,000.00    600,000.00  R/T Refi  Asset Only     750,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147244008    487,000.00    487,000.00  C/O Refi  Asset Only     625,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147248058    650,000.00    650,000.00  C/O Refi  Asset Only     890,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147252746    640,000.00    638,430.92  C/O Refi  Asset Only     900,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147278485    440,000.00    440,000.00  C/O Refi  Asset Only     550,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147282586    516,000.00    516,000.00  Purchase  Asset Only     645,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147298863    750,000.00    750,000.00  C/O Refi  Asset Only   1,172,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147312037    505,000.00    504,999.99  R/T Refi  Asset Only     715,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147319008    546,000.00    546,000.00  R/T Refi  Asset Only     765,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147328918    480,000.00    479,672.26  C/O Refi  Asset Only     950,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147338818    900,000.00    895,878.73  C/O Refi  Full         1,315,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147341192    640,000.00    640,000.00  C/O Refi  Asset Only     800,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147349872    559,500.00    559,500.00  C/O Refi  Asset Only     725,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147359079    511,000.00    506,858.39  C/O Refi  Asset Only     720,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147364855    572,000.00    570,000.00  Purchase  Asset Only     715,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147381057    562,500.00    562,500.00  C/O Refi  Asset Only     750,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147383442    500,000.00    495,851.24  C/O Refi  Asset Only     750,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147386965    729,600.00    729,600.00  Purchase  Asset Only     921,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147388383    572,000.00    572,000.00  Purchase  Full           715,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147406896    851,000.00    847,821.31  C/O Refi  Full         1,400,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147408173    573,000.00    573,000.00  R/T Refi  Asset Only     850,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147412639    539,550.00    478,650.00  Purchase  Asset Only     615,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147418941    510,000.00    510,000.00  C/O Refi  Asset Only     686,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147419832    480,000.00    480,000.00  R/T Refi  Full           600,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147446066    640,000.00    640,000.00  Purchase  Asset Only     840,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
147450324    640,000.00    639,976.30  C/O Refi  Asset Only     820,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147453039    468,750.00    463,531.04  C/O Refi  Asset Only     625,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147459333    580,000.00    576,171.32  C/O Refi  Asset Only     725,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT
147466346    525,000.00    520,087.16  C/O Refi  Asset Only     700,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147476535    520,000.00    520,000.00  C/O Refi  Asset Only     790,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147479604    440,000.00    428,813.55  C/O Refi  Asset Only     695,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147483853    532,500.00    532,369.65  R/T Refi  Asset Only     710,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147497424    428,000.00    427,997.06  C/O Refi  Asset Only     535,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
147508956    651,000.00    651,000.00  R/T Refi  Asset Only     930,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147518575    530,000.00    530,000.00  C/O Refi  Asset Only     770,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147521512    487,500.00    487,428.78  C/O Refi  Asset Only     650,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT
147525729    528,600.00    526,149.82  Purchase  Full           660,800.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147539704    806,250.00    805,728.73  C/O Refi  Asset Only   1,075,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
147548937    735,000.00    735,000.00  C/O Refi  Asset Only   1,800,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147569347    500,000.00    492,914.29  R/T Refi  Asset Only     630,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147572739    900,000.00    900,000.00  C/O Refi  Asset Only   1,400,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147583736  1,500,000.00  1,487,553.72  C/O Refi  Full         3,100,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147589022    999,950.00    999,950.00  R/T Refi  Asset Only   1,700,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
147593586    483,000.00    477,995.10  C/O Refi  Asset Only     690,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147597645    450,000.00    450,000.00  C/O Refi  Asset Only     745,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147605414    430,000.00    426,828.00  Purchase  Asset Only     760,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
147632236    432,000.00    432,000.00  C/O Refi  Asset Only     540,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147633986    758,750.00    758,650.45  Purchase  Full           949,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147640122    938,000.00    938,000.00  Purchase  Asset Only   1,260,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
147650949    465,000.00    465,000.00  C/O Refi  Asset Only     620,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147667232    464,000.00    464,000.00  C/O Refi  Asset Only     580,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147689111    500,000.00    499,960.74  R/T Refi  Asset Only     630,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147695456    550,000.00    550,000.00  C/O Refi  Asset Only     700,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
147697551    442,000.00    442,000.00  C/O Refi  Asset Only     680,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
147699821    535,000.00    534,900.00  C/O Refi  Asset Only     680,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147729784    640,000.00    640,000.00  R/T Refi  Asset Only     800,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
147754709    426,455.00    426,455.00  C/O Refi  Asset Only     660,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147758205    547,500.00    547,500.00  C/O Refi  Asset Only     730,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT
147770432    495,200.00    495,200.00  Purchase  Asset Only     650,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147775449    488,000.00    488,000.00  C/O Refi  Asset Only     700,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147776223    814,000.00    814,000.00  R/T Refi  Asset Only   1,175,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147784631    460,000.00    460,000.00  C/O Refi  Asset Only     975,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147799019    612,000.00    612,000.00  Purchase  Asset Only     765,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
147805253    999,999.00    999,999.00  Purchase  Full         1,365,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147808216    505,500.00    505,500.00  C/O Refi  Asset Only     780,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147812507    600,000.00    595,250.42  C/O Refi  Asset Only     750,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
147817316    677,250.00    677,250.00  C/O Refi  Full           915,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
147819866    418,000.00    407,019.98  R/T Refi  Asset Only     825,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147823082    512,000.00    511,864.00  C/O Refi  Asset Only     650,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT
147826168    460,000.00    460,000.00  Purchase  Asset Only     575,000.00   2/1/2016   11.375   2.75       2    2.75  1 YR CMT
147832109    424,800.00    424,775.24  R/T Refi  Asset Only     531,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147841456    470,000.00    468,603.75  C/O Refi  Asset Only   1,275,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147843452    626,500.00    620,935.20  Purchase  Asset Only     900,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
147856835    618,000.00    613,444.82  R/T Refi  Asset Only     775,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT
147881726    596,000.00    594,440.81  Purchase  Asset Only     745,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147907174    500,800.00    500,800.00  Purchase  Asset Only     626,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
147913495    628,000.00    628,000.00  Purchase  Full           785,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
147926539    750,000.00    743,776.82  Purchase  Asset Only   1,450,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147929434    578,500.00    578,474.98  C/O Refi  Asset Only     890,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
147929632    637,500.00    637,500.00  Purchase  Asset Only     850,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147931166    600,000.00    600,000.00  C/O Refi  Asset Only   1,050,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
147939284    462,450.00    462,450.00  Purchase  Full           585,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147940357    545,000.00    544,402.75  C/O Refi  Asset Only   1,167,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147948012    912,000.00    912,000.00  Purchase  Full         1,140,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147955819    672,000.00    672,000.00  C/O Refi  Asset Only     960,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147958276    670,000.00    663,393.53  C/O Refi  Asset Only     985,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
147959431    550,000.00    545,542.34  C/O Refi  Asset Only     735,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
147960132    420,000.00    420,000.00  Purchase  Asset Only     525,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147962062    470,000.00    469,246.21  C/O Refi  Asset Only     710,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
147962377    478,800.00    475,332.23  Purchase  Asset Only     600,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
147966022    436,000.00    436,000.00  R/T Refi  Full           545,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
147980197    577,000.00    560,000.00  R/T Refi  Asset Only     880,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147985642    580,000.00    579,878.87  C/O Refi  Full           775,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
147995914    435,000.00    434,967.54  C/O Refi  Asset Only     573,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
147999775    480,000.00    480,000.00  C/O Refi  Asset Only     600,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148003791    700,000.00    699,400.00  C/O Refi  Asset Only   1,030,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148023831    980,000.00    980,000.00  C/O Refi  Asset Only   1,400,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148027717    480,000.00    480,000.00  Purchase  Asset Only     600,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148031305    594,000.00    594,000.00  C/O Refi  Asset Only   1,550,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
148041189    539,000.00    539,000.00  R/T Refi  Asset Only   1,190,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
148051485    552,000.00    552,000.00  Purchase  Asset Only     690,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148053887    440,000.00    440,000.00  Purchase  Asset Only     550,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148064066    740,000.00    739,534.88  Purchase  Full           925,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148064967    648,000.00    648,000.00  C/O Refi  Asset Only     880,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148086093    600,000.00    595,854.75  C/O Refi  Asset Only     820,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148097637    576,100.00    576,099.94  C/O Refi  Asset Only     823,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148107568    468,000.00    468,000.00  C/O Refi  Asset Only     625,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
148121056    420,000.00    418,900.00  Purchase  Full           532,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT
148121601    999,999.00    999,999.00  Purchase  Asset Only   1,455,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
148128598    636,000.00    636,000.00  C/O Refi  Asset Only     795,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148136443    525,000.00    524,600.72  C/O Refi  Asset Only     760,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
148136641    999,950.00    999,950.00  Purchase  Full         1,350,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
148138183    472,000.00    471,588.57  R/T Refi  Asset Only     590,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148143431    930,000.00    924,886.82  C/O Refi  Asset Only   1,350,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
148151244    432,000.00    432,000.00  R/T Refi  Asset Only     540,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148161219    525,000.00    524,855.62  C/O Refi  Asset Only     780,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148179245    600,000.00    600,000.00  R/T Refi  Full           768,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148179492    500,000.00    500,000.00  Purchase  Asset Only     682,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
148182348    510,000.00    508,025.70  C/O Refi  Asset Only     680,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148185267    500,000.00    500,000.00  C/O Refi  Asset Only   1,226,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148186885    569,000.00    569,000.00  C/O Refi  Asset Only     815,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148201007    540,000.00    540,000.00  R/T Refi  Asset Only     730,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148205792    456,000.00    455,200.00  C/O Refi  Full           570,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148226665    434,625.00    434,133.62  Purchase  Asset Only     580,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
148236482    490,000.00    490,000.00  R/T Refi  Asset Only     620,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148239783    559,760.00    559,086.83  Purchase  Asset Only     699,700.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148265341    999,950.00    999,950.00  C/O Refi  Asset Only   2,750,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148277437  1,000,000.00  1,000,000.00  C/O Refi  Full         1,640,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148283906    519,000.00    519,000.00  C/O Refi  Full           880,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
148285505    455,000.00    455,000.00  C/O Refi  Asset Only     650,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148287402    500,000.00    499,994.00  Purchase  Asset Only     645,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148288384    478,600.00    477,820.54  C/O Refi  Asset Only     600,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148291784    455,000.00    453,107.28  C/O Refi  AUS            975,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148298078    750,000.00    749,696.23  R/T Refi  Full         1,800,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148300759    640,300.00    640,300.00  R/T Refi  Asset Only     825,000.00   2/1/2016   11.375   2.75       2    2.75  1 YR CMT
148303514    700,000.00    700,000.00  C/O Refi  Asset Only   1,400,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
148304637    962,500.00    960,684.76  C/O Refi  Full         1,375,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT
148306608    600,000.00    600,000.00  C/O Refi  Asset Only     800,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148306962    520,000.00    520,000.00  C/O Refi  Asset Only     725,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148309388    668,000.00    668,000.00  R/T Refi  Full           835,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148312408    650,000.00    644,854.69  C/O Refi  Asset Only   1,120,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148313646    524,000.00    524,000.00  Purchase  Full           655,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148329717    647,500.00    647,500.00  C/O Refi  Asset Only     840,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
148333438    640,000.00    639,833.33  C/O Refi  Asset Only     800,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148333826    606,000.00    605,937.16  R/T Refi  Asset Only     866,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148336506    812,500.00    812,500.00  C/O Refi  Asset Only   1,250,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148341522    444,800.00    441,726.98  Purchase  Asset Only     556,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148348014    645,000.00    645,000.00  R/T Refi  Full           860,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148366677    447,200.00    445,895.48  Purchase  Asset Only     560,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148386584    445,500.00    445,500.00  R/T Refi  Asset Only     560,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
148388697    816,800.00    816,800.00  Purchase  Full         1,025,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148389562    448,000.00    447,999.01  Purchase  Full           565,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
148389745    440,000.00    440,000.00  Purchase  Full           600,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT
148397375    520,000.00    516,574.37  C/O Refi  Asset Only     650,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148403264    439,200.00    439,192.96  Purchase  Asset Only     551,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
148403447    570,000.00    568,285.15  R/T Refi  Asset Only     825,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148415862    629,000.00    625,372.14  R/T Refi  Asset Only     839,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
148421019    560,000.00    560,000.00  R/T Refi  Asset Only     700,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148429178    530,000.00    530,000.00  C/O Refi  Asset Only     735,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148429202    550,000.00    550,000.00  C/O Refi  Asset Only   1,045,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148440621    497,200.00    497,168.58  R/T Refi  Full           622,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
148449168    645,000.00    645,000.00  C/O Refi  Asset Only     860,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148461676    520,000.00    520,000.00  Purchase  Asset Only     655,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148463748    460,000.00    460,000.00  C/O Refi  Asset Only     575,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148464282    440,000.00    439,444.15  C/O Refi  Asset Only     610,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
148464795    550,000.00    549,971.94  Purchase  Asset Only     880,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT
148477151    500,000.00    500,000.00  C/O Refi  Asset Only     825,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
148482615    999,999.00    999,999.00  R/T Refi  Asset Only   1,668,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148488422    600,000.00    596,371.04  Purchase  Asset Only     728,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
148500796    500,000.00    496,626.70  C/O Refi  Asset Only   1,250,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148501372    730,000.00    730,000.00  Purchase  Asset Only   1,180,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT
148518178    617,250.00    612,363.91  C/O Refi  Asset Only     823,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
148529035    487,500.00    487,500.00  C/O Refi  Asset Only     650,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148529878    536,000.00    535,960.00  R/T Refi  Full           670,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148533979    450,000.00    448,763.50  C/O Refi  Asset Only     585,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148543978    440,000.00    440,000.00  C/O Refi  Asset Only     560,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148547714    500,000.00    499,721.47  C/O Refi  Full           625,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148548332    496,000.00    496,000.00  C/O Refi  Asset Only     620,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148552003    650,000.00    650,000.00  C/O Refi  Asset Only     950,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT
148557382    428,000.00    427,425.48  R/T Refi  Asset Only     535,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148581275    500,000.00    500,000.00  C/O Refi  Asset Only   1,125,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
148590482    850,000.00    849,786.44  C/O Refi  Full         1,200,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
148599251    474,949.00    471,377.90  C/O Refi  Asset Only     678,500.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148605504    999,999.00    999,999.00  Purchase  Asset Only   1,500,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148612872    450,000.00    446,740.86  Purchase  Asset Only     634,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148636764    840,000.00    839,781.25  C/O Refi  Asset Only   1,200,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148639974    472,000.00    472,000.00  C/O Refi  Asset Only     591,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148646441    431,000.00    431,000.00  C/O Refi  Full           600,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148655418  2,000,000.00  1,843,530.00  Purchase  Full         2,955,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148660194    462,000.00    462,000.00  C/O Refi  Asset Only     910,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148663073    436,000.00    432,842.22  Purchase  Asset Only     545,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148664527    735,200.00    734,264.20  R/T Refi  Asset Only     919,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148670359    999,999.00    999,999.00  C/O Refi  Asset Only   1,435,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148672728    506,250.00    505,050.00  C/O Refi  Asset Only     675,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148677149    498,000.00    498,000.00  R/T Refi  Asset Only     705,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148680341    837,900.00    837,900.00  C/O Refi  Asset Only   1,197,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148685522    505,000.00    505,000.00  C/O Refi  Asset Only     750,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148686041    452,000.00    451,717.54  Purchase  Asset Only     575,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148689029    760,000.00    760,000.00  R/T Refi  Asset Only   1,115,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148689367    566,250.00    562,429.76  C/O Refi  Asset Only     755,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148698475    603,000.00    602,842.97  C/O Refi  Asset Only   2,385,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148701592    640,000.00    636,931.92  Purchase  Full           811,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT
148702541    513,000.00    513,000.00  R/T Refi  Asset Only     730,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148704612    420,000.00    420,000.00  R/T Refi  Asset Only     560,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
148717309    558,750.00    558,750.00  Purchase  Asset Only     745,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148722622    515,000.00    514,409.57  C/O Refi  Asset Only     750,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148739071    459,900.00    459,900.00  Purchase  Asset Only     575,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
148739287    644,000.00    643,000.00  R/T Refi  Asset Only     890,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148739543    447,000.00    447,000.00  R/T Refi  Asset Only     560,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148740186    600,000.00    599,910.00  Purchase  Asset Only     868,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148748619    548,000.00    547,997.92  C/O Refi  Asset Only     686,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148757487    484,000.00    483,876.48  R/T Refi  Asset Only     605,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148758568    700,000.00    699,457.03  Purchase  Asset Only   1,285,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148781495    999,950.00    999,950.00  C/O Refi  Asset Only   1,400,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
148787427    999,999.00    999,999.00  Purchase  Asset Only   1,327,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
148788193    536,000.00    532,518.26  C/O Refi  Asset Only     670,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
148802549    423,200.00    423,200.00  Purchase  Asset Only     540,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT
148814478    625,000.00    624,827.47  C/O Refi  Asset Only     955,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT
148815087    587,000.00    585,273.76  R/T Refi  Asset Only     740,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148830763    615,000.00    615,000.00  R/T Refi  Asset Only     820,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148840457    545,000.00    545,000.00  C/O Refi  Asset Only   1,550,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148844103    430,000.00    430,000.00  C/O Refi  Asset Only     930,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148844384    450,000.00    448,987.13  C/O Refi  Asset Only     785,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
148853542    588,000.00    588,000.00  C/O Refi  Asset Only     735,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148854912  1,000,000.00  1,000,000.00  C/O Refi  Full         1,850,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148868953    986,100.00    985,986.24  Purchase  Full         1,409,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148870298    910,000.00    910,000.00  C/O Refi  Asset Only   1,400,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148878887    999,999.00    999,673.18  Purchase  Asset Only   1,260,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148885262    865,000.00    865,000.00  C/O Refi  Full         1,300,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
148890296    499,200.00    495,993.31  Purchase  Asset Only     630,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
148890601    423,900.00    423,423.83  Purchase  Full           535,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
148898372    650,000.00    649,606.02  C/O Refi  Full           875,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148900301    822,500.00    822,500.00  R/T Refi  Asset Only   1,175,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
148901465    593,000.00    593,000.00  Purchase  Full           742,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
148905862    840,000.00    840,000.00  R/T Refi  Asset Only   1,200,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148905938    737,299.00    737,289.00  Purchase  Full           925,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
148931231    539,200.00    538,929.83  C/O Refi  Asset Only     674,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
148936297    600,000.00    598,849.25  Purchase  Asset Only   1,152,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
148937865    457,500.00    457,251.27  C/O Refi  Asset Only     610,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT
148943228    470,000.00    469,253.66  C/O Refi  AUS            955,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148950223    975,000.00    975,000.00  C/O Refi  Asset Only   2,022,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148957095    428,000.00    426,895.14  C/O Refi  Asset Only     535,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
148958986    640,000.00    640,000.00  C/O Refi  Asset Only     810,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
148966161    708,000.00    708,000.00  Purchase  Full           904,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
148991334    440,000.00    440,000.00  C/O Refi  Asset Only     615,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
148998495    546,000.00    545,863.50  Purchase  Asset Only     710,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
149008054    494,400.00    491,914.37  Purchase  Asset Only     618,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT
149011009    630,000.00    626,709.96  R/T Refi  AUS            840,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
149020075    452,000.00    452,000.00  Purchase  Asset Only     565,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
149033292    520,000.00    515,000.00  Purchase  Asset Only     700,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
149034126  1,000,000.00    991,185.98  C/O Refi  Full         1,700,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
149034282    464,000.00    464,000.00  Purchase  Asset Only     610,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT
149043549    420,000.00    420,000.00  C/O Refi  Asset Only     560,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
149043705    462,000.00    461,952.24  C/O Refi  Asset Only     590,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
149045072    624,000.00    624,000.00  Purchase  Asset Only     832,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
149051674    436,000.00    435,881.92  C/O Refi  Asset Only     545,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
149055451    675,000.00    675,000.00  C/O Refi  Asset Only   1,350,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
149056988    548,000.00    544,685.57  Purchase  Asset Only     685,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
149060204    690,000.00    690,000.00  Purchase  Asset Only     865,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
149068264    957,540.00    957,540.00  Purchase  Asset Only   1,400,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
149074494    515,000.00    514,422.46  C/O Refi  Asset Only     905,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
149083842    650,000.00    650,000.00  C/O Refi  Asset Only     825,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
149091449    770,000.00    770,000.00  Purchase  Asset Only   1,100,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
149095861    480,000.00    479,875.00  Purchase  Asset Only     610,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
149096315    485,000.00    482,268.71  C/O Refi  Asset Only     765,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
149109225    528,000.00    528,000.00  C/O Refi  Asset Only     660,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
149117913    507,500.00    507,379.89  R/T Refi  Asset Only     675,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
149131567    503,200.00    503,200.00  Purchase  Asset Only     629,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT
149137754    592,000.00    592,000.00  Purchase  Asset Only     740,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
149150658    600,000.00    596,701.15  C/O Refi  Asset Only     830,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
149153496    612,000.00    612,000.00  Purchase  Asset Only     690,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
149159642    760,000.00    760,000.00  C/O Refi  Full         1,200,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
149168932    479,200.00    479,000.67  Purchase  Asset Only     599,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
149184392    519,000.00    516,722.18  C/O Refi  Asset Only     730,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
149210015    454,000.00    452,066.83  Purchase  Asset Only     580,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
149221137    591,000.00    591,000.00  C/O Refi  Full           860,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
149221145    622,500.00    622,415.17  C/O Refi  Asset Only     830,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
149224834    500,000.00    499,911.28  Purchase  Asset Only     628,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT
149225013    448,000.00    445,654.52  C/O Refi  Asset Only     560,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
149226284    650,000.00    650,000.00  Purchase  Full           835,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
149245698    464,000.00    464,000.00  R/T Refi  Full           580,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
149249641    513,000.00    512,952.83  C/O Refi  Asset Only     860,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
149256786    571,500.00    568,357.85  Purchase  Full           635,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
149260002    562,125.00    559,294.18  Purchase  Asset Only     750,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
149261364    475,000.00    475,000.00  C/O Refi  Asset Only     660,000.00   2/1/2016   11.375   2.75       2    2.75  1 YR CMT
149271801    506,000.00    506,000.00  Purchase  Asset Only     640,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
149273757    500,000.00    500,000.00  C/O Refi  Asset Only     825,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
149279739    434,570.00    434,570.00  Purchase  Full           549,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
149289621    460,000.00    460,000.00  Purchase  Asset Only     575,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
149291056    496,000.00    496,000.00  Purchase  Asset Only     640,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT
149296147    440,000.00    440,000.00  Purchase  Full           550,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
149306037    700,000.00    699,500.00  Purchase  Asset Only   1,150,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
149365066    490,500.00    490,500.00  C/O Refi  Full           765,000.00   2/1/2016   11.375   2.75       2    2.75  1 YR CMT
149370462    457,000.00    456,997.92  C/O Refi  Asset Only     610,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
 46640215    449,610.00    449,610.00  Purchase  Full           565,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
 49408743    420,000.00    420,000.00  Purchase  Full           600,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 50791557    420,000.00    419,800.00  Purchase  Asset Only     600,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
 52120052    561,600.00    559,100.00  Purchase  Full           736,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 53232096    465,000.00    465,000.00  Purchase  Full           635,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 53466074    552,750.00    552,750.00  Purchase  Asset Only     740,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 53558573    685,000.00    685,000.00  C/O Refi  Full         1,200,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 53701041    562,500.00    562,500.00  C/O Refi  Asset Only     750,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54018155    890,250.00    890,032.06  Purchase  Asset Only   1,250,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54205216    520,000.00    520,000.00  C/O Refi  Full           650,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
 54266093    576,000.00    575,975.88  C/O Refi  Full           720,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
 54301247    770,000.00    769,970.28  C/O Refi  Asset Only   1,100,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54358031    483,000.00    483,000.00  C/O Refi  Asset Only     900,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54407176    479,200.00    479,200.00  Purchase  Asset Only     602,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54421029  1,000,000.00  1,000,000.00  C/O Refi  Asset Only   1,900,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54465349    464,000.00    463,437.01  C/O Refi  Full           580,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54480793    536,000.00    535,827.93  C/O Refi  Full           670,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
 54570536    468,750.00    467,199.51  C/O Refi  Asset Only     625,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54660352    560,000.00    560,000.00  R/T Refi  Full           710,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54777941    440,000.00    439,830.00  Purchase  Full           550,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 54906912    435,000.00    435,000.00  C/O Refi  Full           740,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54942792    450,000.00    449,524.52  C/O Refi  Full           565,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
 54984703    595,000.00    595,000.00  Purchase  Asset Only     850,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
 56565807  1,000,000.00  1,000,000.00  C/O Refi  Full         2,300,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
 56579535    440,000.00    440,000.00  C/O Refi  Asset Only     710,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 56690829    790,300.00    790,300.00  C/O Refi  Asset Only   1,129,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 56692346    468,750.00    468,330.63  C/O Refi  Asset Only     625,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 56800774    550,000.00    549,861.21  C/O Refi  Full           800,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 56845761    462,500.00    462,500.00  Purchase  Asset Only     880,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 56860463  2,400,000.00  2,388,000.00  Purchase  Asset Only   3,000,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
 56986862    448,000.00    448,000.00  Purchase  Full           660,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57021875    558,333.00    558,333.00  Purchase  Asset Only     750,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 57047797    568,000.00    568,000.00  C/O Refi  Full           710,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 57058141    620,000.00    612,682.38  Purchase  Asset Only     775,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57102345    450,000.00    449,544.45  R/T Refi  Full           725,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57233918    974,000.00    974,000.00  C/O Refi  Asset Only   1,500,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57269961    496,000.00    496,000.00  Purchase  Full           620,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57355752    471,600.00    467,010.39  Purchase  Asset Only     590,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57393217    621,600.00    621,600.00  Purchase  Full           777,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57497828    620,000.00    610,138.85  C/O Refi  Asset Only   1,200,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57549586    880,000.00    880,000.00  Purchase  Full         1,150,000.00   8/1/2015   11.125   2.75       2    2.75  1 YR CMT
 57581795    624,000.00    623,847.25  Purchase  Full           800,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57860942  1,736,000.00  1,736,000.00  R/T Refi  Full         4,800,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 57862161    451,700.00    451,700.00  R/T Refi  Full           685,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 57867889    650,000.00    650,000.00  C/O Refi  Full           815,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57873622    435,000.00    435,000.00  C/O Refi  Full           552,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 57943193    575,000.00    575,000.00  Purchase  Asset Only     919,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 58055781  1,045,000.00  1,045,000.00  R/T Refi  Asset Only   1,750,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58107632    575,000.00    575,000.00  C/O Refi  Full           825,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58132853  2,000,000.00  2,000,000.00  Purchase  Full         2,800,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58187576    510,000.00    510,000.00  C/O Refi  Full           805,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58226994    693,000.00    693,000.00  C/O Refi  Full           990,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58277724    547,500.00    547,500.00  C/O Refi  Asset Only     730,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT
 58301169    605,000.00    605,000.00  C/O Refi  Full         1,200,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
 58316506    588,000.00    588,000.00  Purchase  Full           735,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58346875    451,200.00    449,400.00  Purchase  Full           564,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58432295  1,100,000.00  1,100,000.00  C/O Refi  Full         1,600,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT
 58449992    546,000.00     98,300.00  Purchase  Asset Only     780,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58475096  1,000,000.00  1,000,000.00  C/O Refi  Asset Only   1,800,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
 58477514    425,000.00    423,000.00  Purchase  Full           480,000.00  10/1/2015   11.375   2.75       2    2.75  1 YR CMT
 58488305    420,000.00    420,000.00  R/T Refi  Full           700,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 58490129    815,000.00    814,087.38  R/T Refi  Full         1,375,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58509167    450,000.00    446,266.11  R/T Refi  Asset Only     595,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58524661    450,000.00    445,309.62  Purchase  Full           690,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58560178  1,645,000.00  1,645,000.00  Purchase  Full         2,350,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58572124  1,000,000.00    999,991.64  Purchase  Full         1,575,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58629593    740,000.00    740,000.00  C/O Refi  Full         1,150,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 58642026    544,000.00    384,145.61  Purchase  Full           680,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58662834  1,000,000.00  1,000,000.00  Purchase  Asset Only   1,450,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58669706    450,000.00    450,000.00  C/O Refi  Full           750,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58672577    448,000.00    446,491.86  Purchase  Full           563,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58678301    575,600.00    575,600.00  Purchase  Full           720,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58699208    455,000.00    452,296.51  Purchase  Asset Only     651,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58726613  1,700,000.00  1,700,000.00  Purchase  Full         2,160,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 58777673    650,000.00    641,220.53  C/O Refi  Asset Only     890,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58798497    481,500.00    481,500.00  C/O Refi  Asset Only     650,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58811332    438,400.00    434,297.61  Purchase  Asset Only     560,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58823543    488,000.00    487,684.84  Purchase  Asset Only     610,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58896085    518,000.00    517,870.50  R/T Refi  Full           705,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 58896713    464,000.00    464,000.00  Purchase  Full           600,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 58936634    543,750.00    543,750.00  C/O Refi  Asset Only     725,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT
 58937194  1,500,000.00  1,500,000.00  C/O Refi  Asset Only   2,000,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
 58972753    461,250.00    461,250.00  C/O Refi  Asset Only     615,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
 58974221    429,000.00    425,078.60  C/O Refi  Asset Only     575,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 58994138    755,000.00    755,000.00  R/T Refi  Full           950,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59005652    675,000.00    675,000.00  C/O Refi  Full           900,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59013409    460,000.00    459,399.02  R/T Refi  Asset Only     580,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59028324  2,187,900.00  2,187,900.00  Purchase  Asset Only   3,650,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 59030007    600,000.00    599,940.00  Purchase  Full           875,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 59053561  1,280,000.00  1,280,000.00  R/T Refi  Asset Only   1,600,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59085761    525,600.00    525,600.00  Purchase  Full           657,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59098582    625,000.00    625,000.00  R/T Refi  Asset Only     800,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59226522    920,000.00    913,284.75  Purchase  Full         1,150,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 59262162  1,220,000.00  1,220,000.00  R/T Refi  Full         2,900,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59280651    588,750.00    588,750.00  C/O Refi  Asset Only     785,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59292805    505,000.00    503,828.81  C/O Refi  Asset Only     745,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59320556    465,000.00    464,621.24  C/O Refi  Full           688,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 59339374    596,250.00    596,250.00  C/O Refi  Full           810,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 59339911    430,000.00    429,834.11  C/O Refi  Asset Only     632,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
 59368944    525,000.00    525,000.00  Purchase  Full           700,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59405837    502,569.00    502,569.00  Purchase  Asset Only     671,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT
 59488338  2,500,000.00  2,499,388.02  Purchase  Full         3,500,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59551606    500,000.00    500,000.00  C/O Refi  Asset Only     700,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59555649    475,000.00    475,000.00  R/T Refi  Asset Only     620,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59575365    479,500.00    479,410.41  C/O Refi  Full           685,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 59578997    628,000.00    628,000.00  C/O Refi  Full           878,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59636217    985,420.00    985,420.00  Purchase  Full         1,250,000.00   3/1/2016       11   2.75       2    2.75  1 YR CMT
 59668319    770,000.00    770,000.00  Purchase  Asset Only   1,175,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT
 59720789  1,280,000.00  1,279,666.67  C/O Refi  Full         1,600,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
 59771907    506,250.00    506,248.86  C/O Refi  Full           675,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59809103    550,000.00    550,000.00  C/O Refi  Asset Only     800,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT
 59826024    432,000.00    432,000.00  Purchase  Full           540,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 59833608  1,376,000.00  1,376,000.00  Purchase  Asset Only   1,750,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 59930628  2,566,000.00  2,555,573.11  C/O Refi  Asset Only   4,000,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
 59948836    672,596.00    672,596.00  Purchase  Full           875,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 59969444  2,000,000.00  2,000,000.00  C/O Refi  Asset Only   2,700,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 59973784    480,000.00    479,748.48  C/O Refi  Full           600,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 59979948    518,912.00    518,912.00  Purchase  Full           655,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60013893    450,000.00    448,500.00  C/O Refi  Asset Only     970,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60027828    464,000.00    463,007.28  C/O Refi  Full           690,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 60053618  1,360,000.00  1,360,000.00  C/O Refi  Asset Only   1,800,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60059433    539,000.00    539,000.00  Purchase  Asset Only     720,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60109261    460,000.00    456,183.18  R/T Refi  Asset Only     580,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60126711    585,000.00    584,034.35  C/O Refi  Asset Only     780,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60150067  1,400,000.00  1,370,000.00  Purchase  Full         1,750,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60159654  1,400,000.00  1,400,000.00  C/O Refi  Asset Only   2,135,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT
 60175221    427,920.00    427,920.00  Purchase  Full           537,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60246832    588,000.00    587,371.75  Purchase  Asset Only     872,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
 60284361    692,000.00    692,000.00  Purchase  Full           865,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60287794    500,000.00    500,000.00  Purchase  Asset Only     635,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60320504    980,000.00    980,000.00  C/O Refi  Asset Only   1,400,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60332715    490,000.00    490,000.00  C/O Refi  Asset Only     703,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60360088    492,000.00    492,000.00  C/O Refi  Full           800,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60368511    432,800.00    364,022.20  Purchase  Asset Only     542,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60368925    522,000.00    522,000.00  C/O Refi  Full           900,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60372844  1,320,000.00  1,315,625.40  C/O Refi  Asset Only   1,650,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60376159  1,000,000.00    993,490.67  Purchase  Full         1,258,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60384773    472,000.00    472,000.00  Purchase  Full           590,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60394426    439,920.00    439,920.00  Purchase  Full           555,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 60409588    488,700.00    488,000.00  C/O Refi  Asset Only     575,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
 60419322  1,440,000.00  1,440,000.00  Purchase  Full         1,800,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 60430808    440,000.00    440,000.00  C/O Refi  Full           650,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60451697    620,000.00    619,000.00  C/O Refi  Asset Only     830,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
 60469244    445,000.00    445,000.00  C/O Refi  Full         1,660,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 60478864    450,000.00    450,000.00  C/O Refi  Asset Only     600,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60479193    619,500.00    619,297.92  Purchase  Full           900,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60483872    995,000.00    994,756.43  R/T Refi  Asset Only   2,325,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60485042    725,000.00    725,000.00  R/T Refi  Full           910,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60493715    500,000.00    500,000.00  C/O Refi  Full           775,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
 60511367    485,000.00    485,000.00  R/T Refi  Asset Only     625,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 60514767    455,000.00    455,000.00  C/O Refi  Full           700,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60519824    854,045.00    854,045.00  Purchase  Full         1,075,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60533908    840,000.00    840,000.00  C/O Refi  Full         1,200,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60546298  1,162,500.00  1,162,500.00  C/O Refi  Asset Only   1,550,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
 60564796    600,000.00    600,000.00  C/O Refi  Full         1,200,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60567005    436,000.00    435,999.93  C/O Refi  Full           600,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
 60603545  1,000,000.00  1,000,000.00  R/T Refi  Asset Only   2,250,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60622958    488,000.00    488,000.00  C/O Refi  Full           610,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60628179    700,000.00    699,622.54  Purchase  Full           890,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 60632098    465,000.00    464,973.60  Purchase  Full           585,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT
 60679867  1,818,750.00  1,818,682.30  Purchase  Asset Only   2,425,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60682739  2,000,000.00  1,985,514.98  Purchase  Asset Only   3,116,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60686979    999,999.00    999,999.00  Purchase  Full         1,275,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 60689601    540,000.00    536,269.31  Purchase  Asset Only     930,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60707346    570,000.00    566,810.71  C/O Refi  Asset Only     840,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 60714896    444,500.00    444,500.00  R/T Refi  Asset Only     557,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 60717709  1,500,000.00  1,500,000.00  Purchase  Full         2,250,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
 60770419    655,000.00    655,000.00  Purchase  Asset Only   2,000,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT
 60799723    440,000.00    438,948.45  Purchase  Full           670,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60809423  1,350,000.00  1,350,000.00  C/O Refi  Asset Only   1,925,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
 60831104    587,350.00    587,349.11  R/T Refi  Full           805,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
 60838893  1,552,000.00  1,552,000.00  Purchase  Full         1,975,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 60861572    650,000.00    650,000.00  C/O Refi  Full           875,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 60881158  1,500,000.00    349,990.68  C/O Refi  Asset Only   3,000,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60904604    442,000.00    442,000.00  R/T Refi  Full           605,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 60933488    442,000.00    442,000.00  Purchase  Asset Only     500,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 60962495  1,960,000.00    460,000.00  Purchase  Asset Only   2,820,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60974003    685,000.00    684,265.00  C/O Refi  Full           875,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 60976875  1,753,500.00  1,753,500.00  Purchase  Asset Only   2,505,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 60978921    769,000.00    769,000.00  C/O Refi  Full         1,100,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61010781    758,400.00    758,400.00  Purchase  Full           950,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
 61015681    752,500.00    752,315.89  R/T Refi  Asset Only   1,075,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61016796  1,360,000.00  1,360,000.00  R/T Refi  Asset Only   2,000,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
 61019014  1,425,000.00  1,410,000.00  Purchase  Asset Only   1,900,000.00   3/1/2016   10.875   2.75       2    2.75  1 YR CMT
 61020301    643,400.00    643,400.00  C/O Refi  Asset Only     990,000.00   3/1/2016   10.875   2.75       2    2.75  1 YR CMT
 61020319    847,600.00    847,600.00  Purchase  Asset Only   1,080,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61028817  1,495,000.00  1,485,151.44  Purchase  Full         2,300,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
 61040358  1,365,000.00  1,365,000.00  R/T Refi  Asset Only   1,950,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61055521  1,000,000.00    999,389.65  C/O Refi  Asset Only   1,350,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
 61079745    665,000.00    665,000.00  C/O Refi  Asset Only     950,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT
 61090858    599,000.00    598,950.00  C/O Refi  Asset Only     830,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 61124079    450,000.00    450,000.00  C/O Refi  Asset Only     590,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61140174    472,000.00    471,718.47  R/T Refi  Asset Only     590,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61140927    509,000.00    508,396.99  R/T Refi  Full           815,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61142063  1,330,000.00  1,330,000.00  C/O Refi  Asset Only   1,825,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
 61154241    620,000.00    620,000.00  C/O Refi  Asset Only     775,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 61156824    550,000.00    546,200.22  C/O Refi  Asset Only     890,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT
 61163408    536,000.00    532,758.18  Purchase  Asset Only     670,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61181376    459,680.00    459,251.10  Purchase  Full           580,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61186888    731,212.00    731,212.00  Purchase  Full           974,950.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61186946    972,000.00    972,000.00  Purchase  Asset Only   1,215,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 61194049  2,000,000.00  1,811,042.09  Purchase  Full         2,595,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 61196077    440,000.00    440,000.00  Purchase  Full           557,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61211264    700,000.00    695,000.00  C/O Refi  Asset Only   1,000,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
 61218624    505,000.00    504,997.20  Purchase  Full           635,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61242137    590,000.00    590,000.00  R/T Refi  Asset Only   1,300,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61258539  1,722,500.00  1,722,500.00  R/T Refi  Full         2,650,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 61259164    617,000.00    616,848.96  R/T Refi  Asset Only     890,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
 61264792    620,000.00    620,000.00  R/T Refi  Asset Only     900,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
 61264933    502,000.00    501,877.11  R/T Refi  Full           640,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT
 61279477    600,000.00    600,000.00  C/O Refi  Asset Only   1,030,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61282612  1,500,000.00  1,075,000.00  Purchase  Asset Only   2,050,000.00   3/1/2016   10.875   2.75       2    2.75  1 YR CMT
 61297511    648,750.00    648,750.00  R/T Refi  Asset Only     865,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61305611    530,000.00    530,000.00  Purchase  Full           716,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
 61321543    454,476.00    451,976.00  Purchase  Asset Only     592,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
 61348108    920,000.00    914,819.01  Purchase  Full         1,350,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
 61370359    900,000.00    900,000.00  Purchase  Full         1,180,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT
 61381554    468,000.00    468,000.00  C/O Refi  Asset Only     720,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61395117    987,000.00    986,960.00  C/O Refi  Asset Only   1,410,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61396586  1,000,000.00    999,613.73  Purchase  Full         1,250,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61405692    522,000.00    521,132.91  C/O Refi  Full           652,500.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61413001    985,000.00    985,000.00  C/O Refi  Asset Only   1,340,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT
 61428629    655,000.00    655,000.00  C/O Refi  Asset Only     910,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61500518    450,000.00    450,000.00  Purchase  Asset Only     645,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61521134    472,000.00    472,000.00  Purchase  Full           590,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
 61522595    582,000.00    578,479.98  C/O Refi  Asset Only     950,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61533741  1,200,000.00  1,198,500.00  C/O Refi  Asset Only   2,700,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT
 61549028    450,000.00    450,000.00  C/O Refi  Asset Only     600,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT
 61551024    572,000.00    571,615.19  Purchase  Asset Only     715,000.00   3/1/2016   11.375   2.75       2    2.75  1 YR CMT
 61556353    600,449.00    599,912.30  Purchase  Full           857,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61575114    425,860.00    425,860.00  Purchase  Full           534,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT
 61580858    885,000.00    881,492.63  C/O Refi  Asset Only   2,400,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61656039    760,000.00    760,000.00  R/T Refi  Full         1,850,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT
 61665865    480,000.00    480,000.00  C/O Refi  Full           620,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61695581    785,000.00    785,000.00  C/O Refi  Full         1,700,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61705232    608,000.00    607,603.33  Purchase  Asset Only     760,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT
 61707956    457,600.00    457,485.60  Purchase  Full           575,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT
 61716577    630,000.00    629,972.50  C/O Refi  Asset Only   1,200,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT
 63901839    436,000.00    436,000.00  Purchase  Asset Only     545,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
143015634    496,000.00    496,000.00  Purchase  Full           625,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
143380574    703,200.00    703,200.00  Purchase  Full           879,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
143505089    626,400.00    618,707.66  Purchase  Full           700,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
143615573    940,000.00    940,000.00  R/T Refi  Full         1,190,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT
143896157    483,920.00    477,837.41  Purchase  Full           606,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
143956795    560,000.00    559,857.92  C/O Refi  Asset Only     700,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
143974327    465,300.00    460,342.27  Purchase  Full           520,000.00   8/1/2015     11.5   2.75       2    2.75  1 YR CMT
143978047    561,510.00    556,850.84  Purchase  Asset Only     630,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
144142775    588,000.00    588,000.00  Purchase  Full           735,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT
144390101  1,400,000.00  1,400,000.00  C/O Refi  Full         2,300,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
144414125    585,000.00    585,000.00  C/O Refi  Asset Only     780,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144552783    479,200.00    479,200.00  Purchase  Asset Only     600,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144574522    460,000.00    460,000.00  C/O Refi  Asset Only     575,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144602141    428,000.00    422,291.71  R/T Refi  Asset Only     789,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT
144608551    880,000.00    880,000.00  C/O Refi  Asset Only   1,375,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
144610789    515,000.00    515,000.00  C/O Refi  Asset Only     848,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144622552    727,500.00    727,500.00  C/O Refi  Full           970,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
144623667    556,000.00    556,000.00  R/T Refi  Asset Only     861,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144624806    452,400.00    446,713.57  C/O Refi  Asset Only     828,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144630035    735,600.00    735,600.00  Purchase  Full           931,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144637725    999,999.00    999,151.21  Purchase  Full         1,553,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
144692969    650,000.00    645,614.69  Purchase  Asset Only   1,012,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT
144714755    558,000.00    550,557.84  Purchase  Full           625,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT
144729613    540,000.00    540,000.00  C/O Refi  Asset Only     720,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144731957  1,221,500.00  1,221,500.00  C/O Refi  Full         1,745,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144741642    454,000.00    447,802.56  C/O Refi  Asset Only     620,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144757184    428,000.00    428,000.00  C/O Refi  Full           600,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144757978    488,000.00    482,520.47  Purchase  Asset Only     660,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT
144768298    543,750.00    543,614.06  C/O Refi  Asset Only     730,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT
144786951    543,000.00    539,350.50  R/T Refi  Asset Only     815,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144793148    487,500.00    487,500.00  C/O Refi  Asset Only     630,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144824299    462,000.00    462,000.00  R/T Refi  Asset Only     860,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144825502    488,000.00    487,889.24  R/T Refi  Full           685,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144829017    620,000.00    620,000.00  Purchase  Asset Only     785,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT
144852977    575,200.00    575,200.00  R/T Refi  Asset Only     725,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144854155    530,000.00    530,000.00  C/O Refi  Asset Only     800,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144865326    492,000.00    492,000.00  C/O Refi  Full           690,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144865417    425,000.00    425,000.00  R/T Refi  Income Only  1,150,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144865763    500,000.00    500,000.00  R/T Refi  Asset Only   1,240,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144876976    600,000.00    573,000.00  Purchase  Full         1,225,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
144902194    646,000.00    645,682.94  R/T Refi  Asset Only     879,888.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144923109    507,500.00    507,500.00  C/O Refi  Asset Only     725,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144925898    420,000.00    420,000.00  R/T Refi  Asset Only     530,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144954799    420,000.00    420,000.00  C/O Refi  Full           550,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
144962578    460,000.00    459,886.60  C/O Refi  Asset Only     650,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
144987179    441,600.00    441,555.90  Purchase  Full           552,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
145017893    682,500.00    682,499.60  Purchase  Full           910,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
145032488    558,000.00    432,806.03  Purchase  Asset Only     620,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT
145068904    699,650.00    699,650.00  Purchase  Full           890,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
145119277    746,000.00    742,808.64  C/O Refi  Asset Only   1,200,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145124988    780,000.00    776,303.59  Purchase  Full           985,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
145234381    925,000.00    925,000.00  C/O Refi  Asset Only   1,425,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
145274825    592,500.00    591,945.14  R/T Refi  Asset Only     790,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
145304077    612,800.00    605,097.38  C/O Refi  Asset Only   1,150,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
145342325    472,000.00    472,000.00  Purchase  Asset Only     590,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT
145343166    460,000.00    460,000.00  Purchase  Asset Only     575,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145387874    470,000.00    465,322.17  R/T Refi  Asset Only     525,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT
145389136    437,000.00    437,000.00  C/O Refi  Asset Only     620,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145390787    462,000.00    461,037.66  R/T Refi  Asset Only     805,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
145455754    524,000.00    523,486.52  C/O Refi  Asset Only     655,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145487856  1,000,000.00  1,000,000.00  Purchase  Full         1,303,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT
145530135  1,380,000.00  1,380,000.00  Purchase  Full         1,725,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT
145581195    500,000.00    500,000.00  Purchase  Asset Only     640,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT
145581914    549,750.00    549,750.00  C/O Refi  Asset Only     733,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145593737    826,000.00    826,000.00  C/O Refi  Asset Only   1,180,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT
145611828    480,000.00    480,000.00  C/O Refi  Full           640,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT
145624888    616,000.00    611,869.63  R/T Refi  Full           770,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT
145638094    600,000.00    595,572.22  C/O Refi  Asset Only   1,120,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
145641775    465,500.00    465,500.00  C/O Refi  Asset Only     665,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
145657094    592,500.00    592,500.00  C/O Refi  Asset Only     790,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT
  5483672    587,700.00    555,182.45  R/T Refi  Full           900,000.00   1/1/2009   11.625   2.75       2    2.75  1 YR CMT
  8154800    548,800.00    511,908.19  Purchase  AUS            725,000.00   7/1/2007     12.5   2.75       2    2.75  1 YR CMT
 17272444  1,000,000.00  1,000,000.00  R/T Refi  Full         1,085,000.00   1/1/2010       11   2.75       2    2.75  1 YR CMT
 18132159    802,000.00    761,982.08  R/T Refi  AUS          2,300,000.00   2/1/2010   10.875   2.75       2    2.75  1 YR CMT
 34393249    300,000.00    299,851.33  C/O Refi  Full           475,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 34863191    228,000.00    228,000.00  Purchase  Full           285,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 43497577    588,000.00    587,710.01  R/T Refi  Asset Only     840,000.00   9/1/2011   10.875   2.75       2    2.75  1 YR CMT
 44493757    240,000.00    239,882.51  Purchase  Full           315,000.00   7/1/2011   10.875   2.75       2    2.75  1 YR CMT
 44764876    455,200.00    455,200.00  Purchase  Full           580,000.00   9/1/2011   10.875   2.75       2    2.75  1 YR CMT
 44791218    175,600.00    175,600.00  Purchase  Full           220,000.00   8/1/2011   10.875   2.75       2    2.75  1 YR CMT
 45313491    280,000.00    280,000.00  R/T Refi  Full           350,000.00   9/1/2011   10.875   2.75       2    2.75  1 YR CMT
 45321734    152,800.00    152,762.18  Purchase  Full           194,000.00  10/1/2011   10.875   2.75       2    2.75  1 YR CMT
 45777489    232,000.00    231,613.89  Purchase  Full           290,000.00   9/1/2011   10.875   2.75       2    2.75  1 YR CMT
 46025037    311,200.00    311,200.00  Purchase  Full           389,900.00   9/1/2011   10.875   2.75       2    2.75  1 YR CMT
 51426922    332,000.00    331,300.00  Purchase  Full           425,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 51442069    387,000.00    387,000.00  Purchase  Full           430,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 51500015    115,000.00    113,760.52  R/T Refi  Full           155,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
 51600351    215,000.00    215,000.00  Purchase  Full           277,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 52119005    136,230.00    135,835.44  Purchase  Asset Only     145,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
 52793981    252,415.00    252,415.00  Purchase  Full           318,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53032066    176,800.00    176,657.05  R/T Refi  Full           221,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53087664    328,000.00    328,000.00  Purchase  Full           410,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53137477    170,400.00    170,389.36  Purchase  Full           215,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53188322    696,000.00    696,000.00  Purchase  Full           880,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53216669    270,800.00    270,800.00  Purchase  Full           344,000.00   7/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53224945    190,000.00    189,140.33  R/T Refi  Full           240,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53251773    266,000.00    266,000.00  Purchase  Asset Only     275,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53444071    500,000.00    493,715.27  Purchase  Asset Only     630,000.00   7/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53537056    134,910.00    134,909.96  Purchase  Asset Only     157,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
 53749552    292,588.00    292,584.12  Purchase  Full           374,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
 54661228    202,776.00    202,776.00  Purchase  Full           254,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
 54741061    108,760.00    108,760.00  Purchase  Full           138,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
 56861552    139,500.00    139,500.00  Purchase  Full           170,000.00  10/1/2012   11.125   2.75       2    2.75  1 YR CMT
 57392193    352,000.00    352,000.00  Purchase  Full           440,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
 57690018    285,000.00    285,000.00  C/O Refi  Full           365,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
 57697559    119,616.00    119,327.34  Purchase  Full           150,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
 57735698    347,920.00    347,920.00  Purchase  Full           439,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
 57815649    494,000.00    482,737.28  Purchase  Asset Only     522,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
 57823932    138,500.00    138,472.88  C/O Refi  Full           205,000.00   8/1/2012   10.875   2.75       2    2.75  1 YR CMT
 57875114    479,920.00    479,920.00  Purchase  Full           605,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
 57933244    228,000.00    228,000.00  Purchase  Full           285,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
 58261157    164,000.00    163,937.19  Purchase  Full           205,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
 58353871    244,000.00    243,186.18  C/O Refi  Full           305,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
 58440785    283,192.00    283,192.00  Purchase  Full           353,990.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
 58547159    222,910.00    222,910.00  Purchase  Full           360,000.00   9/1/2012   11.125   2.75       2    2.75  1 YR CMT
 58729682    211,344.00    211,334.00  Purchase  Full           236,000.00  10/1/2012   11.875   2.75       2    2.75  1 YR CMT
 58925686    133,036.00    133,036.00  Purchase  Full           166,500.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
 59063792    184,000.00    184,000.00  Purchase  Full           230,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
 59390484    280,800.00    280,524.50  Purchase  Full           362,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
 59425355     89,300.00     89,300.00  Purchase  Full            94,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
 59489963    620,000.00    620,000.00  Purchase  Full         1,300,000.00  10/1/2012   11.125   2.75       2    2.75  1 YR CMT
 59517391    168,800.00    168,800.00  Purchase  Full           212,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
 59527382    350,000.00    348,171.04  Purchase  Asset Only     500,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
 59804393    422,625.00    422,625.00  C/O Refi  Full           563,500.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
 59820654    211,520.00    210,055.49  Purchase  Full           265,000.00  11/1/2012   11.125   2.75       2    2.75  1 YR CMT
 59933424    173,755.00    173,755.00  Purchase  Full           185,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
 60181781     52,800.00     52,800.00  Purchase  Full            70,000.00  11/1/2012    11.75   2.75       2    2.75  1 YR CMT
 60206869    339,200.00    172,015.11  Purchase  Full           424,000.00   4/1/2013   11.375   2.75       2    2.75  1 YR CMT
 60267127    131,600.00    130,558.25  R/T Refi  Full           139,000.00  11/1/2012   11.125   2.75       2    2.75  1 YR CMT
 60326741    420,000.00    420,000.00  Purchase  Full           530,000.00  11/1/2012   11.125   2.75       2    2.75  1 YR CMT
 60353851    414,790.00    414,790.00  Purchase  Full           519,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
 60364486    654,500.00    654,500.00  Purchase  Full           949,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
 60395407    150,000.00    150,000.00  Purchase  Full           192,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
 60402344    420,000.00    419,988.06  Purchase  Full           525,000.00   1/1/2013   11.125   2.75       2    2.75  1 YR CMT
 60504297    439,200.00    439,200.00  Purchase  Full           549,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
 60541711    565,000.00    565,000.00  Purchase  Full           860,000.00   2/1/2013   11.125   2.75       2    2.75  1 YR CMT
 60733441    123,210.00    123,210.00  Purchase  Full           136,900.00   1/1/2013    11.75   2.75       2    2.75  1 YR CMT
 60738465    500,000.00    500,000.00  Purchase  Full           935,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
 60799053    331,850.00    329,842.90  R/T Refi  Full           910,000.00   1/1/2013       11   2.75       2    2.75  1 YR CMT
 60829678    218,500.00    217,877.64  Purchase  Full           230,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
 61260113    544,000.00    543,477.88  Purchase  Asset Only     680,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
 61279055    550,000.00    550,000.00  Purchase  Full           692,500.00   4/1/2013   11.125   2.75       2    2.75  1 YR CMT
 61379533    166,000.00    165,993.00  Purchase  Full           210,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
 61388609    124,000.00    124,000.00  Purchase  Full           290,000.00   3/1/2013    11.75   2.75       2    2.75  1 YR CMT
131929382     68,875.00     68,875.00  Purchase  Full            74,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
132015934    306,000.00    305,924.95  R/T Refi  Asset Only     670,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
132351842    332,500.00    332,418.61  Purchase  Full           425,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
132420811    371,250.00    357,729.28  Purchase  Asset Only     500,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
132510231    347,000.00    342,712.34  R/T Refi  Full           610,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
138320452    195,000.00    190,172.43  C/O Refi  Asset Only     400,000.00   8/1/2011   10.875   2.75       2    2.75  1 YR CMT
138481767    616,000.00    615,999.99  R/T Refi  Full           770,000.00   7/1/2011   10.875   2.75       2    2.75  1 YR CMT
138611728    420,000.00    409,835.33  R/T Refi  Asset Only     565,500.00   8/1/2011       11   2.75       2    2.75  1 YR CMT
138659974    450,000.00    450,000.00  Purchase  Full           655,000.00   7/1/2011       11   2.75       2    2.75  1 YR CMT
138811286    157,605.00    157,566.42  Purchase  Full           166,000.00   9/1/2011   10.875   2.75       2    2.75  1 YR CMT
138830005    604,000.00    603,999.50  Purchase  Full           830,000.00   9/1/2011   10.875   2.75       2    2.75  1 YR CMT
138849252    204,000.00    203,900.13  R/T Refi  Full           255,000.00   8/1/2011   10.875   2.75       2    2.75  1 YR CMT
138951454     75,600.00     63,212.86  Purchase  Asset Only      85,000.00  12/1/2011   10.875   2.75       2    2.75  1 YR CMT
139137327    319,500.00    319,500.00  Purchase  Asset Only     356,000.00   8/1/2011   10.875   2.75       2    2.75  1 YR CMT
141737841    421,786.00    416,290.28  Purchase  Asset Only     502,000.00   6/1/2012   11.125   2.75       2    2.75  1 YR CMT
141885327     95,000.00     95,000.00  Purchase  Asset Only     100,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
142128909    446,500.00    439,594.00  Purchase  Asset Only     504,000.00   4/1/2012       11   2.75       2    2.75  1 YR CMT
142302082    218,405.00    218,405.00  Purchase  Asset Only     232,000.00   3/1/2012   10.875   2.75       2    2.75  1 YR CMT
142401025    910,000.00    909,777.24  C/O Refi  Full         1,300,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
142705177    136,000.00    136,000.00  C/O Refi  AUS            170,000.00   3/1/2012   10.875   2.75       2    2.75  1 YR CMT
142905215    430,000.00    412,426.85  R/T Refi  Asset Only     570,000.00   4/1/2012       11   2.75       2    2.75  1 YR CMT
142945716    325,000.00    325,000.00  Purchase  AUS            576,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143003184    457,000.00    456,095.09  C/O Refi  Asset Only     610,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
143064574    507,500.00    507,500.00  C/O Refi  Asset Only     725,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
143108322    427,500.00    427,390.90  C/O Refi  AUS            570,000.00   5/1/2012   11.125   2.75       2    2.75  1 YR CMT
143170215    268,000.00    268,000.00  Purchase  Asset Only     339,500.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143183952    142,800.00    142,800.00  Purchase  AUS            178,500.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
143205581    420,000.00    419,897.19  C/O Refi  Income Only    725,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
143225316    119,920.00    118,791.18  Purchase  Full           151,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143301976    280,000.00    280,000.00  C/O Refi  Full           355,000.00   4/1/2012   10.875   2.75       2    2.75  1 YR CMT
143311637    452,000.00    445,352.61  R/T Refi  Full           565,000.00   5/1/2012       11   2.75       2    2.75  1 YR CMT
143384667    126,000.00    126,000.00  Purchase  Full           285,000.00   7/1/2012   10.875   2.75       2    2.75  1 YR CMT
143400687    480,000.00    480,000.00  Purchase  AUS            603,000.00   5/1/2012       11   2.75       2    2.75  1 YR CMT
143410058    367,200.00    364,926.05  Purchase  AUS            464,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
143414506    222,800.00    222,800.00  Purchase  Full           285,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143428399    528,000.00    524,900.00  R/T Refi  AUS            660,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143430304    956,250.00    946,781.16  Purchase  Full         1,380,000.00   5/1/2012       11   2.75       2    2.75  1 YR CMT
143456713    324,000.00    323,047.89  C/O Refi  Asset Only     410,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143520856    752,500.00    741,410.38  C/O Refi  Asset Only   1,075,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143578367    524,000.00    524,000.00  Purchase  Asset Only     665,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143581791    311,000.00    307,283.14  C/O Refi  AUS            423,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143584944    700,000.00    700,000.00  C/O Refi  Full         1,000,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143594117    359,650.00    359,650.00  C/O Refi  AUS            745,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143597151    500,000.00    500,000.00  C/O Refi  Asset Only   1,000,000.00   5/1/2012       11   2.75       2    2.75  1 YR CMT
143612398    220,000.00    220,000.00  C/O Refi  AUS            295,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143678076    455,000.00    455,000.00  Purchase  Full           650,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143712016    588,000.00    587,752.90  Purchase  Full           735,000.00   5/1/2012       11   2.75       2    2.75  1 YR CMT
143731651    287,960.00    287,960.00  Purchase  Full           360,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143744605    247,200.00    247,200.00  Purchase  AUS            327,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143764504    525,000.00    517,614.27  C/O Refi  Asset Only     725,000.00   5/1/2012   11.125   2.75       2    2.75  1 YR CMT
143807931    180,000.00    179,999.98  C/O Refi  AUS            225,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
143820603    960,000.00    957,743.16  Purchase  Full         1,450,000.00   5/1/2012       11   2.75       2    2.75  1 YR CMT
143854925    462,500.00    462,500.00  R/T Refi  AUS            630,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
143869311  1,312,500.00  1,293,157.76  Purchase  Full         1,750,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143869758    281,250.00    280,789.77  C/O Refi  AUS            375,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
143869857    524,000.00    524,000.00  Purchase  AUS            839,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143892768    283,920.00    283,920.00  Purchase  Asset Only     355,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
143908374    487,500.00    487,221.56  R/T Refi  Full           650,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143954675    360,000.00    360,000.00  Purchase  Full           450,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143955581    317,000.00    314,750.00  C/O Refi  AUS            510,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143959682    604,000.00    603,842.22  C/O Refi  Full           755,000.00   5/1/2012   11.125   2.75       2    2.75  1 YR CMT
143964237    389,000.00    389,000.00  C/O Refi  Asset Only     560,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143966224    390,000.00    364,880.50  Purchase  AUS            510,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
143979482    324,900.00    324,900.00  Purchase  Full           345,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143981637    400,000.00    400,000.00  C/O Refi  Asset Only     810,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
143989879    275,000.00    274,932.35  C/O Refi  AUS            360,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144000858    209,600.00    209,600.00  Purchase  AUS            262,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144018066    410,000.00    410,000.00  R/T Refi  Asset Only     618,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
144020831    640,000.00    640,000.00  R/T Refi  Asset Only     860,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
144035425    325,600.00    321,700.00  Purchase  Asset Only     407,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
144047305    620,000.00    620,000.00  Purchase  Asset Only     830,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144050382    500,000.00    500,000.00  Purchase  AUS            625,000.00   5/1/2012   10.875   2.75       2    2.75  1 YR CMT
144075306    320,000.00    320,000.00  C/O Refi  Asset Only     660,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144100591    318,250.00    318,250.00  Purchase  Full           338,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144126836    300,000.00    299,781.48  C/O Refi  Asset Only     341,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144191947    143,000.00    142,680.14  C/O Refi  Asset Only     179,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144260098    370,000.00    370,000.00  R/T Refi  Asset Only     480,000.00   7/1/2012   10.875   2.75       2    2.75  1 YR CMT
144321213    420,000.00    420,000.00  Purchase  Asset Only     525,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144346301    242,000.00    242,000.00  C/O Refi  Full           314,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144355328    177,600.00    177,600.00  Purchase  Asset Only     222,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144402963    480,000.00    473,447.66  C/O Refi  AUS            680,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
144412954    383,000.00    379,199.78  R/T Refi  Asset Only     500,000.00   6/1/2012   10.875   2.75       2    2.75  1 YR CMT
145166948    154,850.00    154,849.99  Purchase  Full           167,000.00   7/1/2012   10.875   2.75       2    2.75  1 YR CMT
145778999    607,000.00    603,962.33  C/O Refi  AUS            915,500.00   8/1/2012       11   2.75       2    2.75  1 YR CMT
145779211    500,000.00    500,000.00  Purchase  Asset Only     628,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
146048384    375,000.00    374,871.56  R/T Refi  Full           485,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
146065446    417,900.00    417,593.18  Purchase  Full           523,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
146143516    414,900.00    414,884.67  Purchase  Full           520,000.00   8/1/2012   10.875   2.75       2    2.75  1 YR CMT
146170048    190,800.00    190,800.00  Purchase  Full           239,000.00   8/1/2012   10.875   2.75       2    2.75  1 YR CMT
146241963    493,900.00    493,900.00  Purchase  AUS            630,000.00   8/1/2012   10.875   2.75       2    2.75  1 YR CMT
146278619    215,900.00    215,511.22  Purchase  Full           271,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
146378583    318,700.00    316,800.00  Purchase  Asset Only     470,500.00   8/1/2012   10.875   2.75       2    2.75  1 YR CMT
146392931    425,600.00    422,150.56  Purchase  AUS            448,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
146431911    330,697.00    330,361.00  Purchase  Full           428,500.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146442603    210,000.00    210,000.00  C/O Refi  Full           360,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146452404    440,000.00    439,861.21  Purchase  Full           735,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146481767    588,000.00    588,000.00  R/T Refi  Asset Only     870,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146483193    794,720.00    794,673.59  Purchase  Full           996,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
146545736    446,000.00    446,000.00  C/O Refi  Asset Only     705,000.00   9/1/2012   11.125   2.75       2    2.75  1 YR CMT
146558853    430,000.00    430,000.00  C/O Refi  Asset Only     725,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146578448    542,000.00    542,000.00  Purchase  Full           680,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146647995    193,800.00    190,398.00  Purchase  Asset Only     205,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146740485     94,816.00     94,787.81  Purchase  Full           119,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146749809    590,000.00    590,000.00  C/O Refi  Asset Only     820,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146784616    411,000.00    410,968.48  C/O Refi  Full           575,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
146786637    228,800.00    228,800.00  Purchase  Full           286,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
146805668    468,000.00    467,609.65  Purchase  Asset Only     598,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146805882    189,317.00    189,116.01  Purchase  Full           247,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146814959    108,000.00    107,843.56  Purchase  Full           135,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146815238    400,000.00    400,000.00  Purchase  Full           500,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
146816384    268,000.00    267,161.16  C/O Refi  Full           335,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146840293     45,440.00     45,375.37  Purchase  Full            57,500.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146862388    460,000.00    460,000.00  Purchase  Full           575,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146890025    508,352.00    508,260.91  Purchase  Full           653,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
146948609    370,950.00    370,859.19  Purchase  Asset Only     485,500.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146954888    266,250.00    266,250.00  C/O Refi  Asset Only     355,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
146969282    400,000.00    399,300.00  C/O Refi  Asset Only     650,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
147034722    506,000.00    506,000.00  C/O Refi  Asset Only     680,000.00  10/1/2012       11   2.75       2    2.75  1 YR CMT
147105514    424,550.00    424,446.07  Purchase  Full           535,000.00   9/1/2012   10.875   2.75       2    2.75  1 YR CMT
147173264  1,000,000.00    999,853.13  C/O Refi  Full         2,000,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
147187561    755,000.00    755,000.00  C/O Refi  Full           944,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147189294    480,200.00    479,050.00  Purchase  Full           535,000.00  10/1/2012    11.25   2.75       2    2.75  1 YR CMT
147212237    193,600.00    193,600.00  Purchase  AUS            244,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147255061    501,000.00    498,344.14  R/T Refi  Full           630,000.00  10/1/2012   11.125   2.75       2    2.75  1 YR CMT
147287189    740,000.00    740,000.00  C/O Refi  Full         1,100,000.00  10/1/2012       11   2.75       2    2.75  1 YR CMT
147434658    436,000.00    435,768.84  C/O Refi  Full           547,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
147472443    725,000.00    725,000.00  C/O Refi  Full           975,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147482053    472,000.00    471,991.00  R/T Refi  Asset Only     590,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147716757    535,000.00    535,000.00  C/O Refi  Asset Only     673,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
147763213    320,000.00    320,000.00  C/O Refi  Full           400,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147779565  1,260,000.00  1,260,000.00  R/T Refi  Full         1,680,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147783385    500,000.00    500,000.00  C/O Refi  Full           670,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147795363    550,000.00    549,865.36  C/O Refi  AUS            786,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147808497    224,000.00    224,000.00  C/O Refi  Asset Only     282,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147821672    400,000.00    399,999.97  Purchase  Full           505,000.00   8/1/2012   10.875   2.75       2    2.75  1 YR CMT
147883128     99,200.00     99,112.95  Purchase  Full           124,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
147888945    166,250.00    166,250.00  Purchase  Full           175,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
147911598    592,500.00    592,348.79  Purchase  Asset Only     755,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
147925887    580,000.00    579,999.58  C/O Refi  Asset Only     725,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
147926711    260,000.00    260,000.00  C/O Refi  Asset Only     400,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147930051    379,000.00    378,961.68  C/O Refi  Full           552,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147930812    517,600.00    517,594.08  C/O Refi  AUS            647,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147931398    612,500.00    612,444.02  C/O Refi  Asset Only     875,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147943641    252,000.00    251,938.31  R/T Refi  Full           316,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
147961775    637,500.00    636,909.58  C/O Refi  Full           850,000.00  11/1/2012   11.125   2.75       2    2.75  1 YR CMT
147968325    271,150.00    271,150.00  Purchase  Full           339,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
147970354    560,000.00    559,185.85  R/T Refi  Full           700,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148011869    562,500.00    556,168.96  C/O Refi  Asset Only     765,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148014855    401,600.00    399,890.85  Purchase  Full           505,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148015803    542,586.00    507,641.04  Purchase  AUS            680,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148022908    568,000.00    568,000.00  C/O Refi  Full           710,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148029416    669,600.00    665,925.83  Purchase  Full           837,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148097439    560,000.00    556,171.02  C/O Refi  Full           950,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148101132    537,500.00    537,500.00  Purchase  Full           672,000.00  10/1/2012   10.875   2.75       2    2.75  1 YR CMT
148124332    575,000.00    575,000.00  C/O Refi  Full           915,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148130164    820,000.00    820,000.00  R/T Refi  Full         1,025,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148153117    145,600.00    145,600.00  Purchase  Full           182,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148174766    432,000.00    432,000.00  Purchase  Full           555,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148177603    356,000.00    356,000.00  Purchase  Asset Only     450,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148183494    288,500.00    288,500.00  Purchase  Asset Only     325,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148196736    425,000.00    425,000.00  R/T Refi  Full           460,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148212137    322,400.00    322,400.00  Purchase  Full           403,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148228059    466,000.00    466,000.00  R/T Refi  AUS            850,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148246671    456,000.00    454,862.04  Purchase  Asset Only     570,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148256258    334,400.00    334,400.00  Purchase  AUS            420,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148283112    469,600.00    469,600.00  Purchase  AUS            587,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148293996    882,000.00    882,000.00  C/O Refi  Asset Only   1,265,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148294226    438,000.00    437,394.37  C/O Refi  AUS            580,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148300353    447,000.00    446,982.29  R/T Refi  AUS            620,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148305899    590,100.00    589,952.47  Purchase  Full           853,500.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148324437    580,000.00    578,080.87  C/O Refi  Full         1,075,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148328933    999,999.00    999,999.00  R/T Refi  Asset Only   1,850,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148340532    509,200.00    502,200.00  Purchase  AUS            670,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148360381    750,000.00    729,979.58  C/O Refi  Asset Only   1,800,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148398787    480,000.00    480,000.00  C/O Refi  Asset Only     686,000.00  11/1/2012    11.25   2.75       2    2.75  1 YR CMT
148399496    439,200.00    439,200.00  Purchase  Full           550,000.00  11/1/2012    11.25   2.75       2    2.75  1 YR CMT
148420078    511,200.00    511,000.00  Purchase  AUS            639,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148454838    438,400.00    213,400.00  Purchase  AUS            555,000.00   1/1/2013       11   2.75       2    2.75  1 YR CMT
148468622    536,800.00    536,668.60  Purchase  Full           700,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148471378    441,600.00    441,600.00  Purchase  Full           552,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148477201    348,000.00    348,000.00  Purchase  Full           450,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148484124    491,000.00    490,610.14  C/O Refi  Asset Only     750,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148484322    470,000.00    470,000.00  C/O Refi  Asset Only     602,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148489008     88,000.00     87,400.00  Purchase  Full           112,200.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148490667    663,900.00    663,900.00  Purchase  Full           832,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148493992    426,500.00    426,500.00  R/T Refi  AUS            590,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148495567  2,000,000.00  1,331,998.00  C/O Refi  Full         4,050,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148497555    524,000.00    524,000.00  R/T Refi  Full           655,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148506652    397,500.00    397,500.00  R/T Refi  Asset Only     625,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148523103    500,000.00    500,000.00  C/O Refi  Asset Only     670,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148539836    489,600.00    489,600.00  Purchase  Full           612,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148555501    513,750.00    513,750.00  Purchase  AUS            685,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148559545    636,696.00    636,421.12  Purchase  Asset Only     800,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148564073    577,000.00    574,715.02  C/O Refi  AUS            808,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148564438    479,900.00    479,900.00  Purchase  Asset Only     615,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148584212    189,600.00    189,499.90  C/O Refi  Full           237,000.00  12/1/2012   10.875  0.875       2    2.75  1 YR CMT
148585672    544,000.00    544,000.00  R/T Refi  AUS            680,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148589062    550,000.00    550,000.00  C/O Refi  Full           900,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148589328    600,000.00    600,000.00  Purchase  AUS            760,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148608383    418,900.00    418,900.00  R/T Refi  Asset Only     535,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148617954    256,000.00    256,000.00  Purchase  Full           320,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148618507    456,000.00    455,400.00  C/O Refi  Asset Only     570,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148619315    415,000.00    415,000.00  Purchase  AUS            650,000.00   2/1/2013   10.875   2.75       2    2.75  1 YR CMT
148621519    473,200.00    472,600.00  Purchase  Full           592,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148626187    473,000.00    472,402.31  Purchase  Full           592,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148647076    532,500.00    532,500.00  C/O Refi  Asset Only     738,000.00   1/1/2013   11.125   2.75       2    2.75  1 YR CMT
148657414    500,000.00    499,947.92  C/O Refi  Asset Only     925,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148658321  1,000,000.00  1,000,000.00  C/O Refi  Full         2,050,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148658792    485,000.00    485,000.00  R/T Refi  AUS            760,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148664345    508,000.00    507,670.74  C/O Refi  AUS            660,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148669518    441,000.00    441,000.00  C/O Refi  Asset Only     588,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148674583    470,000.00    466,290.08  Purchase  AUS            595,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148678238    213,750.00    213,750.00  Purchase  Full           295,000.00  12/1/2012   11.375   2.75       2    2.75  1 YR CMT
148683477    456,800.00    455,903.87  C/O Refi  Asset Only     571,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148685944    428,000.00    428,000.00  Purchase  Full           540,000.00   1/1/2013   11.125   2.75       2    2.75  1 YR CMT
148687213    668,000.00    668,000.00  Purchase  Full           835,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148688468    848,000.00    843,306.73  Purchase  Asset Only   1,060,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148710965     97,600.00     97,600.00  Purchase  AUS            124,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148716046    650,000.00    650,000.00  Purchase  Full           878,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148716129    704,000.00    704,000.00  Purchase  Full           899,000.00  11/1/2012       11   2.75       2    2.75  1 YR CMT
148717499    642,400.00    642,400.00  Purchase  Full           810,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148724552    560,000.00    559,748.70  Purchase  Full           700,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148724727    641,000.00    640,833.07  C/O Refi  Full           860,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148734619    456,000.00    455,775.60  Purchase  AUS            575,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148740947    499,960.00    499,960.00  Purchase  AUS            630,000.00   1/1/2013       11   2.75       2    2.75  1 YR CMT
148742034    402,500.00    402,499.99  R/T Refi  Full           508,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148754724    456,000.00    455,256.44  C/O Refi  Asset Only     634,000.00   1/1/2013   11.375   2.75       2    2.75  1 YR CMT
148756414    534,800.00    534,800.00  Purchase  Asset Only     670,000.00   1/1/2013   11.125   2.75       2    2.75  1 YR CMT
148757404    526,400.00    525,777.30  C/O Refi  Asset Only     752,000.00  12/1/2012   11.375   2.75       2    2.75  1 YR CMT
148778574    600,000.00    600,000.00  Purchase  AUS          1,200,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148790124    440,000.00    439,727.97  C/O Refi  Full           550,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148796733    618,750.00    618,750.00  C/O Refi  Asset Only     825,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148814932    546,000.00    545,988.62  Purchase  Asset Only     684,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148815665    498,750.00    498,750.00  C/O Refi  Asset Only     665,000.00   1/1/2013   11.375   2.75       2    2.75  1 YR CMT
148827462    525,000.00    525,000.00  R/T Refi  Asset Only     702,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148828619    562,500.00    562,500.00  Purchase  Full           625,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148831548    635,316.00    635,316.00  Purchase  Full           855,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148840465    445,000.00    444,870.30  R/T Refi  AUS            600,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148854573    325,000.00    325,000.00  C/O Refi  Full           415,000.00  11/1/2012   10.875   2.75       2    2.75  1 YR CMT
148860778    421,143.00    421,143.00  C/O Refi  AUS            637,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148861339    637,500.00    637,500.00  R/T Refi  Asset Only     850,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148875149    656,800.00    656,746.36  Purchase  Full           821,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148879448    320,000.00    319,824.32  Purchase  AUS            420,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148891799    488,000.00    488,000.00  Purchase  Full           615,000.00  12/1/2012   11.375   2.75       2    2.75  1 YR CMT
148892748    450,000.00    450,000.00  C/O Refi  AUS            575,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148895931    432,000.00    429,415.28  Purchase  Full           555,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148898091    393,400.00    393,400.00  C/O Refi  Asset Only     562,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
148903404    845,000.00    845,000.00  C/O Refi  Asset Only   1,850,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148909047    390,000.00    387,175.41  C/O Refi  AUS            840,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148911928    455,396.00    455,396.00  Purchase  AUS            590,000.00   3/1/2013   10.875   2.75       2    2.75  1 YR CMT
148918873    400,000.00    394,051.10  Purchase  AUS            553,500.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148927346    286,600.00    286,600.00  C/O Refi  Asset Only     675,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148936925    619,000.00    619,000.00  C/O Refi  Asset Only     819,000.00   1/1/2013   11.125   2.75       2    2.75  1 YR CMT
148937832    882,000.00    882,000.00  Purchase  Asset Only   1,260,000.00  12/1/2012   11.375   2.75       2    2.75  1 YR CMT
148939291    480,000.00    480,000.00  Purchase  AUS            615,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
148951585    960,000.00    953,913.00  C/O Refi  Full         1,200,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148952468    463,700.00    463,700.00  R/T Refi  AUS            615,000.00  12/1/2012   11.375   2.75       2    2.75  1 YR CMT
148952542    999,999.00    999,296.56  Purchase  Full         1,400,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
148955917    476,000.00    476,000.00  C/O Refi  AUS            595,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
148958325    150,100.00    150,098.11  C/O Refi  Asset Only     236,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
148964448    500,000.00    500,000.00  C/O Refi  Asset Only     925,000.00   1/1/2013     11.5   2.75       2    2.75  1 YR CMT
148970437    900,000.00    894,211.35  C/O Refi  Asset Only   1,290,000.00  12/1/2012     11.5   2.75       2    2.75  1 YR CMT
148991839    581,008.00    581,008.00  Purchase  Full           745,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
149008062    388,000.00    385,071.71  Purchase  AUS            485,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
149021479    620,000.00    619,949.84  C/O Refi  Full           775,000.00  12/1/2012   11.375   2.75       2    2.75  1 YR CMT
149023129    460,000.00    460,000.00  C/O Refi  Asset Only     920,000.00  12/1/2012   11.625   2.75       2    2.75  1 YR CMT
149046039    600,000.00    595,854.82  C/O Refi  Asset Only     803,000.00  12/1/2012   11.125   2.75       2    2.75  1 YR CMT
149056293    494,400.00    494,400.00  Purchase  AUS            618,000.00   1/1/2013    11.25   2.75       2    2.75  1 YR CMT
149057812    111,920.00    111,920.00  Purchase  AUS            141,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
149059305    510,000.00    510,000.00  C/O Refi  AUS            730,000.00   1/1/2013   11.375   2.75       2    2.75  1 YR CMT
149072001  1,470,000.00  1,461,250.81  Purchase  Full         1,960,000.00   1/1/2013   11.375   2.75       2    2.75  1 YR CMT
149077851    700,000.00    698,800.00  C/O Refi  Full           950,000.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
149080285    629,000.00    629,000.00  R/T Refi  Full           740,000.00   1/1/2013       11   2.75       2    2.75  1 YR CMT
149088205    419,200.00    419,200.00  Purchase  Full           533,000.00  12/1/2012   10.875   2.75       2    2.75  1 YR CMT
149091548    472,000.00    472,000.00  Purchase  AUS            615,000.00  12/1/2012    11.25   2.75       2    2.75  1 YR CMT
149091696    511,684.00    511,684.00  Purchase  Asset Only     640,000.00   1/1/2013    11.25   2.75       2    2.75  1 YR CMT
149092744    680,000.00    679,470.83  C/O Refi  Asset Only   1,100,000.00   1/1/2013   11.125   2.75       2    2.75  1 YR CMT
149100166    370,000.00    370,000.00  Purchase  Full           467,305.00   1/1/2013   10.875   2.75       2    2.75  1 YR CMT
149114035    456,000.00    456,000.00  Purchase  Full           570,000.00  12/1/2012       11   2.75       2    2.75  1 YR CMT
149134736    464,389.00    464,389.00  Purchase  Full           580,487.00   4/1/2013   11.375   2.75       2    2.75  1 YR CMT
149287716    400,000.00    400,000.00  Purchase  AUS            540,000.00   5/1/2013   10.875   2.75       2    2.75  1 YR CMT
149304412    488,000.00    485,048.46  Purchase  AUS            622,000.00   1/1/2013       11   2.75       2    2.75  1 YR CMT
224534396    411,350.00    395,876.38  Purchase  Full           530,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
   600147    335,000.00    317,306.69  C/O Refi  Full           450,000.00   9/1/2007   10.875   2.75       2    2.75  1 YR CMT
   840472    550,000.00    522,119.05  R/T Refi  Asset Only     860,000.00   4/1/2007    11.75   2.75       2    2.75  1 YR CMT
  4376951    621,000.00    587,373.20  Purchase  Full           690,000.00   2/1/2007   11.625   2.75       2    2.75  1 YR CMT
  4394574    540,000.00    507,479.35  Purchase  Full           900,000.00  11/1/2006   11.375   2.75       2    2.75  1 YR CMT
  4442493    456,000.00    455,845.45  R/T Refi  Full           570,000.00  12/1/2006   11.375   2.75       2    2.75  1 YR CMT
  4591400    275,000.00    130,005.60  Purchase  Full           534,000.00  11/1/2006   10.875   2.75       2    2.75  1 YR CMT
  5743154    463,600.00    429,564.61  Purchase  AUS            580,000.00   8/1/2005   12.125   2.75       2    2.75  1 YR CMT
  8308855    476,000.00    444,396.14  Purchase  AUS            600,000.00  10/1/2005   12.375   2.75       2    2.75  1 YR CMT
  9485999    588,000.00    551,643.77  R/T Refi  Full           790,000.00  12/1/2006    11.25   2.75       2    2.75  1 YR CMT
  9961523    349,125.00    329,880.95  Purchase  Full           375,000.00   6/1/2007       11   2.25       2    2.25  1 YR LIBOR
  9968344    649,600.00    615,415.67  Purchase  Full           835,000.00   4/1/2007   11.625   2.75       2    2.75  1 YR CMT
 11549763    180,500.00    180,500.00  Purchase  Full           195,000.00   1/1/2008   10.875   2.75       2    2.75  1 YR CMT
 12079513    737,000.00    736,394.95  C/O Refi  Asset Only   1,340,000.00  11/1/2007   10.875   2.75       2    2.75  1 YR CMT
 12521795    123,500.00    123,115.99  Purchase  Full           130,000.00  10/1/2007   10.875   2.75       2    2.75  1 YR CMT
 12767455    966,000.00    917,685.19  R/T Refi  AUS          1,750,000.00  11/1/2007   10.875   2.75       2    2.75  1 YR CMT
 16356578    500,000.00    476,293.43  C/O Refi  Asset Only   1,384,000.00   1/1/2008   10.875   2.75       2    2.75  1 YR CMT
 16400459    455,000.00    433,163.78  Purchase  Asset Only     700,000.00  12/1/2007       11   2.75       2    2.75  1 YR CMT
 16666026    331,500.00    315,367.52  R/T Refi  AUS            415,000.00  12/1/2007   10.875   2.75       2    2.75  1 YR CMT
 18141218    420,000.00    420,000.00  R/T Refi  AUS            525,000.00   2/1/2008   10.875   2.75       2    2.75  1 YR CMT
 36852648    467,500.00    467,500.00  Purchase  Asset Only     550,000.00   9/1/2009   10.875   2.75       2    2.75  1 YR CMT
 38176368    362,700.00    362,700.00  Purchase  Full           465,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
 42630145    215,120.00    215,067.34  Purchase  Full           276,000.00   2/1/2010   10.875   2.75       2    2.75  1 YR CMT
 42791095     73,592.00     73,431.62  Purchase  Full            91,990.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 42861948    146,932.00    146,932.00  Purchase  Full           205,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 43106483    500,000.00    500,000.00  C/O Refi  Full         1,098,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 43510908    116,800.00    116,800.00  Purchase  Full           146,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44070936    151,905.00    151,883.66  Purchase  Asset Only     163,900.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44107936    188,000.00    188,000.00  Purchase  Full           242,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44149912    139,650.00    139,650.00  Purchase  Full           150,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44310316    308,750.00    301,030.60  C/O Refi  Asset Only     475,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44329084    262,500.00    260,945.31  C/O Refi  Asset Only     375,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44417392    206,000.00    205,535.40  Purchase  Full           258,000.00   9/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44729176    115,000.00    115,000.00  C/O Refi  Full           175,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44827038    152,800.00    152,800.00  Purchase  Full           191,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 44895548    114,000.00    113,950.00  Purchase  Asset Only     133,700.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 45141256    174,000.00    174,000.00  Purchase  Full           265,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 45215977    292,312.00    289,878.58  Purchase  Full           370,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
 46033882    179,584.00    179,494.55  Purchase  Full           230,000.00   9/1/2009   10.875   2.75       2    2.75  1 YR CMT
 47252275    482,000.00    482,000.00  R/T Refi  Asset Only     680,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 49213416    650,000.00    650,000.00  Purchase  Full           830,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 49360886    226,579.00    226,579.00  Purchase  Asset Only     265,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 49793599    115,000.00    114,848.34  Purchase  Full           274,500.00   3/1/2010   10.875   2.75       2    2.75  1 YR CMT
 50014455    189,482.00    189,482.00  Purchase  Full           202,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 50232099  1,500,000.00  1,500,000.00  C/O Refi  Full         2,300,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 50356989    248,200.00    248,200.00  C/O Refi  Asset Only     292,000.00   2/1/2010   10.875   2.75       2    2.75  1 YR CMT
 50713478    143,040.00    143,040.00  Purchase  Asset Only     190,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51015402    222,348.00    222,348.00  Purchase  Asset Only     235,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51116598     92,115.00     92,115.00  Purchase  Full           107,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51239143    209,000.00    209,000.00  R/T Refi  Full           220,000.00   3/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51393734    186,675.00    186,673.30  Purchase  Full           197,000.00   3/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51452845    119,600.00    119,600.00  Purchase  Full           149,500.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51487189    328,384.00    328,384.00  Purchase  Full           412,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51492528    157,131.00    157,131.00  Purchase  Full           199,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51541514    141,920.00    141,633.50  Purchase  Full           177,500.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51639532    108,000.00    108,000.00  R/T Refi  Full           137,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 51673143    216,000.00    216,000.00  Purchase  Asset Only     240,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52006087    288,000.00    288,000.00  Purchase  Full           365,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52051489    185,440.00    185,440.00  Purchase  Full           231,800.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52059607    187,150.00    187,150.00  R/T Refi  Full           197,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52072832    422,320.00    415,635.29  Purchase  Full           528,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52160561    100,000.00    100,000.00  Purchase  Asset Only     158,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52237815    560,000.00    560,000.00  C/O Refi  Full           750,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52499464    442,071.20    442,071.20  Purchase  Full           582,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52515814    273,505.00    273,505.00  Purchase  Asset Only     297,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52528478    649,999.00    649,999.00  Purchase  Full           920,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
 52555455    114,855.00    114,855.00  Purchase  Asset Only     131,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52570165    133,380.00    133,380.00  Purchase  Full           146,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52600442     57,600.00     57,600.00  C/O Refi  Full            79,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52616273    219,244.00    219,244.00  Purchase  Full           278,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52617586    203,920.00    203,920.00  Purchase  Full           266,900.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52771706    240,000.00    240,000.00  Purchase  Full           300,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52794997    201,443.00    201,443.00  Purchase  Full           248,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52886249    263,120.00    263,120.00  Purchase  Full           359,900.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52889623    146,400.00    146,400.00  Purchase  Full           184,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52949518    116,850.00    116,850.00  Purchase  Asset Only     123,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52949799    197,505.00    197,505.00  Purchase  Asset Only     210,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52979309    186,210.00    186,164.42  Purchase  Asset Only     206,900.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 52985165    510,000.00    508,266.25  C/O Refi  Full           651,000.00   5/1/2010       11   2.75       2    2.75  1 YR CMT
 53010989    607,500.00    607,500.00  Purchase  Full           675,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53054565    181,925.00    180,825.00  Purchase  Full           194,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53054599    154,710.00    154,710.00  Purchase  Asset Only     173,900.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53056255    230,400.00    230,400.00  Purchase  Full           295,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53077319    358,943.00    358,943.00  Purchase  Full           449,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53093704    156,000.00    155,154.40  Purchase  Full           196,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53122842    187,920.00    187,889.84  Purchase  Full           234,900.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53124293    128,240.00    128,240.00  Purchase  Asset Only     150,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53143343    153,900.00    153,900.00  Purchase  Asset Only     162,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53191888    127,000.00    127,000.00  R/T Refi  Full           159,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53194767  1,000,000.00  1,000,000.00  R/T Refi  Asset Only   2,000,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53261178    208,000.00    208,000.00  C/O Refi  Full           260,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53315891    176,000.00    175,985.00  C/O Refi  Full           220,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53361143    556,750.00    556,750.00  Purchase  Full           665,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53369708    236,500.00    235,080.00  R/T Refi  AUS            283,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53381208    134,000.00    133,140.61  R/T Refi  Full           172,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53420204    426,000.00    426,000.00  C/O Refi  Full           630,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53447835    438,600.00    438,600.00  C/O Refi  Asset Only     680,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53466843    360,000.00    360,000.00  R/T Refi  Full           468,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 53487716    201,400.00    201,400.00  Purchase  Full           212,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53544581    270,000.00    270,000.00  Purchase  Full           370,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53605036    127,200.00    127,200.00  C/O Refi  Full           165,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53620191    212,900.00    212,900.00  Purchase  Asset Only     300,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53693727    251,250.00    251,250.00  C/O Refi  Asset Only     335,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53797122    104,500.00    104,500.00  Purchase  Full           120,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53803128    183,200.00    183,200.00  Purchase  Full           229,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53952024    400,000.00    399,988.88  C/O Refi  Full           500,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 53990974    159,375.00    159,375.00  C/O Refi  Full           187,500.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54027206    190,000.00    190,000.00  R/T Refi  Full           238,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
 54034772    142,390.00    142,390.00  R/T Refi  Full           225,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54053939     75,905.00     75,905.00  Purchase  Full            80,300.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54107263    232,000.00    230,801.90  C/O Refi  Full           290,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54272117    142,405.00    140,260.39  Purchase  Asset Only     149,900.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54402151    121,128.00    121,113.82  Purchase  Full           151,500.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54413885    580,000.00    579,968.28  Purchase  Full           725,000.00   8/1/2010       11   2.75       2    2.75  1 YR CMT
 54435987    156,000.00    155,199.02  R/T Refi  Full           195,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 54440995    184,000.00    184,000.00  C/O Refi  Full           230,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54562657    194,600.00    194,573.00  Purchase  Asset Only     283,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54569033    228,000.00    228,000.00  R/T Refi  Full           285,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54600861    650,000.00    640,728.22  Purchase  Full         1,036,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54778469    294,423.00    294,423.00  Purchase  Full           330,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54843743    137,500.00    137,500.00  Purchase  Full           180,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54881545    332,000.00    332,000.00  C/O Refi  Full           420,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54881719    484,450.00    484,274.63  Purchase  Full           570,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54939921    202,300.00    202,300.00  Purchase  Full           212,990.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 54988407    508,000.00    508,000.00  C/O Refi  Full           635,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 55162085    260,800.00    260,800.00  Purchase  Full           326,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 56439425    198,000.00    198,000.00  Purchase  Full           255,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
 56490998    259,000.00    259,000.00  C/O Refi  Asset Only     410,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
 56550569    338,994.00    338,728.84  Purchase  Full           357,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 56565161    256,000.00    256,000.00  Purchase  Full           320,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
 56955925    584,000.00    584,000.00  R/T Refi  Full           730,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 56982705    232,000.00    232,000.00  C/O Refi  Full           330,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
 56999303    301,050.00    301,050.00  Purchase  Full           385,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57055733    170,642.00    170,642.00  Purchase  Full           260,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57192874    147,960.00    147,960.00  Purchase  Full           168,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57308181    307,600.00    307,600.00  Purchase  Full           385,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57367484    370,222.00    370,222.00  Purchase  Asset Only     463,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57468878    516,400.00    516,400.00  Purchase  Full           700,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
 57474207    115,000.00    115,000.00  Purchase  Full           191,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57488454    241,362.00    241,362.00  Purchase  Full           280,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57518664  1,620,000.00  1,620,000.00  Purchase  Full         2,160,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57583262    122,930.00    122,930.00  Purchase  Full           130,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57604373    309,520.00    309,520.00  Purchase  Full           394,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57730814    100,000.00     99,992.00  Purchase  Full           175,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57753717  1,000,000.00    879,412.50  C/O Refi  Asset Only   2,650,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57761819     84,600.00     84,577.53  Purchase  Full            95,000.00  10/1/2010   11.375   2.75       2    2.75  1 YR CMT
 57791816    167,920.00    167,920.00  Purchase  Full           262,500.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57800161    144,750.00    144,749.99  C/O Refi  Asset Only     193,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57834616    404,910.00    404,910.00  Purchase  Full           450,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57847816    320,000.00    320,000.00  Purchase  Full           413,000.00   9/1/2010    11.25   2.75       2    2.75  1 YR CMT
 57868143    146,250.00    146,250.00  Purchase  Full           174,000.00  10/1/2010   11.125   2.75       2    2.75  1 YR CMT
 57914541    267,200.00    266,851.36  R/T Refi  Full           334,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57921728    629,950.00    629,950.00  Purchase  Full           700,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 57953432    151,404.00    151,404.00  Purchase  Full           191,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58016635    472,000.00    472,000.00  Purchase  Full           595,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58028432    272,000.00    272,000.00  Purchase  Full           340,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58048075    572,000.00    572,000.00  C/O Refi  Full         1,085,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58088451    966,500.00    966,500.00  R/T Refi  Full         1,385,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58089558    239,268.00    239,268.00  Purchase  Full           305,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58121674    309,600.00    309,600.00  C/O Refi  Full           387,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58150186    226,400.00    226,376.85  Purchase  Full           283,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58153743    115,920.00    115,920.00  Purchase  Full           145,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58243965    288,000.00    288,000.00  Purchase  Full           363,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
 58292269    125,600.00    125,579.95  Purchase  Full           157,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58310681    180,000.00    180,000.00  C/O Refi  Asset Only     215,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58359761    203,000.00    202,999.83  R/T Refi  Full           260,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58367582    125,600.00    125,600.00  Purchase  Full           157,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58411182    125,080.00    125,044.91  Purchase  Full           163,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58413915    280,000.00    280,000.00  C/O Refi  Full           360,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58417239    576,000.00    576,000.00  Purchase  Full           720,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58431354    148,410.00    148,410.00  Purchase  Full           165,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58432824    627,600.00    627,600.00  Purchase  Full           785,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58437559    160,000.00    159,952.92  C/O Refi  Full           270,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58440264  3,240,000.00  3,240,000.00  Purchase  Full         5,475,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 58452004    137,610.00    137,575.97  Purchase  Full           170,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58488503    493,000.00    492,984.95  Purchase  Full           625,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58489998    552,000.00    552,000.00  Purchase  Full           692,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58491127    265,050.00    265,049.99  Purchase  Full           384,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
 58499815    365,760.00    365,659.02  Purchase  Full           465,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58534736    335,000.00    334,980.00  R/T Refi  Full           390,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
 58540758    236,900.00    236,900.00  Purchase  Asset Only     302,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
 58552506    335,000.00    334,996.61  C/O Refi  Full           423,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58556978    160,000.00    160,000.00  Purchase  Asset Only     200,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58565201    305,000.00    305,000.00  C/O Refi  Full           407,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58589268    178,400.00    178,400.00  Purchase  Asset Only     202,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58627274     96,000.00     96,000.00  R/T Refi  Full           120,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58690892    130,000.00    130,000.00  Purchase  Full           205,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58691221    165,442.00    165,442.00  Purchase  Full           175,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58769977    139,410.00    139,410.00  Purchase  Full           155,000.00  11/1/2010    11.25   2.75       2    2.75  1 YR CMT
 58775495    353,250.00    353,238.15  Purchase  Asset Only     396,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58780172    704,000.00    703,827.67  Purchase  Full           880,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58800673    210,320.00    210,320.00  Purchase  Full           265,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58801655    195,000.00    195,000.00  C/O Refi  Full           270,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58843491    675,000.00    675,000.00  C/O Refi  Full           900,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58855909  1,500,000.00  1,500,000.00  Purchase  Full         2,050,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58856105    260,000.00    258,637.00  C/O Refi  Full           325,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58894221    335,224.00    335,224.00  Purchase  Full           444,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 58930827    169,920.00    169,919.95  Purchase  Full           215,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58937988    144,000.00    143,929.51  Purchase  Full           190,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 58969643    164,610.00    164,610.00  Purchase  Full           188,500.00   9/1/2010   11.375   2.75       2    2.75  1 YR CMT
 58996612    156,750.00    156,311.70  Purchase  Full           170,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59017541    559,500.00    559,500.00  R/T Refi  Full           709,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59043158    490,400.00    485,811.03  Purchase  Full           613,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59043604    240,300.00    216,300.00  C/O Refi  Full           428,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59092817    287,920.00    285,815.58  Purchase  Full           360,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59108522    175,410.00    175,410.00  Purchase  Full           200,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
 59117564    131,120.00    131,120.00  Purchase  Asset Only     164,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59136754    157,520.00    157,520.00  Purchase  Full           196,900.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 59137836    138,510.00    138,510.00  Purchase  Full           154,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 59150169    344,000.00    344,000.00  C/O Refi  Full           430,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59232306    413,500.00    413,500.00  R/T Refi  Full           461,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59236174    850,000.00    850,000.00  C/O Refi  Asset Only   1,325,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59379131    220,000.00    220,000.00  Purchase  Full           315,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59395798    206,400.00    206,383.61  Purchase  Full           258,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59413476    135,189.00    135,189.00  Purchase  Full           178,000.00  10/1/2010    11.25   2.75       2    2.75  1 YR CMT
 59430009    446,500.00    446,500.00  Purchase  Asset Only     480,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59458679    525,000.00    525,000.00  Purchase  Asset Only     731,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
 59473082    220,000.00    219,950.25  Purchase  Full           435,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59521336    131,520.00    131,487.73  Purchase  Full           164,400.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59580654    254,300.00    254,300.00  Purchase  Asset Only     280,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59585257    442,033.00    439,359.37  Purchase  Asset Only     481,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
 59620773    240,000.00    240,000.00  Purchase  Asset Only     253,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59656165    300,000.00    300,000.00  C/O Refi  Full           400,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 59677344    440,794.00    440,683.80  Purchase  Full           570,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 59700575  1,450,000.00  1,450,000.00  R/T Refi  Full         2,300,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59725127     99,000.00     98,976.27  Purchase  Full           110,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 59763565    155,610.00    155,610.00  Purchase  Full           223,500.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
 59765206    150,883.00    150,883.00  Purchase  Full           189,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59782607    420,000.00    420,000.00  C/O Refi  Asset Only     560,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59806257    207,000.00    207,000.00  R/T Refi  Full           240,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59811406    368,000.00    368,000.00  Purchase  Full           460,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59843854    213,475.00    213,475.00  Purchase  Full           277,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59881094    254,300.00    254,113.29  Purchase  Asset Only     275,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59895003    124,000.00    124,000.00  Purchase  Full           156,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59907683    204,000.00    203,940.31  C/O Refi  Full           255,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59924357    113,200.00    113,200.00  Purchase  Full           141,500.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 59962167    180,000.00    180,000.00  Purchase  Full           200,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
 59976936    229,200.00    229,150.81  Purchase  Full           301,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
 59979153    490,000.00    490,000.00  C/O Refi  Asset Only     655,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 60031234    169,489.00    169,489.00  Purchase  Full           202,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60036423  4,500,000.00  4,500,000.00  C/O Refi  Full         7,500,000.00   4/1/2011   11.125   2.75       2    2.75  1 YR CMT
 60059235    476,000.00    476,000.00  Purchase  Full           640,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60081189    100,000.00     75,000.00  Purchase  Asset Only     325,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60085628    383,200.00    383,200.00  Purchase  Full           532,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60086212    386,925.00    384,073.07  Purchase  Full           516,000.00  11/1/2010     11.5   2.75       2    2.75  1 YR CMT
 60093853    332,000.00    332,000.00  C/O Refi  Full           415,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60097318    600,000.00    600,000.00  Purchase  Full           760,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60146289    276,000.00    276,000.00  Purchase  Full           345,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
 60167202    148,800.00    148,800.00  Purchase  Full           186,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60177433    349,000.00    348,847.61  C/O Refi  Full           500,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60184801    557,100.00    557,100.00  Purchase  Full           621,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60199973    268,000.00    268,000.00  Purchase  Full           335,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60212123    450,000.00    405,277.32  Purchase  Asset Only     692,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60232758    500,000.00    500,000.00  C/O Refi  Full           790,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
 60242211    195,000.00    191,044.75  R/T Refi  Full           360,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60256401    183,200.00    183,001.33  Purchase  Full           231,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60265501    141,137.00    141,137.00  Purchase  Full           185,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60294006    430,400.00    428,900.00  Purchase  Full           538,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60294493  1,000,000.00    993,253.44  Purchase  Asset Only   2,140,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
 60307501    360,000.00    360,000.00  R/T Refi  Asset Only     450,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60319597    366,415.00    366,415.00  Purchase  Full           390,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60322781    160,000.00    160,000.00  C/O Refi  Full           235,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60325719    395,960.00    395,960.00  Purchase  Full           495,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60330685    461,600.00    461,600.00  C/O Refi  Full           577,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
 60332186  1,975,000.00  1,975,000.00  Purchase  Full         2,760,000.00   2/1/2011       11   2.75       2    2.75  1 YR CMT
 60347556  1,400,000.00  1,400,000.00  Purchase  Asset Only   2,010,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60354404    270,000.00    269,933.91  C/O Refi  Asset Only     360,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60365152    137,650.00    137,650.00  Purchase  Full           175,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60385622    484,000.00    484,000.00  Purchase  Full           605,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
 60412079  1,000,000.00    999,999.83  R/T Refi  Full         1,425,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60417896  1,000,000.00    994,972.42  C/O Refi  Asset Only   4,500,000.00   2/1/2011       11   2.75       2    2.75  1 YR CMT
 60427341    396,000.00    395,919.83  Purchase  Full           500,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
 60443173    780,000.00    780,000.00  Purchase  Full         1,200,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
 60446812    124,800.00    124,800.00  Purchase  Full           163,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60460581    147,789.00    146,922.56  Purchase  Asset Only     156,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60474541    179,910.00    179,910.00  Purchase  Full           200,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60475944    522,250.00    522,250.00  Purchase  Full           655,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60506458    405,994.00    405,994.00  Purchase  Full           490,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60511383  2,000,000.00  1,509,791.67  Purchase  Full         2,900,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60521473    400,000.00    399,787.53  C/O Refi  Full           583,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
 60542438    248,000.00    248,000.00  C/O Refi  Full           350,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60547577     99,810.00     99,810.00  Purchase  Asset Only     217,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60547726    392,900.00    392,900.00  Purchase  Asset Only     815,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60548328    220,400.00    220,238.18  Purchase  Full           282,000.00  11/1/2010   10.875   2.25       2    2.75  1 YR CMT
 60552791    460,000.00    460,000.00  C/O Refi  Full           575,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 60553757    438,640.00    438,640.00  Purchase  Asset Only     581,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60557766  1,387,500.00  1,387,500.00  Purchase  Full         1,850,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60560026    340,000.00    340,000.00  Purchase  Full           457,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60567989    213,580.00    212,758.97  Purchase  Full           267,500.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60591781    167,670.00    167,670.00  Purchase  Full           188,000.00  12/1/2010     11.5   2.75       2    2.75  1 YR CMT
 60615325    465,750.00    465,750.00  C/O Refi  Full           621,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
 60620341    190,400.00    190,399.14  Purchase  Full           238,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60625464    249,587.00    249,587.00  Purchase  Asset Only     264,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60627452    157,160.00    157,159.91  Purchase  Full           207,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
 60639234    500,000.00    500,000.00  Purchase  Full           625,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 60641289    920,000.00    919,319.25  Purchase  Full         1,150,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60642329    800,000.00    800,000.00  C/O Refi  Full         1,300,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 60669637    436,000.00    435,994.78  R/T Refi  Full           545,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60675337    132,000.00    132,000.00  Purchase  Full           165,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60683307    580,000.00    580,000.00  Purchase  Full           729,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 60703287    450,000.00    449,000.00  C/O Refi  Full           600,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60714995    312,750.00    312,666.93  C/O Refi  Full           417,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
 60719499  1,000,000.00  1,000,000.00  R/T Refi  Asset Only   1,550,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 60739711    376,000.00    376,000.00  Purchase  Full           480,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60768728    632,000.00    631,690.62  Purchase  Full           844,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60768926    260,000.00    259,898.17  C/O Refi  Full           337,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60794294    423,200.00    423,200.00  Purchase  Full           531,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
 60798444  2,060,000.00     31,686.69  Purchase  Asset Only   2,575,000.00   1/1/2011   11.375   2.75       2    2.75  1 YR CMT
 60813797    399,600.00    399,600.00  Purchase  Full           505,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60836442    800,000.00    674,632.82  Purchase  Full         1,040,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60840626    408,000.00    408,000.00  Purchase  Asset Only     510,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60845682    164,000.00    164,000.00  Purchase  Full           205,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60846987    259,400.00    259,400.00  Purchase  Full           288,300.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
 60851029    144,720.00    143,823.82  Purchase  Asset Only     183,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60855095    480,000.00    480,000.00  Purchase  Full           605,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
 60858636    168,450.00    168,450.00  Purchase  Full           211,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60861523  4,950,000.00  4,950,000.00  Purchase  Full         9,000,000.00   2/1/2011       11   2.75       2    2.75  1 YR CMT
 60877776    510,000.00    510,000.00  C/O Refi  Full           925,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 60970217     88,000.00     87,970.20  Purchase  Full           110,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61009171  2,500,000.00  2,500,000.00  Purchase  Full         4,200,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61009213    345,000.00    345,000.00  C/O Refi  Full           509,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61011318    384,000.00    384,000.00  C/O Refi  Full           482,500.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61025557    400,000.00    400,000.00  C/O Refi  Full           600,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61026969    150,210.00    150,210.00  Purchase  Full           180,000.00   1/1/2011   11.625   2.75       2    2.75  1 YR CMT
 61037107    316,000.00    315,433.92  C/O Refi  Full           395,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61044715    230,400.00    230,400.00  R/T Refi  Full           288,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61049524    132,600.00    132,600.00  Purchase  Full           166,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61052569    576,935.00    576,935.00  Purchase  Full           610,000.00  12/1/2010     11.5   2.75       2    2.75  1 YR CMT
 61055257    152,955.00    152,955.00  Purchase  Full           205,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61088514    136,000.00    135,800.00  Purchase  Full           174,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61099016  1,000,000.00  1,000,000.00  Purchase  Full         1,515,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61105458    476,172.00    476,172.00  Purchase  Full           611,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
 61105615    140,000.00    139,978.02  R/T Refi  Full           175,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61113486    250,000.00    250,000.00  Purchase  Asset Only     482,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61114799  1,640,000.00  1,640,000.00  Purchase  Asset Only   2,050,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
 61139929    499,999.00    499,999.00  Purchase  Asset Only     640,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
 61140133    119,225.00    119,223.31  Purchase  Full           126,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61142337    546,905.00    543,387.38  Purchase  Asset Only     610,000.00  12/1/2010     11.5   2.75       2    2.75  1 YR CMT
 61143558    104,800.00    104,800.00  Purchase  Full           131,000.00   1/1/2011   11.375   2.75       2    2.75  1 YR CMT
 61145819    188,000.00    188,000.00  C/O Refi  Full           235,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61145835    167,650.00    167,650.00  C/O Refi  Full           187,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61156725  1,347,500.00  1,347,500.00  Purchase  Asset Only   1,925,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
 61163457    232,000.00    232,000.00  C/O Refi  Full           290,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61181962  1,600,000.00  1,600,000.00  C/O Refi  Asset Only   2,209,000.00   1/1/2011     11.5   2.75       2    2.75  1 YR CMT
 61183166  1,942,500.00  1,942,500.00  Purchase  Full         2,775,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
 61198669    155,960.00    155,960.00  Purchase  Full           195,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61215158    567,000.00    566,500.00  R/T Refi  Full           675,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61220265    485,000.00    485,000.00  Purchase  Asset Only     616,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61223046  1,540,000.00  1,540,000.00  C/O Refi  Asset Only   2,200,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61234506    136,560.00    136,560.00  Purchase  Full           184,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61235438    208,000.00    208,000.00  R/T Refi  Full           260,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61242285    906,750.00    906,750.00  Purchase  Asset Only   1,525,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
 61257119    434,000.00    434,000.00  Purchase  Full           591,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
 61272688    440,000.00    440,000.00  C/O Refi  Full           550,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
 61289666    295,000.00    295,000.00  R/T Refi  Full           430,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61296406    501,000.00    501,000.00  Purchase  Asset Only     595,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
 61296679    750,000.00    750,000.00  R/T Refi  Asset Only   2,000,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
 61300075    135,880.00    135,880.00  Purchase  Full           170,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
 61330569    443,000.00    443,000.00  R/T Refi  Full           650,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
 61336079    552,800.00    552,800.00  R/T Refi  Full           694,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61370516    247,065.00    247,065.00  Purchase  Full           360,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
 61371605    536,000.00    536,000.00  Purchase  Full           680,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
 61380895    427,890.00    427,890.00  Purchase  Full           521,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
 61383725    540,000.00    540,000.00  C/O Refi  Full         1,600,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61385282    208,000.00    207,621.30  Purchase  Full           219,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61408175    633,750.00    633,750.00  C/O Refi  Asset Only     845,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61422051    600,000.00    600,000.00  Purchase  Asset Only   2,200,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
 61423034    135,200.00    135,200.00  R/T Refi  Full           169,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61425617    567,925.00    567,925.00  Purchase  Full           775,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
123215857    216,000.00    216,000.00  Purchase  Full           270,000.00  10/1/2007   10.875   2.75       2    2.75  1 YR CMT
128298064    393,300.00    377,077.48  Purchase  AUS            414,000.00   6/1/2008   10.875   2.25       2    2.25  1 YR LIBOR
137793824    444,000.00    444,000.00  Purchase  Full           555,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138066287    264,426.00    263,834.81  Purchase  Full           331,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138220074    271,000.00    270,300.00  C/O Refi  Asset Only     470,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138383351    212,325.00    212,272.24  Purchase  Asset Only     224,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
138384136    304,500.00    303,422.34  Purchase  Full           400,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138397229    233,088.00    233,088.00  Purchase  AUS            261,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138417381    176,500.00    176,448.92  Purchase  Full           229,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138452396    358,400.00    357,561.69  Purchase  Full           448,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
138452768    335,000.00    326,218.57  R/T Refi  Income Only    456,000.00   7/1/2009   10.875   2.25       2    2.25  1 YR LIBOR
138456116    270,000.00    269,999.95  Purchase  Full           300,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138545827    612,000.00    612,000.00  Purchase  Full           800,000.00   7/1/2009   10.875   2.75       2    2.75  1 YR CMT
138618848    338,100.00    338,100.00  Purchase  Full           570,000.00   9/1/2009   10.875   2.75       2    2.75  1 YR CMT
138624986    139,600.00    139,600.00  Purchase  Full           179,000.00   9/1/2009   10.875   2.75       2    2.75  1 YR CMT
138738554     97,000.00     96,976.25  C/O Refi  Full           195,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
138783097    292,000.00    292,000.00  Purchase  Full           365,000.00  10/1/2009   10.875   2.75       2    2.75  1 YR CMT
138848445    187,500.00    182,981.39  Purchase  Asset Only     250,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
138849849    159,500.00    159,484.32  Purchase  Full           177,500.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
138887757     64,400.00     64,300.36  Purchase  Full            81,000.00   8/1/2009   10.875   2.75       2    2.75  1 YR CMT
138977822    350,075.00    341,805.61  Purchase  Full           389,500.00   9/1/2009   10.875   2.25       2    2.25  1 YR LIBOR
141463018    280,725.00    280,725.00  Purchase  Asset Only     300,000.00   1/1/2010   10.875   2.75       2    2.75  1 YR CMT
141501072     85,990.00     85,990.00  Purchase  AUS            108,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
141802793    116,970.00    116,970.00  Purchase  Asset Only     168,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
142245745    239,200.00    237,757.43  Purchase  Full           266,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
142287044    850,000.00    845,856.28  C/O Refi  Full         2,100,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
142327048    110,000.00    109,699.63  Purchase  AUS            140,000.00   2/1/2010   10.875   2.75       2    2.75  1 YR CMT
142352582    425,000.00    424,893.75  C/O Refi  Asset Only     900,000.00   6/1/2010       11   2.75       2    2.75  1 YR CMT
142446996    373,500.00    368,964.95  Purchase  Full           415,000.00   6/1/2010     11.5   2.25       2    2.25  1 YR LIBOR
142580257    650,000.00    641,127.12  C/O Refi  Asset Only     875,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
142612415    109,250.00    109,216.18  Purchase  Full           116,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
142628684     71,250.00     71,231.77  Purchase  AUS             76,000.00   3/1/2010   10.875   2.75       2    2.75  1 YR CMT
142704048    453,342.00    449,753.36  R/T Refi  Income Only    770,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
142705375    289,750.00    289,750.00  Purchase  Full           310,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
142708908    216,800.00    216,739.53  Purchase  Full           272,000.00   3/1/2010   10.875   2.75       2    2.75  1 YR CMT
142838531    238,500.00    238,500.00  Purchase  Full           290,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
142946979    254,280.00    254,171.29  Purchase  Asset Only     270,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
142994219    409,735.00    409,735.00  Purchase  AUS            513,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
142995182    385,000.00    385,000.00  Purchase  Full           485,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143044949    199,920.00    199,899.47  Purchase  Full           250,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143077519    525,000.00    525,000.00  C/O Refi  Asset Only     707,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143102093    712,500.00    712,500.00  C/O Refi  Asset Only     950,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143135168    106,080.00    106,066.85  Purchase  Full           138,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143161198    422,750.00    417,558.60  Purchase  Asset Only     445,000.00   7/1/2010       11   2.75       2    2.75  1 YR CMT
143165355    490,500.00    485,479.54  Purchase  Asset Only     545,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
143176907    240,000.00    238,702.44  Purchase  Asset Only     359,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143180701    171,000.00    170,885.52  C/O Refi  Income Only    245,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143194645    650,000.00    640,420.97  C/O Refi  Asset Only   1,100,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143201689    193,943.00    193,943.00  Purchase  Full           207,500.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143219855    468,000.00    468,000.00  Purchase  Asset Only     585,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143247393    420,000.00    419,897.19  R/T Refi  Income Only    561,500.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143260909    101,600.00    101,575.13  Purchase  Full           127,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143261253    156,000.00    156,000.00  Purchase  Asset Only     205,400.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143298792    148,720.00    148,720.00  R/T Refi  Asset Only     188,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143338135    412,500.00    412,500.00  C/O Refi  Asset Only     550,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143341378    401,350.00    401,350.00  Purchase  Asset Only     510,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143343341    316,000.00    316,000.00  Purchase  Full           395,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143369056    129,901.00    129,901.00  Purchase  Asset Only     165,500.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143386894    255,000.00    251,241.98  C/O Refi  Asset Only     464,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143386936    456,000.00    456,000.00  Purchase  Asset Only     480,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143398642    232,750.00    232,750.00  Purchase  Asset Only     246,500.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143402113    400,000.00    400,000.00  Purchase  Asset Only     500,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143405306    243,000.00    243,000.00  Purchase  AUS            275,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143412377    131,068.00    131,058.88  Purchase  Full           138,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143421162    420,000.00    420,000.00  C/O Refi  Asset Only     561,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143438927    175,550.00    175,314.80  Purchase  Asset Only     219,500.00   4/1/2010     10.5   2.75       2    2.75  1 YR CMT
143441988    424,000.00    419,187.86  C/O Refi  Full           530,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143445229    425,000.00    425,000.00  C/O Refi  Asset Only     680,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143459519    152,450.00    132,218.22  R/T Refi  Asset Only     195,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143460111    250,000.00    249,938.73  R/T Refi  Asset Only     265,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143468494    416,000.00    416,000.00  C/O Refi  Asset Only     550,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143469211    232,000.00    232,000.00  R/T Refi  Asset Only     294,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143474484    261,880.00    261,714.22  Purchase  Full           303,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143478469    500,000.00    497,101.39  C/O Refi  Asset Only   1,300,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143511574    239,920.00    239,905.93  Purchase  Full           301,500.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143513604    131,350.00    131,350.00  Purchase  Full           165,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143530343    220,000.00    219,933.40  C/O Refi  AUS            275,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143532828    272,800.00    271,859.67  Purchase  AUS            352,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143539583    467,028.00    463,645.53  Purchase  Asset Only     600,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
143543742    397,800.00    391,937.64  Purchase  AUS            448,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143553915    500,000.00    499,081.86  Purchase  Full           664,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143558088    391,000.00    391,000.00  Purchase  AUS            489,996.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143563567    179,600.00    179,305.75  R/T Refi  Full           235,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143580595    183,255.00    183,210.00  Purchase  Asset Only     200,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143591089    449,910.00    439,929.36  Purchase  AUS            500,000.00   5/1/2010       11   2.75       2    2.75  1 YR CMT
143591238    340,000.00    340,000.00  C/O Refi  Asset Only     900,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143593994  1,500,000.00  1,500,000.00  Purchase  Full         2,050,000.00   4/1/2010   11.125   2.75       2    2.75  1 YR CMT
143596096    540,000.00    540,000.00  C/O Refi  Full           675,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143601961    145,600.00    145,585.03  R/T Refi  Full           182,000.00   4/1/2010   10.875   2.75       2    2.75  1 YR CMT
143631604    186,400.00    186,396.25  Purchase  Full           235,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143646537    508,000.00    508,000.00  Purchase  Full           650,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143652022    440,000.00    440,000.00  Purchase  Full           550,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143653293    426,000.00    425,398.40  R/T Refi  Asset Only     540,000.00   5/1/2010   11.125   2.75       2    2.75  1 YR CMT
143661007    451,920.00    451,920.00  Purchase  Asset Only     590,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143674026    892,500.00    892,500.00  C/O Refi  Asset Only   1,275,000.00   5/1/2010   11.125   2.75       2    2.75  1 YR CMT
143674661    635,000.00    634,999.90  C/O Refi  Full           794,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143678043    375,000.00    375,000.00  C/O Refi  Asset Only     635,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143682425    650,000.00    640,420.97  C/O Refi  Asset Only     900,000.00   5/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
143693588    285,000.00    285,000.00  Purchase  Asset Only     391,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143696706    460,000.00    460,000.00  Purchase  Asset Only     575,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143707479    292,000.00    290,608.67  Purchase  Asset Only     365,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143731677    424,900.00    422,628.67  Purchase  Full           607,000.00   5/1/2010   11.125   2.75       2    2.75  1 YR CMT
143732006    389,500.00    389,406.93  C/O Refi  AUS            489,434.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143739761    405,000.00    405,000.00  C/O Refi  Asset Only     530,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143740827    564,000.00    564,000.00  C/O Refi  Asset Only     765,000.00   5/1/2010       11   2.75       2    2.75  1 YR CMT
143743763    180,800.00    180,651.00  Purchase  Full           230,000.00   5/1/2010       11   2.75       2    2.75  1 YR CMT
143753119    469,300.00    469,018.24  Purchase  Full           500,000.00   6/1/2010       11   2.75       2    2.75  1 YR CMT
143757805    499,000.00    491,986.11  Purchase  Full           549,000.00   6/1/2010     11.5   2.75       2    2.75  1 YR CMT
143762482    430,000.00    429,725.00  C/O Refi  Full           575,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143767788    488,000.00    488,000.00  Purchase  Asset Only     610,000.00   5/1/2010       11   2.75       2    2.75  1 YR CMT
143778702    135,918.00    135,918.00  Purchase  AUS            218,500.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143787844    244,000.00    244,000.00  Purchase  Full           305,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143791051    276,000.00    276,000.00  Purchase  Full           345,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143798924    263,900.00    263,900.00  Purchase  AUS            330,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
143806461    528,000.00    528,000.00  Purchase  AUS            660,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143806511    211,500.00    210,718.72  R/T Refi  Asset Only     240,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143821346    112,000.00    111,473.77  Purchase  AUS            143,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143832715    252,000.00    252,000.00  C/O Refi  Full           315,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143834406    156,000.00    156,000.00  C/O Refi  Full           195,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143840882    172,000.00    170,047.04  R/T Refi  Asset Only     215,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143855658    999,500.00    999,499.80  R/T Refi  Full         1,300,000.00   5/1/2010   11.125   2.75       2    2.75  1 YR CMT
143856219    499,200.00    499,200.00  Purchase  Asset Only     624,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143872638    358,400.00    358,400.00  Purchase  Full           450,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143877249    199,870.00    199,870.00  Purchase  Asset Only     211,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143877595    175,950.00    175,950.00  Purchase  Full           220,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143883106    114,000.00    113,416.74  Purchase  AUS            151,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143886075    480,000.00    478,857.25  R/T Refi  Asset Only     605,000.00   5/1/2010       11   2.75       2    2.75  1 YR CMT
143892354    367,500.00    367,500.00  C/O Refi  Asset Only     525,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143892743    388,000.00    388,000.00  C/O Refi  AUS            495,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143897015    472,500.00    472,500.00  C/O Refi  Full           630,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143898559    502,500.00    502,376.99  Purchase  Asset Only     670,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143899045    197,600.00    197,600.00  Purchase  AUS            251,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143912111    239,200.00    239,200.00  Purchase  Asset Only     324,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143936284    168,000.00    168,000.00  C/O Refi  AUS            210,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
143965721    419,200.00    419,200.00  Purchase  Asset Only     525,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
143989283    294,500.00    294,499.99  Purchase  AUS            310,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
144026242    648,750.00    648,750.00  C/O Refi  Full           865,000.00   6/1/2010       11   2.75       2    2.75  1 YR CMT
144033727    270,000.00    270,000.00  Purchase  Full           350,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144052248    231,920.00    231,920.00  Purchase  AUS            386,500.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144064375    101,300.00    101,300.00  Purchase  Asset Only     129,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144074812    119,700.00    119,700.00  Purchase  Asset Only     127,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144099025    120,400.00    120,113.03  Purchase  Asset Only     152,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144102837    437,500.00    432,545.91  R/T Refi  Asset Only     625,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
144108735    215,917.00    215,917.00  Purchase  AUS            385,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144114246    296,720.00    295,840.00  Purchase  Asset Only     371,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144135217    210,000.00    210,000.00  Purchase  Full           263,000.00   5/1/2010   10.875   2.75       2    2.75  1 YR CMT
144159217    356,000.00    355,747.51  C/O Refi  Asset Only   1,010,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144161908     83,125.00     82,930.29  Purchase  AUS             87,500.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144163326    358,875.00    358,875.00  Purchase  Asset Only     480,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144168069    450,000.00    450,000.00  C/O Refi  Asset Only     600,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144221538    562,500.00    554,821.59  C/O Refi  Asset Only     750,000.00   6/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
144368776    168,000.00    168,000.00  Purchase  Full           215,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144371895    455,120.00    455,120.00  Purchase  Full           575,000.00  10/1/2010       11   2.25       2    2.25  1 YR LIBOR
144377066    474,953.00    465,372.41  Purchase  Full           500,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144380797    252,800.00    252,800.00  Purchase  Full           316,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144391976    367,500.00    367,239.92  C/O Refi  AUS            518,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144452059    333,500.00    332,518.36  R/T Refi  Asset Only     385,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144456548    208,000.00    207,898.18  Purchase  Full           261,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144467891    418,320.00    406,313.13  Purchase  AUS            523,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144476447    450,000.00    450,000.00  C/O Refi  Asset Only     590,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144516291    243,889.00    243,829.30  Purchase  Full           265,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144519485    360,000.00    360,000.00  C/O Refi  Asset Only     450,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144524162    328,000.00    326,892.86  C/O Refi  Full           410,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144534161    280,000.00    280,000.00  R/T Refi  Full           367,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144541679    190,000.00    189,969.36  Purchase  Asset Only     240,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144560323    360,000.00    360,000.00  R/T Refi  Asset Only     450,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144572567    400,000.00    400,000.00  Purchase  AUS            503,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144575933    270,000.00    269,954.80  C/O Refi  Full           338,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144584927    197,210.00    197,210.00  Purchase  Asset Only     250,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144626991    488,000.00    487,989.17  R/T Refi  Full           640,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144630761    237,300.00    237,300.00  Purchase  Asset Only     302,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144635315    376,000.00    371,273.82  Purchase  Asset Only     470,000.00   7/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
144640745    119,600.00    119,558.88  C/O Refi  Full           174,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144715596    322,000.00    321,958.56  C/O Refi  Asset Only     460,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144720315    134,048.00    134,048.00  C/O Refi  Asset Only     192,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
144723269    544,000.00    544,000.00  C/O Refi  AUS            727,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144755048    520,000.00    519,999.32  R/T Refi  Asset Only     800,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144773025    617,100.00    616,274.15  Purchase  Full           807,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144807526    650,000.00    650,000.00  R/T Refi  Asset Only     900,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
144845278    223,200.00    223,145.36  Purchase  Asset Only     280,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144854098    439,798.00    439,434.86  Purchase  Asset Only     550,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144911401    520,000.00    519,872.71  C/O Refi  Asset Only     650,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
144956455    493,000.00    492,879.32  R/T Refi  Asset Only     620,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
144971124    400,000.00    400,000.00  C/O Refi  Asset Only     500,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
145011417    168,000.00    167,535.09  Purchase  Asset Only     215,000.00   6/1/2010   10.875   2.75       2    2.75  1 YR CMT
145056057    356,350.00    356,350.00  Purchase  Full           450,000.00   7/1/2010   10.625   2.75       2    2.75  1 YR CMT
145145967    423,900.00    418,571.79  Purchase  Asset Only     471,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
145154704    390,400.00    390,400.00  Purchase  Full           488,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
145165601    179,250.00    179,250.00  C/O Refi  Asset Only     239,000.00   7/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
145245163    546,000.00    542,858.03  Purchase  Full           917,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
145299855    478,400.00    478,282.89  C/O Refi  Asset Only     598,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
145355384    214,605.00    214,604.70  Purchase  Asset Only     271,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
145413746    406,800.00    402,559.85  Purchase  Full           452,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
145472882    121,125.00    121,125.00  Purchase  AUS            128,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
145528204    399,900.00    399,900.00  Purchase  Full           500,000.00   7/1/2010   10.875   2.75       2    2.75  1 YR CMT
145553764    999,999.00    999,999.00  Purchase  Asset Only   1,405,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145579678    441,000.00    435,931.24  Purchase  Asset Only     490,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145598215    367,700.00    367,700.00  C/O Refi  Asset Only     492,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
145598264    327,750.00    327,750.00  Purchase  Asset Only     345,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
145610994    576,000.00    573,304.01  Purchase  Full           640,000.00   2/1/2011   11.375   2.75       2    2.75  1 YR CMT
145671848    663,375.00    663,375.00  C/O Refi  Asset Only     884,500.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145677522    118,400.00    118,190.81  Purchase  Asset Only     155,500.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145695367    287,000.00    287,000.00  R/T Refi  AUS            420,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145703732    525,000.00    525,000.00  C/O Refi  Full           700,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145737318    367,920.00    363,010.18  Purchase  Full           477,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145760708    129,200.00    129,168.37  Purchase  Asset Only     162,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145816567    464,500.00    464,147.12  R/T Refi  Asset Only     675,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
145944526    422,000.00    421,602.47  Purchase  Asset Only     536,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
145945713    476,000.00    476,000.00  Purchase  Full           595,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
145946612    208,000.00    208,000.00  Purchase  Asset Only     260,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145960928    155,200.00    155,200.00  R/T Refi  AUS            194,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
145961009    100,000.00     99,931.15  Purchase  Asset Only     115,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146011457    288,000.00    288,000.00  Purchase  Full           320,000.00   8/1/2010       11   2.75       2    2.75  1 YR CMT
146049036    376,000.00    371,976.87  C/O Refi  Asset Only     615,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146071816    116,400.00    116,343.66  Purchase  Asset Only     148,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146081914    543,900.00    537,764.53  R/T Refi  Asset Only     690,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146084074    142,400.00    142,400.00  Purchase  Asset Only     180,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146097704    230,000.00    229,995.12  C/O Refi  Full           288,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146108873    418,500.00    417,609.00  Purchase  AUS            540,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146129499     75,050.00     75,050.00  Purchase  Asset Only      79,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146146667    427,500.00    427,500.00  C/O Refi  Asset Only     570,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
146156716    427,500.00    425,649.49  R/T Refi  Asset Only     570,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146164207    160,680.00    160,680.00  Purchase  Asset Only     201,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146171384    329,500.00    328,883.24  C/O Refi  Asset Only     507,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146185277    340,000.00    340,000.00  C/O Refi  Asset Only     455,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146189147    980,000.00    980,000.00  C/O Refi  Asset Only   1,400,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146197223    999,999.00    999,831.81  C/O Refi  Full         1,625,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146215546    487,500.00    487,500.00  C/O Refi  Asset Only     650,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146236179    412,000.00    412,000.00  Purchase  Asset Only     515,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146246434    188,000.00    188,000.00  C/O Refi  Asset Only     235,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146264486    544,000.00    544,000.00  C/O Refi  AUS            680,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146272034    312,000.00    312,000.00  R/T Refi  Asset Only     390,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146272901    391,000.00    391,000.00  C/O Refi  AUS            635,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146275623    430,000.00    430,000.00  Purchase  Asset Only     510,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146276316    498,000.00    497,991.96  C/O Refi  Asset Only     665,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146283999    176,000.00    174,165.53  C/O Refi  Asset Only     240,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146291695    128,080.00    128,080.00  Purchase  Full           161,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146296603    300,400.00    300,270.24  Purchase  Asset Only     392,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146302385    172,000.00    171,998.16  Purchase  Asset Only     221,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146303482    439,200.00    434,622.15  Purchase  AUS            549,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146309307    359,000.00    358,824.26  C/O Refi  Full           460,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146313267    136,000.00    136,000.00  Purchase  Asset Only     170,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146316716    168,000.00    167,998.39  C/O Refi  Asset Only     220,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146319827    780,000.00    779,543.15  C/O Refi  Asset Only   1,142,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146331699    388,000.00    383,955.83  Purchase  AUS            485,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146332879    272,000.00    272,000.00  Purchase  Full           355,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146337605    274,500.00    274,500.00  C/O Refi  AUS            370,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146342118    316,000.00    313,727.97  R/T Refi  Asset Only     395,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146342886    825,000.00    823,119.43  C/O Refi  Asset Only   1,100,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146348743    219,200.00    219,200.00  Purchase  AUS            313,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146350475    500,000.00    498,909.28  Purchase  AUS            735,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146380126  1,000,000.00  1,000,000.00  Purchase  Asset Only   1,562,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146384375    600,000.00    600,000.00  C/O Refi  AUS            950,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146392378     71,680.00     71,651.45  Purchase  Full            95,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146393939    562,000.00    562,000.00  C/O Refi  Asset Only     750,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146410261    348,000.00    348,000.00  C/O Refi  Full           435,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146412077    464,000.00    464,000.00  C/O Refi  Asset Only     580,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146421706    285,000.00    285,000.00  Purchase  Full           300,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146433305    532,500.00    531,700.65  R/T Refi  Full           710,000.00  10/1/2010       11   2.25       2    2.25  1 YR LIBOR
146444633    377,000.00    376,725.00  Purchase  Asset Only     527,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146451927    162,108.00    162,108.00  Purchase  Full           203,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146456686    446,000.00    446,000.00  R/T Refi  Asset Only     600,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146457361    159,000.00    123,603.20  C/O Refi  AUS            310,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146458278    390,000.00    389,309.37  R/T Refi  Full           600,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146461413    445,250.00    445,250.00  C/O Refi  Full           685,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146462114    595,000.00    595,000.00  C/O Refi  Asset Only   1,200,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146462346    533,250.00    533,250.00  Purchase  Full           592,500.00   9/1/2010    11.25   2.75       2    2.75  1 YR CMT
146469234    243,200.00    241,812.54  C/O Refi  Full           304,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146472071    203,920.00    203,920.00  Purchase  Full           260,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146472121    436,000.00    431,455.49  Purchase  Full           545,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146473822    467,920.00    466,616.81  Purchase  Asset Only     589,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146480181    504,000.00    504,000.00  Purchase  Asset Only     630,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146480645    715,000.00    715,000.00  C/O Refi  Asset Only   1,100,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146481866    400,000.00    400,000.00  C/O Refi  AUS            500,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146482708    500,625.00    500,624.09  C/O Refi  Full           667,500.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146483268    528,000.00    527,995.62  C/O Refi  Asset Only     705,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146483284    630,000.00    629,834.37  C/O Refi  Full           905,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146485669    320,000.00    320,000.00  Purchase  AUS            409,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146505375    135,200.00    135,200.00  Purchase  Full           170,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146506613    236,000.00    236,000.00  Purchase  Full           295,000.00   8/1/2010   10.875   2.75       2    2.75  1 YR CMT
146508601    473,000.00    473,000.00  C/O Refi  Full           730,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146509153    452,000.00    452,000.00  C/O Refi  Asset Only     575,000.00  10/1/2010   11.625   2.75       2    2.75  1 YR CMT
146520879    263,920.00    263,920.00  Purchase  Full           343,500.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
146522826    440,000.00    440,000.00  Purchase  Full           550,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146546544    450,000.00    449,605.28  C/O Refi  Asset Only     730,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146556949    475,000.00    473,746.09  C/O Refi  Asset Only     770,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146561113    165,000.00    160,993.33  C/O Refi  Asset Only     500,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146567698    240,000.00    240,000.00  C/O Refi  Asset Only     350,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146569744    488,000.00    488,000.00  Purchase  AUS            610,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146577911    488,000.00    487,097.99  Purchase  Full           620,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146581608    664,000.00    664,000.00  Purchase  Full           850,000.00   9/1/2010       11   2.25       2    2.25  1 YR LIBOR
146587001    403,250.00    403,250.00  Purchase  Asset Only     711,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146588348    440,000.00    440,000.00  Purchase  AUS            550,000.00   9/1/2010   11.375   2.75       2    2.75  1 YR CMT
146599048    256,000.00    256,000.00  R/T Refi  Full           320,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146612429    800,000.00    799,333.36  Purchase  Full         1,000,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146618319    126,000.00    126,000.00  C/O Refi  Full           180,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146636154    455,000.00    454,987.89  R/T Refi  Full           680,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
146641329    646,000.00    645,577.09  R/T Refi  Asset Only   1,050,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
146645262    498,750.00    498,750.00  C/O Refi  Asset Only     665,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
146651773    246,000.00    245,939.78  C/O Refi  AUS            330,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146655055    500,000.00    498,350.27  Purchase  Asset Only     657,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146658141    483,750.00    483,631.58  C/O Refi  Asset Only     650,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146658265    420,000.00    420,000.00  C/O Refi  Asset Only     560,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146666011    359,650.00    359,650.00  R/T Refi  Full           460,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146669528    450,000.00    450,000.00  C/O Refi  Full           600,000.00   9/1/2010       11   2.25       2    2.25  1 YR LIBOR
146679022    385,000.00    385,000.00  C/O Refi  Asset Only     540,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146684139    164,000.00    163,987.17  R/T Refi  Asset Only     218,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146685748    140,000.00    138,986.01  Purchase  AUS            180,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
146698329    580,000.00    580,000.00  C/O Refi  Asset Only     725,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
146711569    201,900.00    201,900.00  Purchase  Full           255,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146718135    610,000.00    610,000.00  C/O Refi  Asset Only     815,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146728753    179,920.00    179,875.96  Purchase  Asset Only     235,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146739453    204,660.00    204,660.00  Purchase  Full           232,000.00   9/1/2010   11.125   2.75       2    2.75  1 YR CMT
146751243    368,000.00    368,000.00  Purchase  Asset Only     460,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146754957    380,000.00    375,877.84  Purchase  AUS            520,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146762067    572,778.00    572,711.97  R/T Refi  Full           800,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
146767819    177,500.00    177,500.00  C/O Refi  Asset Only     250,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146768387    495,000.00    494,878.83  R/T Refi  Asset Only     625,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146770854    534,350.00    534,350.00  Purchase  Full           724,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146771423     75,600.00     75,526.19  Purchase  Asset Only     100,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146771795    228,000.00    228,000.00  Purchase  AUS            285,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146779228    325,600.00    325,600.00  Purchase  Asset Only     407,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146782008    131,920.00    131,920.00  Purchase  AUS            168,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146785027    431,250.00    431,250.00  Purchase  Asset Only     590,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146786645    368,000.00    367,909.92  C/O Refi  AUS            460,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146794672    483,200.00     98,797.93  Purchase  AUS            635,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146798046    553,600.00    549,947.52  Purchase  Full           692,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146800073    440,250.00    440,139.94  C/O Refi  Asset Only     587,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
146802483    440,000.00    439,284.71  Purchase  Asset Only     550,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146805296    512,000.00    512,000.00  C/O Refi  Asset Only     640,000.00   9/1/2010       11   2.25       2    2.25  1 YR LIBOR
146810387    472,500.00    472,400.00  R/T Refi  Asset Only     625,000.00   9/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
146810981    232,000.00    232,000.00  Purchase  Full           292,500.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146812185    382,232.00    380,000.00  Purchase  Full           485,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146816848    312,500.00    312,466.37  C/O Refi  Full           409,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146817739    560,000.00    557,628.93  C/O Refi  Asset Only     715,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146824636    150,000.00    150,000.00  Purchase  Full           195,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146824677    650,000.00    650,000.00  Purchase  Asset Only     905,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146829197    434,000.00    434,000.00  C/O Refi  Asset Only     625,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146837182    140,000.00    140,000.00  Purchase  Asset Only     175,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146838214    272,000.00    272,000.00  R/T Refi  Asset Only     340,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146840913    798,000.00    798,000.00  C/O Refi  Full         1,140,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146843107    266,400.00    266,400.00  Purchase  Full           333,500.00   9/1/2010    10.75   2.75       2    2.75  1 YR CMT
146855309    467,500.00    467,500.00  Purchase  Asset Only     550,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146860234    565,250.00    565,250.00  Purchase  Asset Only     595,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
146861711    272,000.00    272,000.00  Purchase  Full           342,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146864194    320,800.00    320,800.00  Purchase  Asset Only     401,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146864277    117,600.00    117,516.95  Purchase  Full           147,000.00   9/1/2010   11.125   2.75       2    2.75  1 YR CMT
146867734    528,000.00    528,000.00  C/O Refi  AUS            665,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146870043    384,000.00    384,000.00  Purchase  Full           485,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146874243    579,950.00    579,950.00  Purchase  AUS            780,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
146875687    750,000.00    750,000.00  Purchase  Full         1,240,000.00   9/1/2010    11.25   2.75       2    2.75  1 YR CMT
146875828    635,500.00    635,500.00  R/T Refi  Asset Only   1,425,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
146883699    245,000.00    244,942.42  Purchase  Asset Only     355,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146883764    342,215.00    342,214.99  Purchase  Full           428,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146885124    206,250.00    206,250.00  Purchase  Full           275,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
146901178    600,000.00    592,030.11  Purchase  Asset Only     815,000.00   9/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
146904107    111,500.00    111,494.46  Purchase  Full           140,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146909379    707,869.00    707,869.00  Purchase  Full           975,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
146916598    485,000.00    484,792.30  Purchase  AUS            635,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146917729    555,820.00    555,820.00  Purchase  Asset Only     695,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146927926    522,250.00    522,250.00  Purchase  Full           660,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146929583    486,600.00    486,600.00  Purchase  Full           693,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146932744    321,600.00    316,148.43  Purchase  AUS            415,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
146934955    360,000.00    360,000.00  C/O Refi  AUS            475,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146937743    264,000.00    264,000.00  Purchase  Full           330,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146937867    124,720.00    124,641.33  Purchase  Full           161,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146939467    800,000.00    800,000.00  C/O Refi  Full         1,200,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146940275    538,000.00    537,762.50  C/O Refi  Asset Only     775,000.00  10/1/2010   11.125   2.75       2    2.75  1 YR CMT
146940309  2,000,000.00  2,000,000.00  Purchase  Asset Only   4,300,000.00  10/1/2010    11.25   2.75       2    2.75  1 YR CMT
146940325    432,000.00    431,295.21  Purchase  Asset Only     540,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146943352    493,600.00    493,600.00  C/O Refi  Asset Only     617,000.00  10/1/2010   11.125   2.75       2    2.75  1 YR CMT
146944699    540,000.00    540,000.00  C/O Refi  Full           690,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146953096    146,000.00    146,000.00  C/O Refi  Income Only    185,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146956735    900,000.00    899,906.25  R/T Refi  Asset Only   1,600,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
146960265    500,000.00    500,000.00  C/O Refi  AUS            625,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146962956    500,000.00    494,932.84  C/O Refi  Asset Only     720,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146965801    176,000.00    175,487.25  C/O Refi  AUS            220,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
146968672    266,350.00    266,350.00  Purchase  Asset Only     333,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146969985    427,500.00    425,000.00  C/O Refi  AUS            570,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
146970892    256,000.00    255,985.03  Purchase  Full           333,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146981261    605,900.00    604,972.01  C/O Refi  Asset Only     830,000.00   9/1/2010    11.75   2.75       2    2.75  1 YR CMT
146983275    293,700.00    292,900.00  C/O Refi  AUS            398,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146985908    385,000.00    383,833.73  C/O Refi  Full           695,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146987243    276,750.00    276,750.00  C/O Refi  AUS            369,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
146987904    211,558.00    211,193.42  Purchase  Full           270,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
146989884    420,580.00    420,580.00  Purchase  Full           530,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
146999081    365,400.00    365,399.98  Purchase  Full           422,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
146999164    130,000.00    129,802.63  C/O Refi  AUS            180,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147004923    608,000.00    608,000.00  Purchase  Full           760,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147005474    211,225.00    211,225.00  Purchase  Full           225,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147009666    373,550.00    373,458.56  Purchase  Full           475,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147009831    583,200.00    583,200.00  Purchase  Full           745,000.00   9/1/2010       11   2.25       2    2.25  1 YR LIBOR
147011803    400,000.00    398,817.68  C/O Refi  Full           550,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147011886    770,000.00    770,000.00  Purchase  Asset Only   1,100,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147013155    285,600.00    285,600.00  Purchase  Full           357,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147016554    387,000.00    387,000.00  Purchase  Asset Only     451,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147018527    540,000.00    540,000.00  C/O Refi  AUS            770,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
147026785    617,500.00    617,500.00  R/T Refi  Full           740,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147036644    422,000.00    422,000.00  Purchase  Full           630,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147040307    410,000.00    409,900.00  C/O Refi  Full           635,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147050439    690,000.00    690,000.00  C/O Refi  Full           925,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147055073    477,480.00    477,480.00  Purchase  AUS            601,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147055628    164,800.00    164,800.00  Purchase  Asset Only     207,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147070205    284,375.00    284,009.53  Purchase  Full           362,500.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147074058    406,000.00    405,799.51  R/T Refi  Asset Only     620,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147081327    288,000.00    288,000.00  Purchase  AUS            364,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147081681    424,000.00    424,000.00  C/O Refi  AUS            530,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147094973    271,605.00    271,566.57  Purchase  Full           298,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147100119    380,000.00    379,887.64  Purchase  Full           475,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147104228    600,000.00    599,910.32  C/O Refi  Asset Only     800,000.00   9/1/2010   11.375   2.75       2    2.75  1 YR CMT
147105431    650,000.00    649,840.89  Purchase  Asset Only     869,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147106223    172,240.00    172,210.08  Purchase  Full           216,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147120695    152,900.00    152,862.57  Purchase  Full           235,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147123152    498,000.00    497,999.20  C/O Refi  Asset Only     875,000.00  10/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147123806    447,920.00    445,265.35  Purchase  Full           560,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147129191    193,600.00    193,155.23  Purchase  Full           242,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147135891    590,000.00    590,000.00  C/O Refi  Asset Only     950,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147146963    320,000.00    320,000.00  Purchase  Full           400,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147147078    153,918.00    153,918.00  Purchase  Asset Only     205,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147151039    645,000.00    645,000.00  C/O Refi  Asset Only     860,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147157671    190,000.00    189,353.49  C/O Refi  Asset Only     400,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147160618    600,000.00    600,000.00  Purchase  Asset Only     850,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147164982    372,000.00    372,000.00  C/O Refi  AUS            630,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147165666    510,000.00    510,000.00  C/O Refi  Asset Only     880,000.00  10/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147165922    311,000.00    311,000.00  R/T Refi  Asset Only     452,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147168496    337,600.00    337,600.00  Purchase  Asset Only     422,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147172266    515,000.00    515,000.00  Purchase  Full           675,000.00  10/1/2010   11.375   2.75       2    2.75  1 YR CMT
147181903    445,000.00    444,600.43  C/O Refi  AUS            900,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147191324    448,000.00    448,000.00  C/O Refi  Asset Only     650,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147192983     80,000.00     79,980.42  Purchase  Full           100,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147197461    260,000.00    260,000.00  C/O Refi  AUS            325,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147198055    576,000.00    576,000.00  C/O Refi  Asset Only     720,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147199434    525,000.00    518,963.95  R/T Refi  Asset Only     918,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147206908    491,650.00    491,647.02  Purchase  AUS            625,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
147212591    256,405.00    256,405.00  Purchase  Full           270,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147216113    424,000.00    424,000.00  C/O Refi  Asset Only     530,000.00  10/1/2010     11.5   2.75       2    2.75  1 YR CMT
147216899    165,000.00    165,000.00  R/T Refi  Full           210,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147217665    365,000.00    365,000.00  Purchase  AUS            565,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147226138    140,980.00    140,979.90  Purchase  Full           189,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147226625    460,000.00    455,695.42  C/O Refi  Asset Only   1,250,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147229694    438,750.00    438,750.00  C/O Refi  Income Only    585,000.00  10/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147230577    232,000.00    231,943.19  C/O Refi  Full           290,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147254544     90,400.00     90,247.92  Purchase  Full           120,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147261051    193,500.00    193,500.00  Purchase  Full           277,000.00   9/1/2010       11   2.75       2    2.75  1 YR CMT
147261176    240,800.00    240,800.00  Purchase  Full           301,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147262679    148,000.00    148,000.00  C/O Refi  AUS            185,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147272892    628,000.00    628,000.00  Purchase  Asset Only     785,000.00  11/1/2010     11.5   2.75       2    2.75  1 YR CMT
147272942    141,600.00    141,600.00  Purchase  Asset Only     177,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147274104  1,477,000.00  1,477,000.00  C/O Refi  Full         2,110,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
147280127    360,000.00    360,000.00  C/O Refi  Asset Only   1,250,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147280184    329,315.00    329,315.00  Purchase  Full           347,500.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147282669    457,000.00    456,960.92  C/O Refi  Asset Only     610,000.00   9/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147293906    440,000.00    440,000.00  R/T Refi  Asset Only     550,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147298525    376,000.00    376,000.00  R/T Refi  AUS            470,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147299077    340,400.00    340,266.05  R/T Refi  Asset Only     440,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147324438    508,000.00    506,704.77  R/T Refi  Asset Only     720,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147327001    488,800.00    488,800.00  Purchase  Asset Only     620,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147328678    448,400.00    448,400.00  Purchase  Full           475,000.00  10/1/2010       11   2.75       2    2.75  1 YR CMT
147330716    383,500.00    383,500.00  C/O Refi  Asset Only     590,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147332167    416,000.00    416,000.00  C/O Refi  Asset Only     520,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147355531    536,000.00    536,000.00  R/T Refi  Asset Only     715,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147358352    359,000.00    359,000.00  Purchase  Full           475,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147360606    288,000.00    288,000.00  Purchase  Full           360,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147365753    757,500.00    757,500.00  C/O Refi  Full         1,010,000.00  10/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147374748    580,000.00    574,572.56  C/O Refi  AUS            775,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147377261    829,500.00    827,418.88  C/O Refi  Asset Only   1,185,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147380372    476,000.00    474,857.86  C/O Refi  Full           710,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147384077    529,629.00    528,947.28  Purchase  Full           600,000.00   9/1/2010   11.125   2.75       2    2.75  1 YR CMT
147385397    293,100.00    293,100.00  Purchase  Full           370,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147389803    360,000.00    359,883.75  C/O Refi  Asset Only     480,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147390694    154,400.00    154,132.24  R/T Refi  Asset Only     193,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147392286    412,000.00    412,000.00  C/O Refi  Asset Only     550,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147400493    625,000.00    618,494.38  C/O Refi  Asset Only     785,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147404545    393,750.00    390,457.36  C/O Refi  Asset Only     525,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147411037    195,210.00    194,846.03  Purchase  Full           208,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147411722    476,000.00    476,000.00  C/O Refi  Full           595,000.00  10/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147416614    171,873.00    171,872.99  Purchase  Full           191,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147419139    109,003.00    109,003.00  Purchase  Full           138,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147423164    336,000.00    336,000.00  C/O Refi  Asset Only     420,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147423446    197,677.00    197,652.51  Purchase  Full           247,500.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147425045    360,400.00    360,400.00  C/O Refi  Asset Only     450,500.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147427165    426,750.00    426,750.00  Purchase  Asset Only     569,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
147427751    448,000.00    448,000.00  Purchase  AUS            560,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147442685    359,650.00    359,122.09  Purchase  Full           668,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147446389    443,628.00    440,032.42  Purchase  Asset Only     546,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
147451876    445,800.00    445,109.96  Purchase  Full           561,500.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147455315    446,400.00    346,400.00  Purchase  AUS            588,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147458087    262,500.00    262,500.00  C/O Refi  Asset Only     350,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147462626    750,000.00    749,816.41  C/O Refi  Full         1,080,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147470983    420,000.00    420,000.00  Purchase  Full           527,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147473599    466,000.00    466,000.00  R/T Refi  Asset Only     525,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
147498984    550,000.00    549,499.90  C/O Refi  Asset Only     755,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147506059    360,000.00    359,756.75  C/O Refi  Asset Only     450,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147514491    840,000.00    840,000.00  C/O Refi  Full         1,200,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147527188    472,000.00    472,000.00  C/O Refi  Full           835,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147529655    460,000.00    460,000.00  Purchase  Asset Only     575,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147539712    428,000.00    428,000.00  Purchase  Asset Only     535,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147543797    149,600.00    149,353.20  C/O Refi  Full           189,000.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
147589659    180,000.00    180,000.00  R/T Refi  AUS            233,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147606792    461,150.00    461,150.00  Purchase  Full           584,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
147608756    167,500.00    167,373.98  R/T Refi  Asset Only     212,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147675045    263,150.00    263,150.00  Purchase  Full           285,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147680847    451,950.00    451,950.00  Purchase  Asset Only     565,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
147697817    117,600.00    117,600.00  Purchase  AUS            150,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147700777    499,900.00    499,900.00  Purchase  Asset Only     750,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147702732    464,000.00    464,000.00  Purchase  Full           580,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147703581    198,400.00    197,987.53  Purchase  Full           248,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147704365    268,000.00    267,750.94  C/O Refi  Asset Only     335,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147705081    562,500.00    562,500.00  R/T Refi  Asset Only     750,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
147712269    456,000.00    456,000.00  C/O Refi  AUS            570,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147714588    395,000.00    395,000.00  C/O Refi  Full           500,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147719165    542,000.00    542,000.00  Purchase  Asset Only     680,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147723464    620,000.00    620,000.00  C/O Refi  Full           775,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147724645    132,000.00    130,904.55  C/O Refi  Asset Only     193,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147724991    637,500.00    637,500.00  C/O Refi  AUS            850,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147733752    420,550.00    419,150.00  C/O Refi  Full           647,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
147734453    186,000.00    185,985.15  C/O Refi  Full           235,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR CMT
147739403    450,000.00    450,000.00  C/O Refi  Full           625,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147741904  1,000,000.00    992,757.48  C/O Refi  Asset Only   2,020,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
147747349    118,816.00    118,816.00  Purchase  Full           150,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147754253    417,700.00    417,618.28  Purchase  Asset Only     596,600.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
147765283    340,000.00    340,000.00  R/T Refi  Full           435,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147769905    188,000.00    187,953.98  Purchase  Full           244,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147770358    274,092.00    274,092.00  Purchase  Full           354,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147773725    265,000.00    265,000.00  C/O Refi  AUS            332,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147784219    139,650.00    139,650.00  Purchase  Full           147,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147784789    373,000.00    373,000.00  R/T Refi  Full           780,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
147787352    208,000.00    208,000.00  C/O Refi  Full           300,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147790562    237,916.00    237,916.00  Purchase  Full           302,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147807283    207,960.00    207,960.00  Purchase  Full           266,950.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147813083    463,500.00    463,500.00  Purchase  Asset Only     515,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
147829014    560,000.00    559,956.59  C/O Refi  Full         1,050,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147831911    184,996.00    184,996.00  C/O Refi  Asset Only     236,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147844757     97,992.00     97,992.00  Purchase  AUS            137,500.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147845804    850,000.00    850,000.00  C/O Refi  Full         1,150,000.00  11/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
147846455    450,000.00    450,000.00  C/O Refi  Asset Only     600,000.00  11/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147850481    489,800.00    489,280.73  R/T Refi  Full           872,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147853972    540,000.00    540,000.00  C/O Refi  Asset Only     675,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147857205    640,000.00    639,866.34  R/T Refi  AUS            800,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
147857908    154,503.00    154,498.89  Purchase  Full           275,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147863013    428,000.00    427,899.73  C/O Refi  Full           535,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
147868335    410,000.00    410,000.00  Purchase  Asset Only     466,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
147869218    408,000.00    408,000.00  Purchase  Full           525,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147871545    488,904.00    488,904.00  Purchase  AUS            620,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
147873541    392,000.00    391,425.78  C/O Refi  Asset Only     535,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147874671    435,000.00    435,000.00  Purchase  Asset Only   1,075,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147880322    431,000.00    427,423.76  C/O Refi  Asset Only     700,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147891741    517,000.00    400,000.00  R/T Refi  AUS            710,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147893994    621,000.00    621,000.00  R/T Refi  Asset Only     780,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
147895627    300,760.00    300,760.00  Purchase  Full           380,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147905624    232,500.00    232,433.16  C/O Refi  Asset Only     310,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147908727    541,114.00    541,114.00  Purchase  Asset Only     676,393.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147910475    184,000.00    183,991.80  C/O Refi  Full           245,500.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147911788    340,000.00    227,477.17  Purchase  Full           427,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147917504     89,775.00     89,775.00  Purchase  Full            97,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147917595    134,910.00    134,910.00  Purchase  Full           162,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
147921555    520,000.00    519,493.10  C/O Refi  Asset Only     925,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147927552    618,000.00    618,000.00  R/T Refi  Asset Only     775,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147927966    463,910.00    459,834.75  Purchase  AUS            580,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147946503    440,000.00    437,671.44  C/O Refi  AUS            630,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147947279    408,000.00    407,674.83  Purchase  Full           510,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147949564    225,600.00    225,600.00  C/O Refi  Full           282,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147951123    300,000.00    300,000.00  C/O Refi  Full           405,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147952386    717,600.00    717,600.00  Purchase  Full           905,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
147953335    497,250.00    497,250.00  Purchase  Full           585,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147953988    145,600.00    144,750.00  C/O Refi  AUS            182,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147959522    100,000.00    100,000.00  Purchase  AUS            127,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
147961767    396,000.00    395,991.73  C/O Refi  Asset Only     528,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147962419    489,470.00    489,470.00  Purchase  Full           611,843.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
147963078    352,880.00    352,880.00  Purchase  Full           442,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
147965412    260,000.00    260,000.00  C/O Refi  Income Only    325,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147972863    244,000.00    244,000.00  Purchase  Full           306,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
147976831    201,800.00    201,800.00  Purchase  Full           272,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147984462    700,000.00    694,191.70  C/O Refi  Asset Only   1,070,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
147986459    300,000.00    299,926.56  C/O Refi  Asset Only     405,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147987275    510,000.00    510,000.00  C/O Refi  Asset Only     680,000.00  11/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
147987598    324,000.00    323,998.13  C/O Refi  Asset Only     360,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
147987804    678,000.00    673,500.01  Purchase  Full           848,016.00  11/1/2010    11.25   2.75       2    2.75  1 YR CMT
147988943    397,000.00    394,124.69  C/O Refi  Asset Only     561,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
147989735    389,900.00    389,900.00  Purchase  Asset Only     460,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
147999486    395,250.00    395,250.00  Purchase  Full           527,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148008261    450,000.00    450,000.00  C/O Refi  Asset Only     840,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148010069    181,996.00    181,996.00  Purchase  Full           192,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
148010796    358,250.00    358,103.27  C/O Refi  Asset Only     404,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148020274    711,000.00    711,000.00  R/T Refi  Full           925,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148023948    483,000.00    483,000.00  Purchase  Full           545,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148024029    984,000.00    984,000.00  R/T Refi  Full         1,230,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148027279    240,500.00    240,500.00  Purchase  Full           370,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
148032634    447,000.00    442,882.55  R/T Refi  Asset Only     575,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148041726    139,920.00    139,881.45  Purchase  Asset Only     175,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148045875    500,000.00    500,000.00  Purchase  Asset Only     660,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148051147    110,200.00    108,765.56  C/O Refi  AUS            126,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148051774    370,000.00    363,568.96  Purchase  Asset Only     470,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148052517    424,000.00    424,000.00  C/O Refi  Asset Only     530,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148057599    300,000.00    300,000.00  Purchase  Full           375,000.00  10/1/2010   10.875   2.75       2    2.75  1 YR CMT
148059678    286,550.00    286,549.99  Purchase  Full           362,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148060874    472,000.00    465,000.00  R/T Refi  Asset Only     590,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148062581    336,800.00    334,306.03  Purchase  AUS            421,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148067226    600,000.00    599,048.06  C/O Refi  Asset Only     870,000.00  11/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148071616    637,000.00    636,840.75  C/O Refi  Asset Only     850,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
148072291    235,440.00    235,440.00  Purchase  Full           295,000.00  11/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148074313    500,000.00    500,000.00  C/O Refi  Full           625,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148076748    184,000.00    183,717.69  C/O Refi  AUS            230,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148080997    285,000.00    282,635.15  C/O Refi  Asset Only     380,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148083157    282,000.00    282,000.00  Purchase  Full           353,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148098734    525,000.00    525,000.00  C/O Refi  Asset Only     700,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148102338    511,200.00    511,200.00  Purchase  Full           670,000.00   9/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148109499    500,000.00    500,000.00  Purchase  Asset Only     800,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148122195    425,000.00    425,000.00  C/O Refi  Full           700,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148125933    938,000.00    938,000.00  C/O Refi  Full         1,340,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148126741    182,250.00    180,544.54  Purchase  Asset Only     325,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148126808    190,000.00    190,000.00  R/T Refi  Asset Only     200,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148127335    420,000.00    420,000.00  C/O Refi  AUS            550,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148127749    427,500.00    427,284.00  C/O Refi  Asset Only     570,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148140254    960,000.00    960,000.00  R/T Refi  Full         1,250,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148144793    500,000.00    500,000.00  C/O Refi  Asset Only     773,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148150196    156,000.00    156,000.00  Purchase  Asset Only     195,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148150626    167,200.00    167,074.86  Purchase  Full           209,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148153901    433,000.00    433,000.00  R/T Refi  Asset Only     690,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148158488    560,000.00    515,000.00  C/O Refi  AUS          1,380,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148159254    440,000.00    440,000.00  Purchase  AUS            555,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148160195    236,900.00    236,899.10  Purchase  AUS            298,600.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148162381    468,000.00    464,153.78  Purchase  AUS            585,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148164403    765,000.00    765,000.00  C/O Refi  Asset Only   1,670,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148173404    143,200.00    143,198.48  Purchase  Asset Only     180,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148175425    320,000.00    319,987.04  C/O Refi  AUS            400,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148175599    540,000.00    536,269.31  Purchase  Asset Only     735,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148175839    220,000.00    219,892.37  C/O Refi  Asset Only     280,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148177363    396,000.00    396,000.00  Purchase  Asset Only     495,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148177983    548,000.00    547,000.00  Purchase  Asset Only     685,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148179781    551,200.00    501,065.50  Purchase  Asset Only     689,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148191935    704,000.00    704,000.00  Purchase  Full           880,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
148193311    480,000.00    480,000.00  C/O Refi  AUS            660,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148214612    499,000.00    499,000.00  R/T Refi  Full           680,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148215684    520,000.00    520,000.00  R/T Refi  Asset Only     700,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148216757    600,000.00    600,000.00  C/O Refi  Asset Only     900,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148226152    248,664.00    248,298.61  Purchase  Full           343,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148226376    450,000.00    438,000.00  C/O Refi  Asset Only     600,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148226459    448,000.00    447,300.93  Purchase  Full           570,000.00   9/1/2010     11.5   2.25       2    2.25  1 YR LIBOR
148227002    537,000.00    537,000.00  C/O Refi  Full           880,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148228745    551,250.00    549,420.70  C/O Refi  Asset Only     735,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148228794    271,920.00    271,914.00  Purchase  Full           340,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148243827    340,800.00    340,800.00  Purchase  Full           490,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148245558    168,000.00    167,684.72  Purchase  Asset Only     225,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148246119    408,000.00    405,740.64  C/O Refi  Asset Only     606,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148246614    650,000.00    650,000.00  Purchase  Asset Only     845,000.00   9/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148248636    525,000.00    525,000.00  C/O Refi  Asset Only   1,000,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148249139    461,009.00    461,009.00  Purchase  Asset Only     577,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148249212    453,100.00    452,608.60  C/O Refi  Full           610,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148249865    496,800.00    496,800.00  Purchase  Asset Only     690,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148250202    416,650.00    416,650.00  Purchase  Full           533,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148252539    962,000.00    962,000.00  R/T Refi  Full         2,250,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148253271    271,150.00    271,150.00  Purchase  Full           385,000.00  12/1/2010   10.625   2.75       2    2.75  1 YR CMT
148257413    475,000.00    474,778.60  C/O Refi  Full           620,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148258395    460,000.00    459,850.00  C/O Refi  Full           580,000.00   9/1/2010       11   2.25       2    2.25  1 YR LIBOR
148258619    448,000.00    447,971.27  C/O Refi  Full           560,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148258957    416,000.00    415,466.51  C/O Refi  Full           520,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148259807    395,000.00    395,000.00  Purchase  Asset Only     470,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148261043    427,500.00    427,492.18  Purchase  Full           580,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148263536    648,000.00    648,000.00  Purchase  Full           810,000.00   9/1/2010   10.875    2.5       2     2.5  1 YR LIBOR
148263627    602,400.00    602,091.75  Purchase  Full           770,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148265275    500,000.00    499,875.21  Purchase  Asset Only     630,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148269798    547,000.00    547,000.00  Purchase  Full           770,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148270887    168,000.00    167,999.74  Purchase  Full           210,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148271539    464,000.00    464,000.00  Purchase  Full           700,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148273832    436,000.00    435,975.42  C/O Refi  Asset Only     545,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
148275183    125,600.00    125,599.92  Purchase  Full           160,000.00  10/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148276694    420,000.00    420,000.00  Purchase  Asset Only     550,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148278732  1,000,000.00  1,000,000.00  Purchase  Full         1,335,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148279821    975,000.00    975,000.00  C/O Refi  Full         1,400,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148282007    252,000.00    251,900.00  C/O Refi  Full           340,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148285851    124,450.00    124,450.00  Purchase  Asset Only     131,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148285976    456,000.00    424,137.33  Purchase  AUS            575,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148288301    456,000.00    455,940.00  C/O Refi  Full           570,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148289002  1,500,000.00  1,500,000.00  Purchase  Full         2,050,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148289895    582,400.00    582,114.90  C/O Refi  Full           728,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148292154    524,000.00    524,000.00  Purchase  AUS            655,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148293616    408,935.00    408,935.00  Purchase  Full           511,500.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148294374    600,000.00    600,000.00  Purchase  Asset Only     925,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148300213    116,000.00    116,000.00  R/T Refi  Asset Only     145,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148304371    638,000.00    635,000.00  Purchase  AUS            798,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148305691    378,500.00    376,513.96  C/O Refi  AUS            630,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148306178    568,000.00    568,000.00  C/O Refi  Asset Only     710,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148306236    460,800.00    460,800.00  Purchase  Full           580,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148306889    414,087.00    413,114.29  Purchase  Asset Only     525,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148307044    560,000.00    560,000.00  C/O Refi  Full           700,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148309156  1,256,250.00  1,256,250.00  Purchase  Full         1,700,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148309271    606,000.00    606,000.00  C/O Refi  Asset Only     840,000.00   8/1/2010   11.375    2.5       2     2.5  1 YR LIBOR
148310253    126,320.00    126,224.17  Purchase  Asset Only     158,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148313638    607,500.00    503,857.09  R/T Refi  Asset Only     810,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148315708    300,000.00    300,000.00  Purchase  Full           435,000.00  11/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148317415    424,000.00    424,000.00  C/O Refi  AUS            555,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148318413    600,000.00    595,021.47  R/T Refi  Asset Only     705,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148318702    643,200.00    643,200.00  Purchase  Full           805,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148319684    577,500.00    577,500.00  C/O Refi  Full           770,000.00   9/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148320393    320,000.00    319,598.86  C/O Refi  Asset Only     400,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148323751    526,000.00    526,000.00  Purchase  Asset Only   1,042,500.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148323769    290,000.00    289,655.22  C/O Refi  Asset Only     425,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148324023    498,000.00    498,000.00  C/O Refi  Asset Only     650,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148325392    445,000.00    445,000.00  Purchase  Asset Only     660,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148325905    428,000.00    427,925.00  C/O Refi  Income Only    535,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148326663    375,250.00    375,250.00  Purchase  Full           430,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148326903    490,000.00    489,350.00  C/O Refi  AUS          1,045,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148327018    500,000.00    499,677.54  Purchase  Asset Only     720,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148328685    496,000.00    496,000.00  Purchase  AUS            625,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148329725    588,000.00    588,000.00  R/T Refi  Asset Only     735,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148330103    253,382.00    253,382.00  Purchase  Asset Only     340,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148331408    425,000.00    425,000.00  Purchase  Full           859,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148331572    650,000.00    649,400.00  Purchase  Full           875,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148335482    472,000.00    468,316.82  Purchase  AUS            590,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148335607    880,000.00    879,850.00  R/T Refi  Asset Only   1,275,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148342777    382,500.00    382,500.00  C/O Refi  AUS            510,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148344187    439,550.00    439,440.11  Purchase  Asset Only     577,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148348048    405,000.00    405,000.00  Purchase  Full           540,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148348386    394,850.00    394,850.00  Purchase  Full           542,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148350812    514,400.00    514,400.00  Purchase  Full           643,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148351943    725,000.00    721,791.91  C/O Refi  Full         1,149,000.00   9/1/2010       11   2.25       2    2.25  1 YR LIBOR
148354541    528,000.00    528,000.00  R/T Refi  Asset Only     660,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148355308    860,000.00    860,000.00  C/O Refi  Full         1,350,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148356389    208,800.00    208,800.00  Purchase  Full           278,000.00  12/1/2010   11.875   2.75       2    2.75  1 YR CMT
148358278    422,000.00    422,000.00  Purchase  AUS            527,500.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148359136    615,000.00    615,000.00  C/O Refi  Asset Only     780,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148360555    536,720.00    536,675.76  Purchase  AUS            671,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
148361157    469,292.00    469,292.00  Purchase  Full           587,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
148364227    443,500.00    443,500.00  C/O Refi  Asset Only     715,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148367683    650,000.00    649,669.46  C/O Refi  Asset Only     885,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148367873    455,000.00    454,700.00  C/O Refi  AUS            822,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148371172    310,000.00    310,000.00  Purchase  Asset Only     420,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148371453    492,000.00    492,000.00  C/O Refi  Asset Only     615,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148371768    550,000.00    550,000.00  C/O Refi  Asset Only     800,000.00  11/1/2010    11.25   2.75       2    2.75  1 YR CMT
148371925    525,000.00    525,000.00  C/O Refi  AUS            900,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148372063    461,000.00    460,257.57  C/O Refi  AUS            580,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148372915    636,000.00    635,998.50  Purchase  Full           795,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148379761    612,500.00    612,499.68  C/O Refi  Asset Only     875,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
148381999    599,150.00    599,150.00  Purchase  Full           774,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148385206  1,000,000.00  1,000,000.00  Purchase  Full         1,300,000.00  11/1/2010   10.875   2.75       2    2.25  1 YR LIBOR
148389596    231,500.00    231,500.00  C/O Refi  AUS            405,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148394778    437,600.00    437,600.00  Purchase  AUS            547,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148401474    440,000.00    440,000.00  C/O Refi  Asset Only     550,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148401722    650,000.00    649,624.09  C/O Refi  Full           880,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148402308    489,000.00    485,927.23  R/T Refi  AUS            850,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148403538    210,000.00    209,200.00  C/O Refi  Asset Only     290,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148408917    396,000.00    396,000.00  Purchase  Full           495,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148411903    424,000.00    424,000.00  Purchase  Asset Only     530,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148413834    430,000.00    430,000.00  R/T Refi  Full           700,000.00   9/1/2010       11   2.25       2    2.25  1 YR LIBOR
148415896    637,500.00    637,500.00  C/O Refi  Asset Only     850,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148416084    680,000.00    680,000.00  R/T Refi  Full           850,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148416373    744,000.00    744,000.00  R/T Refi  Full           930,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148418254    770,000.00    770,000.00  C/O Refi  Full         1,100,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
148420227    202,500.00    202,500.00  C/O Refi  Full           270,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148420268    450,000.00    450,000.00  Purchase  AUS            950,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148420367    390,000.00    389,809.08  C/O Refi  Asset Only     642,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148424245    474,000.00    473,499.99  Purchase  Full           593,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148424369    856,000.00    856,000.00  C/O Refi  Asset Only   1,320,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148426828  1,816,500.00  1,816,500.00  Purchase  Full         2,595,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148427081    493,500.00    493,500.00  Purchase  Full           650,000.00  11/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148429251    525,000.00    525,000.00  C/O Refi  Full           730,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148434798    520,000.00    520,000.00  R/T Refi  AUS            650,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148439391    530,400.00    530,400.00  Purchase  AUS            663,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148441397    576,000.00    576,000.00  Purchase  Full           750,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148443955     59,200.00     59,200.00  C/O Refi  Full            75,000.00   1/1/2011    11.25   2.25       2    2.25  1 YR LIBOR
148444797    436,000.00    436,000.00  C/O Refi  AUS            550,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148445604    502,936.00    502,936.00  Purchase  AUS            635,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148445844    347,900.00    347,500.00  Purchase  Full           435,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148456841    900,000.00    899,770.31  C/O Refi  Asset Only   1,775,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148460819     96,800.00     96,716.52  C/O Refi  Full           121,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148464209    576,000.00    576,000.00  Purchase  Asset Only     720,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148464399    550,000.00    550,000.00  Purchase  AUS            694,653.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148466105    455,920.00    455,920.00  Purchase  AUS            570,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148468317    882,000.00    882,000.00  C/O Refi  Asset Only   1,260,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148473275    353,150.00    353,150.00  Purchase  Asset Only     441,462.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148480114    885,000.00    881,550.00  C/O Refi  Full         1,300,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
148481245    204,800.00    204,800.00  Purchase  Asset Only     258,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148481864    560,000.00    560,000.00  C/O Refi  Full           700,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
148482912    600,000.00    595,293.83  Purchase  Full           750,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148483027    102,400.00    101,700.00  Purchase  Full           128,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148483068  1,505,000.00  1,505,000.00  Purchase  Full         2,185,000.00  11/1/2010   11.375   2.25       2    2.25  1 YR LIBOR
148484702    295,500.00    295,340.19  C/O Refi  AUS            370,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148484926    470,979.00    470,396.89  Purchase  Full           590,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148485543    500,000.00    500,000.00  Purchase  Asset Only     750,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148486087    805,000.00    805,000.00  C/O Refi  Asset Only   1,260,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148486442    208,000.00    208,000.00  Purchase  AUS            263,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148488711    480,500.00    480,500.00  C/O Refi  Asset Only     609,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
148490089    544,000.00    543,858.33  Purchase  Asset Only     680,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148494198    219,900.00    219,400.00  C/O Refi  AUS            290,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148494529    480,000.00    470,218.01  C/O Refi  Asset Only     745,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148494891    454,750.00    454,292.98  Purchase  AUS            540,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148496169  1,000,000.00    999,967.03  Purchase  Full         1,500,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
148497464    740,000.00    740,000.00  C/O Refi  Asset Only   1,325,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148499684    339,000.00    338,985.48  C/O Refi  AUS            452,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148501117    648,750.00    648,750.00  Purchase  AUS            870,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148501661    432,000.00    428,871.19  Purchase  AUS            540,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148502131    385,000.00    384,954.75  C/O Refi  Asset Only     590,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148504608    154,760.00    154,760.00  Purchase  AUS            195,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148506884    612,000.00    612,000.00  Purchase  Full           915,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148509102    352,500.00    352,500.00  C/O Refi  Full           470,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148510688    416,000.00    416,000.00  Purchase  Full           520,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148512445    419,000.00    419,000.00  R/T Refi  Asset Only     807,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148514979    418,000.00    417,999.98  Purchase  Asset Only     440,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148515802    665,000.00    665,000.00  Purchase  Full           975,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148516222    464,000.00    460,579.70  R/T Refi  AUS            580,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148516875    400,000.00    400,000.00  Purchase  AUS            950,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148517006    460,000.00    460,000.00  C/O Refi  AUS            575,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148517261    565,000.00    561,365.96  C/O Refi  Asset Only     775,000.00  12/1/2010     11.5   2.25       2    2.25  1 YR LIBOR
148517378    199,900.00    199,900.00  Purchase  Full           300,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148522626    264,050.00    263,985.36  Purchase  Full           360,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148523079    636,000.00    636,000.00  Purchase  Full           795,000.00  11/1/2010   11.375   2.25       2    2.25  1 YR LIBOR
148523533    268,000.00    267,700.00  Purchase  Full           338,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148524432    475,000.00    474,772.28  R/T Refi  AUS            600,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148526023    710,000.00    706,965.41  C/O Refi  Asset Only   1,100,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148526494    166,169.00    165,929.85  Purchase  Full           175,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148528193    485,100.00    484,400.00  C/O Refi  Asset Only     693,000.00  11/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148528599    650,000.00    649,977.49  Purchase  Asset Only   1,035,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148529589    461,250.00    461,250.00  C/O Refi  Asset Only     625,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148530629    288,760.00    288,688.96  Purchase  AUS            365,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148530983    575,000.00     75,000.00  Purchase  Full           645,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
148531403    440,000.00    439,892.29  Purchase  Asset Only     575,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148531411    444,000.00    443,965.37  C/O Refi  Full           555,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148535149    292,598.00    292,598.00  Purchase  Full           420,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148537848    418,950.00    418,950.00  Purchase  Asset Only     524,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148539299    790,000.00    784,411.58  R/T Refi  Asset Only   1,250,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148540032    500,000.00    500,000.00  R/T Refi  Full           625,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148542566    128,000.00    128,000.00  Purchase  Asset Only     160,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148542616    468,000.00    467,550.00  C/O Refi  AUS            625,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148543135    445,000.00    445,000.00  R/T Refi  Full           565,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148544232    419,300.00    419,300.00  C/O Refi  Asset Only     599,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148546484    428,000.00    428,000.00  C/O Refi  Full           535,000.00  11/1/2010   11.125   2.75       2    2.75  1 YR CMT
148549298    815,500.00    815,353.66  C/O Refi  Asset Only   1,165,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148551492    537,600.00    537,600.00  Purchase  Full           672,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148551831    920,000.00    920,000.00  C/O Refi  Asset Only   2,400,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148554892    520,000.00    519,839.25  C/O Refi  Asset Only     700,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148555519    585,000.00    584,673.09  Purchase  Full           825,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148557275    525,000.00    525,000.00  C/O Refi  Full           750,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148558513    120,000.00    119,995.32  Purchase  Full           160,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148559263    770,000.00    770,000.00  C/O Refi  Full         1,100,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148559339    814,500.00    814,500.00  C/O Refi  Full         1,125,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148560642    356,000.00    355,971.46  Purchase  AUS            445,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148561129    651,500.00    650,218.35  Purchase  Full           875,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148562697    248,000.00    248,000.00  R/T Refi  Asset Only     310,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148564453    264,250.00    264,250.00  Purchase  Full           333,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148565203    464,000.00    464,000.00  C/O Refi  Asset Only     580,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148569205    464,000.00    464,000.00  C/O Refi  Asset Only     600,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148570468    187,792.00    187,791.17  Purchase  Full           235,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148570831    490,000.00    490,000.00  C/O Refi  Asset Only     700,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148571151    650,000.00    650,000.00  Purchase  AUS            815,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
148572068    431,000.00    430,894.49  C/O Refi  Asset Only     605,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148573603    488,000.00    488,000.00  C/O Refi  Full           610,000.00  11/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148578016    399,300.00    399,209.60  Purchase  AUS            518,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148578693    364,000.00    363,343.04  Purchase  Asset Only     455,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148582968    420,000.00    420,000.00  C/O Refi  Asset Only     560,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148584394    999,995.00    999,900.00  Purchase  Asset Only   1,350,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148585532    521,600.00    521,600.00  Purchase  Full           652,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148587934    755,000.00    730,000.00  C/O Refi  Asset Only   1,675,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148588346    501,000.00    501,000.00  R/T Refi  Full           650,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148589039    542,900.00    542,900.00  Purchase  AUS            716,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148591712    409,500.00    408,900.00  Purchase  Asset Only     622,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148593346    370,000.00    370,000.00  C/O Refi  AUS            620,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148597123    491,000.00    491,000.00  C/O Refi  Asset Only     655,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148597594    456,000.00    456,000.00  Purchase  Asset Only     640,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148601602    359,000.00    327,800.00  Purchase  AUS            465,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148601768    500,000.00    500,000.00  C/O Refi  Full         5,500,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148609126    525,000.00    525,000.00  Purchase  AUS            725,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
148609415    382,500.00    382,500.00  C/O Refi  Asset Only     510,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148610934    462,000.00    462,000.00  C/O Refi  Asset Only     660,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148613474    999,999.00    999,999.00  Purchase  Full         1,445,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148615438    368,000.00    366,795.34  Purchase  Full           460,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148615784    148,000.00    148,000.00  C/O Refi  Asset Only     185,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148617855    207,200.00    207,200.00  C/O Refi  AUS            259,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148619182    110,792.00    108,158.47  Purchase  Asset Only     139,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148620479    484,000.00    484,000.00  C/O Refi  AUS            605,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148622715    560,000.00    560,000.00  C/O Refi  Asset Only     900,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148624695    452,000.00    452,000.00  C/O Refi  Asset Only     565,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148624968    509,000.00    509,000.00  C/O Refi  Full           890,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148625619    220,000.00    219,733.81  Purchase  Full           278,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148628217    525,000.00    522,390.11  Purchase  Asset Only     735,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148629413    570,000.00    570,000.00  Purchase  AUS            760,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148629843    352,000.00    351,736.88  Purchase  Full           462,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148629991    323,000.00    322,800.00  C/O Refi  AUS            635,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148634579    124,000.00    124,000.00  Purchase  Full           157,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148634702    341,600.00    340,843.83  Purchase  AUS            435,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148643471    148,400.00    148,400.00  Purchase  Full           186,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148643752    600,000.00    600,000.00  C/O Refi  Full           775,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148648801    197,678.00    197,678.00  Purchase  Asset Only     220,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
148650252    206,400.00    206,400.00  C/O Refi  Full           258,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148650807    361,000.00    361,000.00  C/O Refi  Asset Only     635,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148651086    520,000.00    520,000.00  C/O Refi  Full           650,000.00  11/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148653959    106,350.00    106,323.97  Purchase  Full           133,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148656176    560,000.00    559,501.19  C/O Refi  Asset Only     800,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148660244    407,000.00    403,622.90  Purchase  Asset Only     509,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148664337    812,500.00    812,444.47  R/T Refi  Full         1,250,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148665789     92,800.00     92,800.00  Purchase  Full           130,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148670094    290,000.00    285,000.00  R/T Refi  Asset Only     620,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148670797    480,000.00    476,016.49  Purchase  AUS            600,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148671209    266,400.00    266,400.00  Purchase  Asset Only     335,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148671514    699,000.00    698,995.00  R/T Refi  Full         1,200,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148674971    305,000.00    304,999.50  C/O Refi  Asset Only     440,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148676364    142,000.00    142,000.00  C/O Refi  AUS            200,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148676497    400,000.00    400,000.00  C/O Refi  Asset Only     540,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148678477    432,250.00    428,287.64  Purchase  AUS            665,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148679301    508,000.00    508,000.00  C/O Refi  Asset Only     635,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148679913    395,950.00    394,450.00  Purchase  Full           516,500.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148680531  1,000,000.00  1,000,000.00  C/O Refi  Full         1,825,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148681927    151,866.00    151,828.03  Purchase  Full           190,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148683121    536,000.00    535,075.36  Purchase  Full           675,000.00   8/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148683709    451,000.00    451,000.00  R/T Refi  AUS            625,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148685258    115,200.00    115,200.00  Purchase  Full           155,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148685415    460,000.00    460,000.00  R/T Refi  AUS            575,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148687775    455,000.00    455,000.00  C/O Refi  AUS            650,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148689649    372,000.00    369,305.72  Purchase  AUS            465,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148693419    260,000.00    259,975.00  C/O Refi  Asset Only     325,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148696016    112,200.00    112,200.00  Purchase  AUS            145,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148696545    350,000.00    349,909.87  C/O Refi  Asset Only     580,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148697386    520,000.00    520,000.00  Purchase  AUS            895,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148697436    535,000.00    535,000.00  C/O Refi  Asset Only     736,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148699739    447,900.00    447,900.00  Purchase  Full           560,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
148701279    693,000.00    693,000.00  C/O Refi  Asset Only     990,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148702186    650,000.00    650,000.00  C/O Refi  Asset Only   1,000,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148703226    810,000.00    809,931.08  R/T Refi  Asset Only   1,180,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148705726    555,000.00    554,898.75  C/O Refi  Asset Only     965,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148707573    550,000.00    550,000.00  C/O Refi  AUS            785,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148709652    392,000.00    392,000.00  C/O Refi  AUS            490,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148709827    860,000.00    860,000.00  R/T Refi  Asset Only   1,272,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148710882    500,000.00    499,997.08  Purchase  Full           625,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148715642    115,360.00    115,360.00  Purchase  Full           146,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148717259    211,964.00    211,964.00  Purchase  Full           265,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148718992    320,000.00    320,000.00  C/O Refi  Asset Only     415,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148721046    380,000.00    380,000.00  Purchase  Full           485,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148722077    220,000.00    220,000.00  C/O Refi  AUS            275,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148723547    485,000.00    484,237.60  C/O Refi  AUS            825,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148723778    500,000.00    500,000.00  Purchase  Full           630,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148723877    350,000.00    349,972.92  C/O Refi  Full           500,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148726938    385,150.00    385,150.00  Purchase  AUS            482,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148730294    146,250.00    145,190.74  Purchase  Asset Only     195,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148731706    224,000.00    224,000.00  C/O Refi  AUS            280,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148732993    611,000.00    611,000.00  R/T Refi  Full           830,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148735533    471,200.00    467,787.31  Purchase  AUS            590,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148737281    460,000.00    460,000.00  C/O Refi  Asset Only     580,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148737307    509,000.00    504,756.37  R/T Refi  AUS            683,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148738313    400,000.00    400,000.00  C/O Refi  Full           520,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148738511    450,000.00    450,000.00  C/O Refi  Full           585,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148739048    193,600.00    192,629.07  Purchase  Asset Only     245,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148739394    591,600.00    591,291.85  Purchase  Asset Only     740,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148740459    555,000.00    555,000.00  C/O Refi  Asset Only     854,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148740509    535,000.00    535,000.00  C/O Refi  AUS            690,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148741861    457,450.00    456,476.96  R/T Refi  Full           575,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148748825    261,600.00    261,600.00  Purchase  Full           327,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148750532    479,900.00    479,896.97  C/O Refi  AUS            800,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148753007    602,694.00    602,536.26  Purchase  Asset Only     753,500.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148753593    630,000.00    630,000.00  Purchase  Asset Only     900,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148754757    400,000.00    400,000.00  C/O Refi  Asset Only     645,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148757065    212,000.00    212,000.00  C/O Refi  AUS            320,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148757297    500,000.00    500,000.00  Purchase  AUS            625,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148757826    434,500.00    434,500.00  C/O Refi  AUS            985,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148758394    396,000.00    394,200.00  Purchase  AUS            495,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148759863    500,000.00    500,000.00  Purchase  AUS          1,500,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148760457    491,250.00    490,783.88  C/O Refi  Asset Only     655,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148761323    160,200.00    160,189.70  Purchase  Full           214,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148762743    171,500.00    171,500.00  R/T Refi  AUS            255,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148763113    487,500.00    487,500.00  C/O Refi  AUS            650,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148765126    600,000.00    599,132.40  Purchase  Full           765,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148766892    426,400.00    426,400.00  Purchase  AUS            537,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148773096    482,000.00    482,000.00  R/T Refi  Full           603,000.00  12/1/2010     11.5   2.75       2    2.75  1 YR CMT
148775919    520,000.00    519,983.16  Purchase  Full           675,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
148776933    460,000.00    460,000.00  C/O Refi  AUS            750,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148784424    459,573.00    459,573.00  Purchase  Asset Only     615,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148786536    196,500.00    196,500.00  R/T Refi  AUS            222,500.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148788128    871,500.00    870,997.05  Purchase  Full         1,245,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148789563    176,373.00    176,373.00  Purchase  Full           196,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148796485    525,000.00    524,997.00  C/O Refi  Asset Only     700,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148798754    354,375.00    353,910.46  C/O Refi  AUS            472,500.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148802523    656,000.00    655,800.00  C/O Refi  Full           820,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148805997    569,600.00    569,600.00  C/O Refi  Full           712,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148812753    365,000.00    364,910.65  C/O Refi  AUS            600,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148813066    540,000.00    540,000.00  Purchase  Asset Only     730,000.00  12/1/2010   11.375   2.25       2    2.25  1 YR LIBOR
148813298    500,000.00    500,000.00  Purchase  AUS            640,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148814049    612,000.00    612,000.00  C/O Refi  Asset Only     816,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148816374    530,000.00    530,000.00  R/T Refi  AUS            730,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148821044    422,500.00    422,000.00  C/O Refi  Full           650,000.00  11/1/2010       11   2.75       2    2.75  1 YR CMT
148821721    600,000.00    599,556.02  C/O Refi  Asset Only     800,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148821812    366,400.00    366,400.00  C/O Refi  Full           458,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148825748    351,500.00    351,500.00  Purchase  Full           445,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148826308    425,000.00    425,000.00  Purchase  AUS            545,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148829955    168,000.00    168,000.00  Purchase  Full           210,000.00  11/1/2010   11.375   2.25       2    2.25  1 YR LIBOR
148831811    543,000.00    543,000.00  R/T Refi  Asset Only     732,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148833387    480,000.00    479,816.36  R/T Refi  Asset Only     600,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148833692    616,000.00    615,933.30  Purchase  Asset Only     775,000.00  12/1/2010   11.375   2.25       2    2.25  1 YR LIBOR
148834112    585,000.00    580,763.12  Purchase  Asset Only     785,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148835184    275,920.00    275,920.00  Purchase  Full           345,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148835572    485,000.00    483,290.28  R/T Refi  AUS            660,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148837305    308,000.00    308,000.00  R/T Refi  Asset Only     440,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148839012    451,500.00    448,655.62  C/O Refi  Full           605,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148839269    575,000.00    575,000.00  C/O Refi  AUS            720,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148839491    153,843.00    153,843.00  Purchase  Full           162,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148839582    507,935.00    507,915.00  Purchase  Asset Only     595,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148840036    463,200.00    459,821.67  Purchase  AUS            590,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148840259    119,800.00    119,775.46  Purchase  Full           150,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148847437    428,000.00    428,000.00  Purchase  Asset Only     535,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148851207    650,000.00    650,000.00  Purchase  Asset Only     900,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148852189    477,600.00    473,580.58  Purchase  AUS            597,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148853252    472,423.00    472,422.46  Purchase  Full           595,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148853328    240,000.00    240,000.00  R/T Refi  Asset Only     300,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148855117    144,000.00    144,000.00  Purchase  Full           180,000.00  11/1/2010   10.875   2.75       2    2.75  1 YR CMT
148856347    550,950.00    550,950.00  Purchase  Full           750,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148856875    444,800.00    443,262.03  C/O Refi  Asset Only     556,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148858988    405,750.00    404,584.38  C/O Refi  Asset Only     541,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148861438    737,600.00    737,415.60  Purchase  Full           922,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
148863343    378,000.00    378,000.00  Purchase  AUS            496,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148867922    248,000.00    248,000.00  C/O Refi  Full           310,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148868763    635,000.00    634,829.02  R/T Refi  Asset Only     900,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148869936    258,000.00    257,998.32  Purchase  Asset Only     330,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148871346    427,500.00    427,500.00  C/O Refi  Asset Only     591,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148873748    352,800.00    352,800.00  Purchase  AUS            441,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148880859  1,000,000.00  1,000,000.00  C/O Refi  Full         2,000,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148881246    696,000.00    696,000.00  Purchase  Full           870,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148882525    600,000.00    459,502.08  Purchase  Asset Only     750,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148883093  1,500,000.00  1,500,000.00  Purchase  Full         2,115,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148885965    460,000.00    460,000.00  Purchase  Full           585,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148886856    530,000.00    530,000.00  Purchase  AUS            720,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148887805    616,000.00    611,942.00  C/O Refi  Asset Only     880,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
148891054    650,000.00    649,892.44  C/O Refi  Asset Only     870,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148893506    400,000.00    400,000.00  Purchase  Asset Only     500,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148894736    495,200.00    495,200.00  C/O Refi  Full           619,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148895485    521,250.00    521,250.00  R/T Refi  Asset Only     695,000.00   1/1/2011       11   2.25       2    2.25  1 YR LIBOR
148897408    120,320.00    120,320.00  Purchase  AUS            151,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148900228    945,000.00    945,000.00  C/O Refi  Full         1,350,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148903495    489,600.00    489,600.00  Purchase  AUS            612,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148904477    418,400.00    418,400.00  Purchase  Full           523,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148906068    457,500.00    457,500.00  C/O Refi  Asset Only     610,000.00  12/1/2010     11.5   2.25       2    2.25  1 YR LIBOR
148909864    480,000.00    480,000.00  C/O Refi  AUS            630,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148911514    448,000.00    448,000.00  Purchase  AUS            560,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148914179    456,000.00    455,899.00  Purchase  AUS            570,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148915218    460,000.00    459,979.28  R/T Refi  Full           645,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148918485    464,000.00    464,000.00  Purchase  Asset Only     580,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148919178    470,400.00    470,399.90  C/O Refi  AUS            588,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148919657    376,900.00    376,889.83  Purchase  Full           580,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
148920317    275,500.00    275,499.52  Purchase  Full           290,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148921588    212,000.00    212,000.00  C/O Refi  Full           265,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148922636    474,963.00    474,963.00  Purchase  AUS            730,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148923865    500,250.00    499,899.86  R/T Refi  AUS            633,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148926181    396,600.00    396,447.28  R/T Refi  Asset Only     505,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148927213    325,600.00    325,600.00  Purchase  Asset Only     440,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148932288    256,000.00    255,997.42  Purchase  AUS            320,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148932551    440,000.00    437,338.75  R/T Refi  AUS            595,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
148933583    335,000.00    334,640.03  C/O Refi  Full           490,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148933658    454,000.00    454,000.00  C/O Refi  Full           615,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148934714    761,100.00    761,100.00  Purchase  Full           960,000.00   2/1/2011       11   2.75       2    2.75  1 YR CMT
148935133    418,000.00    415,246.34  R/T Refi  Asset Only     650,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
148937683  1,000,000.00  1,000,000.00  R/T Refi  Full         2,124,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148938236    428,000.00    425,349.51  Purchase  AUS            545,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148938848    303,200.00    303,200.00  Purchase  Full           379,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148940299    637,500.00    637,500.00  Purchase  AUS            850,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148940547    560,000.00    558,695.62  C/O Refi  Full           750,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148946148    520,000.00    519,600.08  C/O Refi  Full           780,000.00  11/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148947294    680,000.00    677,761.40  R/T Refi  Full           950,000.00  12/1/2010   11.125   2.25       2    2.25  1 YR LIBOR
148949027    416,000.00    415,787.69  Purchase  Full           520,000.00   1/1/2011   11.125   2.25       2    2.25  1 YR LIBOR
148949894    478,000.00    476,092.78  R/T Refi  Full           688,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148950363    650,000.00    648,677.03  Purchase  Full           950,000.00  11/1/2010       11   2.25       2    2.25  1 YR LIBOR
148951296    552,500.00    549,655.78  Purchase  Asset Only     650,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
148953193    506,250.00    506,250.00  Purchase  AUS            675,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
148955545    252,000.00    252,000.00  C/O Refi  AUS            350,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148955685    468,750.00    468,750.00  C/O Refi  Asset Only     625,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148959448    306,228.00    306,228.00  Purchase  Full           322,500.00   9/1/2010   10.875   2.75       2    2.75  1 YR CMT
148961352    492,000.00    488,436.66  Purchase  AUS            615,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148965148    689,000.00    689,000.00  Purchase  Full           969,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148966898    460,000.00    460,000.00  C/O Refi  Full           575,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148967987    460,800.00    460,800.00  Purchase  Full           576,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148968902    532,000.00    532,000.00  Purchase  Full           665,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148969066    676,000.00    672,376.18  Purchase  Full           845,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148969272    500,000.00    499,869.79  C/O Refi  AUS          1,495,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
148969462    490,000.00    490,000.00  Purchase  Asset Only     613,250.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148970221    500,000.00    495,955.92  C/O Refi  Asset Only     730,000.00   1/1/2011       11   2.25       2    2.25  1 YR LIBOR
148970494    166,800.00    166,800.00  Purchase  Full           208,500.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148971393    464,000.00    463,827.92  Purchase  AUS            580,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148972276    593,000.00    593,000.00  R/T Refi  Full           745,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
148973019    256,500.00    256,480.20  C/O Refi  Full           322,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148973316    505,000.00    505,000.00  C/O Refi  Asset Only     660,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148980204    500,000.00    499,998.80  Purchase  Full           625,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148980816    560,000.00    559,791.31  C/O Refi  Full           700,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148982051    710,000.00    705,826.34  C/O Refi  Asset Only   1,200,000.00   1/1/2011   11.375   2.75       2    2.75  1 YR CMT
148983158    448,000.00    448,000.00  Purchase  AUS            560,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
148985641    496,000.00    495,223.94  C/O Refi  Asset Only     620,000.00  12/1/2010   11.375   2.25       2    2.25  1 YR LIBOR
148986144    407,000.00    407,000.00  C/O Refi  Asset Only     650,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148986318    430,000.00    430,000.00  C/O Refi  Asset Only     725,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
148986557    455,000.00    455,000.00  Purchase  Asset Only     575,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
148987001    420,000.00    420,000.00  Purchase  AUS            525,500.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148988132    582,592.00    582,592.00  Purchase  Full           730,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
148988827    503,420.00    503,250.63  Purchase  Asset Only     630,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
148990336    412,500.00    412,500.00  C/O Refi  AUS            550,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148990484    640,000.00    640,000.00  C/O Refi  Asset Only   1,015,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
148993124    453,600.00    452,606.53  Purchase  Asset Only     570,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
148998537    787,500.00    772,500.00  Purchase  Full         1,126,500.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
148998644    525,000.00    525,000.00  C/O Refi  AUS            765,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
149000978    875,000.00    875,000.00  C/O Refi  Asset Only   1,510,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
149001695    800,000.00    794,743.45  C/O Refi  Asset Only   1,455,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
149002628    558,000.00    558,000.00  C/O Refi  Asset Only     746,500.00   2/1/2011    11.25   2.75       2    2.75  1 YR CMT
149007957    291,000.00    291,000.00  C/O Refi  Asset Only     400,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
149009557    324,000.00    323,930.57  C/O Refi  AUS            406,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
149009797    512,800.00    512,457.28  Purchase  AUS            642,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
149014482    572,000.00    572,000.00  R/T Refi  Full           715,000.00   1/1/2011   11.125   2.25       2    2.25  1 YR LIBOR
149022709    179,200.00    179,135.06  R/T Refi  Asset Only     224,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149027153    480,000.00    480,000.00  C/O Refi  Full           728,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
149030355    435,000.00    434,893.52  C/O Refi  Asset Only     580,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
149036089    440,000.00    436,935.41  C/O Refi  Asset Only     550,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149045163  1,000,000.00  1,000,000.00  C/O Refi  Asset Only   3,200,000.00  12/1/2010    11.25   2.25       2    2.25  1 YR LIBOR
149047334    500,116.00    500,116.00  Purchase  Full           635,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149047375    480,000.00    478,367.42  C/O Refi  Asset Only     600,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
149048977    312,000.00    310,225.20  C/O Refi  AUS            390,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
149053399    513,100.00    513,100.00  Purchase  Full           845,000.00   2/1/2011       11   2.75       2    2.75  1 YR CMT
149054165    312,000.00    312,000.00  C/O Refi  Full           390,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
149057283    530,000.00    530,000.00  R/T Refi  Asset Only     810,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
149058448    479,920.00    479,920.00  Purchase  Asset Only     600,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
149060766  2,000,000.00  1,212,087.86  Purchase  Full         3,800,000.00   1/1/2011    11.25   2.25       2    2.25  1 YR LIBOR
149069403    208,000.00    204,922.94  Purchase  AUS            260,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
149070005    184,500.00    184,500.00  Purchase  Full           232,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
149077042    525,600.00    525,471.34  C/O Refi  Asset Only     657,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149077737    465,000.00    462,800.00  C/O Refi  Full           610,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149082174    400,000.00    399,760.45  C/O Refi  Asset Only     895,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
149083065    497,450.00    497,450.00  Purchase  Full           620,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
149091498    490,000.00    490,000.00  C/O Refi  AUS            725,000.00   1/1/2011   11.125   2.75       2    2.75  1 YR CMT
149092124    495,000.00    494,868.52  C/O Refi  Full           810,000.00   1/1/2011   11.375   2.75       2    2.75  1 YR CMT
149101685    516,000.00    515,879.50  Purchase  Asset Only     650,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
149103723    560,000.00    560,000.00  C/O Refi  Full           700,000.00   1/1/2011       11   2.75       2    2.75  1 YR CMT
149105108  2,000,000.00  2,000,000.00  Purchase  Full         4,150,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
149109639    559,100.00    559,100.00  Purchase  Full           699,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
149111973    201,850.00    201,725.10  Purchase  Full           282,000.00  12/1/2010   11.125   2.75       2    2.75  1 YR CMT
149113417    420,000.00    420,000.00  C/O Refi  Asset Only     525,000.00   1/1/2011    11.25   2.75       2    2.75  1 YR CMT
149115818    500,000.00    500,000.00  Purchase  AUS            625,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
149115974    191,960.00    191,811.41  Purchase  Full           240,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
149118549    479,200.00    479,200.00  Purchase  AUS            615,000.00   1/1/2011       11   2.25       2    2.25  1 YR LIBOR
149119091  1,380,500.00  1,378,831.83  R/T Refi  Asset Only   2,050,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149124968    160,954.00    160,954.00  Purchase  Full           205,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
149125965    600,800.00    600,454.03  C/O Refi  Asset Only     751,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
149129579    442,123.00    442,123.00  Purchase  Full           495,000.00   2/1/2011       11   2.75       2    2.75  1 YR CMT
149133605    273,024.00    272,491.88  Purchase  Full           368,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
149134694    650,000.00    650,000.00  Purchase  Full           875,000.00   1/1/2011   11.125   2.25       2    2.25  1 YR LIBOR
149135642    480,000.00    470,000.00  Purchase  AUS            600,000.00  12/1/2010       11   2.25       2    2.25  1 YR LIBOR
149137333    178,950.00    178,950.00  Purchase  Full           261,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
149139339    450,000.00    450,000.00  C/O Refi  AUS            732,000.00  12/1/2010       11   2.75       2    2.75  1 YR CMT
149198251    508,000.00    508,000.00  Purchase  AUS            640,000.00  12/1/2010   11.375   2.75       2    2.75  1 YR CMT
149334526    405,600.00    403,078.29  Purchase  Asset Only     507,000.00   1/1/2011   10.875   2.75       2    2.75  1 YR CMT
149467078    525,000.00    525,000.00  C/O Refi  Asset Only   1,200,000.00  12/1/2010   10.875   2.75       2    2.75  1 YR CMT
149615247    798,900.00    798,877.73  C/O Refi  Full         1,250,000.00  12/1/2010    11.25   2.75       2    2.75  1 YR CMT
146574769    300,000.00    299,902.70  Purchase  Full           375,000.00   9/1/2008   11.375   2.25       2    2.25  1 YR LIBOR
146618988    357,700.00    355,970.23  Purchase  Full           450,000.00   9/1/2008   10.875   2.25       2    2.25  1 YR LIBOR
146748728    650,000.00    650,000.00  C/O Refi  AUS          1,650,000.00   9/1/2008   11.375   2.25       2    2.25  1 YR LIBOR
147328777    228,000.00    228,000.00  Purchase  Full           291,000.00   9/1/2008   11.625   2.25       2    2.25  1 YR LIBOR
147706105    517,600.00    517,413.72  R/T Refi  Full           650,000.00  10/1/2008   10.625   2.25       2    2.25  1 YR LIBOR
139007363    340,100.00    330,257.51  Purchase  Full           358,000.00   8/1/2007       10   2.75       2    2.75  1 YR CMT
 52393832    406,600.00    401,704.84  Purchase  Full           458,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
 53851762    243,612.00    241,223.60  Purchase  Full           315,000.00  10/1/2008   11.625   2.75       2    2.75  1 YR CMT
133432682    400,000.00    384,802.44  Purchase  Full           500,000.00  12/1/2006    11.25   2.75       2    2.75  1 YR CMT
132317389    348,000.00    331,461.71  Purchase  Full           438,500.00  10/1/2006     10.5   2.75       2    2.75  1 YR CMT
143537686    400,000.00    393,370.77  Purchase  Full           535,000.00   4/1/2008   11.625   2.75       2    2.75  1 YR CMT
 46827457    550,000.00    546,430.49  R/T Refi  Full           850,000.00   1/1/2009   11.625   2.75       2    2.75  1 YR CMT
133740761    400,000.00    384,675.30  C/O Refi  Asset Only     672,000.00   1/1/2007       11   2.75       2    2.75  1 YR CMT
  4373802    430,900.00    403,648.23  R/T Refi  Full           800,000.00  12/1/2004    12.25   2.75       2    2.75  1 YR CMT
125705467  1,000,000.00    946,248.29  R/T Refi  Full         3,000,000.00   1/1/2006   10.875   2.75       2    2.75  1 YR CMT
145343877    345,800.00    345,683.20  Purchase  Full           365,000.00   7/1/2008   11.375   2.75       2    2.75  1 YR CMT
 56660541    174,300.00    173,924.99  C/O Refi  Full           194,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
148857535    275,200.00    275,200.00  Purchase  Asset Only     367,000.00  12/1/2008   11.625   2.75       2    2.75  1 YR CMT
 60573706    496,000.00    496,000.00  Purchase  Asset Only     620,000.00  12/1/2008   11.625   2.75       2    2.75  1 YR CMT
147780498    172,000.00    172,000.00  R/T Refi  Asset Only     215,000.00  11/1/2008   11.625   2.75       2    2.75  1 YR CMT
 58262791    306,400.00    306,341.25  Purchase  Asset Only     390,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57952608    159,200.00    159,200.00  C/O Refi  Full           199,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
 56871809    432,000.00    431,939.25  Purchase  Full           548,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57583684    283,200.00    263,200.00  Purchase  Asset Only     360,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57719056    396,000.00    396,000.00  C/O Refi  Full           495,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
146596465    183,200.00    183,200.00  Purchase  Full           240,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
145983227    191,920.00    191,920.00  Purchase  Asset Only     242,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
144834462    428,000.00    428,000.00  Purchase  Asset Only     535,000.00   7/1/2008   11.625   2.75       2    2.75  1 YR CMT
 55083752    336,000.00    335,839.45  C/O Refi  Full           421,000.00   7/1/2008   11.625   2.75       2    2.75  1 YR CMT
 58286436    186,000.00    186,000.00  Purchase  Asset Only     239,200.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
148646508    750,000.00    750,000.00  Purchase  Full           950,000.00  12/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57102451    739,000.00    736,134.76  R/T Refi  Full           940,000.00  10/1/2008   11.625   2.75       2    2.75  1 YR CMT
148129844    650,000.00    649,847.66  C/O Refi  Asset Only     830,000.00  11/1/2008   11.625   2.75       2    2.75  1 YR CMT
 54879002    244,000.00    243,600.00  R/T Refi  Full           323,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57338436    395,650.00    395,650.00  C/O Refi  Full           560,000.00   9/1/2008   11.125   2.75       2    2.75  1 YR CMT
146617386    840,000.00    840,000.00  Purchase  Asset Only   1,200,000.00   2/1/2009   11.625   2.75       2    2.75  1 YR CMT
 59972133    525,000.00    525,000.00  Purchase  Full         1,100,000.00  10/1/2008   11.625   2.75       2    2.75  1 YR CMT
 56979156    220,500.00    220,500.00  C/O Refi  Asset Only     315,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
 60130309  1,840,000.00  1,840,000.00  C/O Refi  Asset Only   3,000,000.00  11/1/2008    11.25   2.75       2    2.75  1 YR CMT
 52991742  2,000,000.00  1,999,991.80  R/T Refi  Asset Only   3,400,000.00   6/1/2008   11.375   2.75       2    2.75  1 YR CMT
 60980729    575,000.00    573,763.07  C/O Refi  Full         1,000,000.00  12/1/2008   11.625   2.75       2    2.75  1 YR CMT
145296489    515,600.00    515,600.00  R/T Refi  Full           932,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57099178    225,000.00    225,000.00  R/T Refi  Full           425,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57057044    206,000.00     51,801.41  R/T Refi  Asset Only     510,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
146825716    360,525.00    360,525.00  Purchase  Full           380,000.00  10/1/2008     11.5   2.75       2    2.75  1 YR CMT
 58330044    320,000.00    320,000.00  Purchase  Full           400,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
144105228    360,000.00    360,000.00  Purchase  AUS            452,000.00   7/1/2008    10.75   2.75       2    2.75  1 YR CMT
 58547647    592,000.00    590,422.02  C/O Refi  Full           790,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
148747884    135,642.00    135,642.00  Purchase  Asset Only     173,500.00  12/1/2008   11.625   2.75       2    2.75  1 YR CMT
148335557    172,000.00    171,638.02  R/T Refi  Asset Only     215,000.00  11/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57938037    240,000.00    240,000.00  Purchase  Full           305,000.00  10/1/2008   11.625   2.75       2    2.75  1 YR CMT
147361844    289,600.00    289,467.28  Purchase  AUS            399,000.00  10/1/2008     11.5   2.75       2    2.75  1 YR CMT
 52942885    164,400.00    164,400.00  Purchase  Full           206,000.00   9/1/2008    11.25   2.75       2    2.75  1 YR CMT
146525092    172,000.00    172,000.00  Purchase  Asset Only     220,000.00   9/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57332728    341,600.00    341,600.00  Purchase  Full           465,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57399248    195,000.00    195,000.00  Purchase  Full           260,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
 59405209    500,000.00    500,000.00  C/O Refi  Full           675,000.00  10/1/2008   11.625   2.75       2    2.75  1 YR CMT
146143144    328,000.00    328,000.00  C/O Refi  Asset Only     445,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
146287628    192,500.00    192,500.00  Purchase  Full           290,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
 57705964  2,000,000.00  2,000,000.00  Purchase  Full         3,048,000.00  11/1/2008    11.25   2.75       2    2.75  1 YR CMT
 57876583  1,000,000.00  1,000,000.00  Purchase  Asset Only   1,800,000.00   8/1/2008   11.625   2.75       2    2.75  1 YR CMT
148635071    853,000.00    852,992.12  C/O Refi  Asset Only   1,550,000.00  12/1/2008   11.625   2.75       2    2.75  1 YR CMT
145005328    320,000.00    320,000.00  R/T Refi  Asset Only     398,000.00   7/1/2010    10.25   2.25       2    2.25  1 YR LIBOR
146708391    292,000.00    292,000.00  Purchase  Full           366,500.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
147195101    276,000.00    276,000.00  Purchase  AUS            356,000.00   3/1/2011   10.125   2.25       2    2.25  1 YR LIBOR
147558795    400,000.00    400,000.00  C/O Refi  Asset Only     550,000.00  11/1/2010   10.625   2.25       2    2.25  1 YR LIBOR
148586894    398,000.00    398,000.00  Purchase  Income Only    513,000.00   3/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
149255952    275,000.00    275,000.00  R/T Refi  Full           375,000.00  12/1/2010   11.625   2.25       2    2.25  1 YR LIBOR
149286361    173,372.00    173,372.00  Purchase  AUS            217,000.00   2/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
149288573    204,000.00    203,750.37  Purchase  Full           223,000.00   9/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
149311474    188,000.00    188,000.00  C/O Refi  AUS            235,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149421554    284,000.00    283,900.00  Purchase  Full           360,000.00   1/1/2011       11   2.25       2    2.25  1 YR LIBOR
149448847    292,000.00    291,900.00  Purchase  Full           365,000.00   1/1/2011       11   2.25       2    2.25  1 YR LIBOR
149449092    343,920.00    343,816.61  Purchase  AUS            430,000.00   4/1/2011    10.25   2.25       2    2.25  1 YR LIBOR
149459422    163,160.00    163,160.00  Purchase  Full           207,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149474934    364,000.00    364,000.00  C/O Refi  Full           455,000.00  12/1/2010    10.75   2.25       2    2.25  1 YR LIBOR
149499279    360,000.00    360,000.00  C/O Refi  Full           453,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149505398    327,250.00    327,250.00  R/T Refi  Full           390,000.00  12/1/2010   10.625   2.25       2    2.25  1 YR LIBOR
149586018    126,000.00    126,000.00  R/T Refi  Full           160,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149586265    344,000.00    344,000.00  Purchase  Full           515,000.00   1/1/2011   11.375   2.25       2    2.25  1 YR LIBOR
149588683    209,000.00    208,948.84  C/O Refi  Full           312,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
149595498    276,250.00    276,250.00  C/O Refi  AUS            425,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149599946    232,000.00    232,000.00  Purchase  Full           290,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149602146    352,000.00    352,000.00  Purchase  Full           490,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149647935    206,250.00    206,250.00  Purchase  Full           290,000.00   2/1/2011   11.375   2.25       2    2.25  1 YR LIBOR
149672016    353,452.00    353,271.62  Purchase  Full           442,000.00   2/1/2011   11.125   2.25       2    2.25  1 YR LIBOR
149758468    283,950.00    283,950.00  Purchase  Asset Only     355,000.00   4/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149801847    255,000.00    254,599.91  R/T Refi  Asset Only     450,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149842015    240,000.00    239,999.99  Purchase  Full           320,000.00   2/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
149851875    276,000.00    275,969.98  Purchase  Full           345,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149881906    380,500.00    380,500.00  C/O Refi  AUS            480,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149919425    327,600.00    327,600.00  R/T Refi  Full           364,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149921389    235,018.00    235,018.00  Purchase  AUS            315,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149923096    353,600.00    353,600.00  C/O Refi  AUS            442,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149930323    295,700.00    295,700.00  Purchase  Full           370,000.00   2/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
149934549    414,450.00    414,450.00  Purchase  Asset Only     539,000.00   2/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
149936163    200,000.00    200,000.00  R/T Refi  Full           250,000.00   2/1/2011    11.25   2.25       2    2.25  1 YR LIBOR
149938664    195,000.00    195,000.00  C/O Refi  AUS            261,000.00   2/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
149942393    300,000.00    300,000.00  R/T Refi  Full           375,000.00   1/1/2011    11.25   2.25       2    2.25  1 YR LIBOR
149953796    225,500.00    225,500.00  C/O Refi  Full           285,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149965394    125,600.00    125,600.00  Purchase  Full           165,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
149972929    286,400.00    286,400.00  C/O Refi  Asset Only     370,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149975807    137,000.00    137,000.00  R/T Refi  Full           180,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
149991044    123,200.00    123,199.99  Purchase  Full           156,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150002749    175,866.00    175,866.00  Purchase  AUS            240,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150020055    340,000.00    339,966.71  Purchase  Full           561,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150021376    340,000.00    339,966.71  Purchase  Full           565,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150032217    249,000.00    249,000.00  R/T Refi  Asset Only     325,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150032886    364,000.00    364,000.00  R/T Refi  Full           600,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150041655    323,960.00    323,960.00  Purchase  Full           411,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150061281    312,000.00    312,000.00  R/T Refi  Full           390,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150072452    252,000.00    252,000.00  C/O Refi  Full           340,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150107894    296,000.00    296,000.00  C/O Refi  Full           370,500.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150114429    111,700.00    111,700.00  R/T Refi  Asset Only     147,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150117711     88,650.00     88,650.00  Purchase  Full           138,000.00   3/1/2011     11.5   2.25       2    2.25  1 YR LIBOR
150127538    420,000.00    420,000.00  C/O Refi  Full           855,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150132033    400,000.00    400,000.00  Purchase  Full           500,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150136638    295,500.00    295,497.00  C/O Refi  Full           407,000.00   1/1/2011   11.125   2.25       2    2.25  1 YR LIBOR
150156388    215,920.00    215,920.00  Purchase  Full           270,000.00   3/1/2011     10.5   2.25       2    2.25  1 YR LIBOR
150186526    200,000.00    200,000.00  R/T Refi  Asset Only     252,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150190965    376,000.00    376,000.00  C/O Refi  Full           470,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150207058    236,000.00    236,000.00  R/T Refi  AUS            295,000.00   4/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150208106    157,000.00    156,900.00  C/O Refi  Asset Only     219,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150214856    116,800.00    116,800.00  Purchase  Full           146,000.00   1/1/2011     10.5   2.25       2    2.25  1 YR LIBOR
150217131    151,900.00    151,900.00  Purchase  Full           190,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150217511    378,200.00    378,200.00  Purchase  Full           478,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150218519    416,000.00    413,224.96  C/O Refi  Asset Only     630,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150219996    204,000.00    204,000.00  Purchase  Full           260,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150220242    376,000.00    376,000.00  Purchase  Full           470,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150220762    316,000.00    316,000.00  Purchase  Full           420,000.00   2/1/2011       11   2.25       2    2.25  1 YR LIBOR
150232494    377,629.00    377,629.00  Purchase  AUS            495,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150235364    172,000.00    172,000.00  Purchase  Full           217,500.00   2/1/2011    11.25   2.25       2    2.25  1 YR LIBOR
150243095    318,328.00    318,328.00  Purchase  Asset Only     449,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150265635    408,000.00    408,000.00  Purchase  Full           510,000.00   2/1/2011   11.875   2.25       2    2.25  1 YR LIBOR
150273662    114,400.00    114,400.00  Purchase  Full           145,000.00   1/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150297869    279,200.00    279,200.00  Purchase  Full           353,000.00   4/1/2011     10.5   2.25       2    2.25  1 YR LIBOR
150331007    322,400.00    322,400.00  Purchase  Asset Only     403,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150338739    386,800.00    386,800.00  Purchase  AUS            490,000.00   4/1/2011    9.875   2.25       2    2.25  1 YR LIBOR
150347094    186,000.00    186,000.00  Purchase  Full           234,000.00   2/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
150358869    324,000.00    324,000.00  Purchase  AUS            405,000.00   3/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150363539    174,400.00    174,400.00  Purchase  Full           225,000.00   3/1/2011       12   2.25       2    2.25  1 YR LIBOR
150374049    310,460.00    310,460.00  Purchase  Full           400,000.00   2/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150406379    292,000.00    291,999.94  C/O Refi  AUS            365,000.00   3/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150407146    298,000.00    298,000.00  Purchase  Full           380,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150444776    371,800.00    371,800.00  Purchase  Full           467,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150455509    320,000.00    319,983.33  C/O Refi  AUS            400,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150456556    520,000.00    520,000.00  R/T Refi  Asset Only     700,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150462596    300,000.00    300,000.00  C/O Refi  Asset Only     490,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150467066    295,900.00    295,900.00  Purchase  Asset Only     375,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150492809    415,200.00    415,200.00  Purchase  Full           519,000.00   5/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150493062    288,000.00    288,000.00  Purchase  AUS            360,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150493153    284,000.00    284,000.00  C/O Refi  Full           355,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150494953    138,720.00    138,720.00  Purchase  Full           174,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150521458    394,493.00    394,493.00  Purchase  Asset Only     526,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150525764    256,720.00    256,393.31  Purchase  Full           382,000.00   4/1/2011    11.25   2.25       2    2.25  1 YR LIBOR
150528479    308,000.00    308,000.00  Purchase  Full           385,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150538684    232,000.00    232,000.00  C/O Refi  Asset Only     380,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150541886    346,150.00    345,950.00  Purchase  Full           392,000.00  12/1/2010   10.875   2.25       2    2.25  1 YR LIBOR
150548857    292,000.00    292,000.00  Purchase  Full           366,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150564722    255,040.00    255,040.00  Purchase  Asset Only     330,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150585545    323,250.00    323,250.00  Purchase  Full           405,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150602266    192,800.00    192,600.00  R/T Refi  Full           255,000.00   1/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
150603934    155,000.00    154,949.76  Purchase  Full           200,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150606135    157,300.00    157,230.63  R/T Refi  Full           197,000.00   1/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150606242    207,082.00    207,082.00  Purchase  Full           264,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150615102    272,000.00    272,000.00  C/O Refi  Full           345,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150636041    315,600.00    315,600.00  Purchase  AUS            394,500.00   4/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150663854    247,009.00    247,009.00  Purchase  AUS            275,000.00   6/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150670578    342,800.00    342,800.00  Purchase  Asset Only     428,500.00   4/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150685899    398,400.00    398,325.00  C/O Refi  Full           498,000.00   2/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
150696938    230,400.00    230,339.73  Purchase  Full           300,000.00   5/1/2011   10.375   2.25       2    2.25  1 YR LIBOR
150726941    227,990.00    227,988.11  Purchase  Full           240,000.00   4/1/2011   11.125   2.25       2    2.25  1 YR LIBOR
150728277    389,000.00    388,844.78  C/O Refi  Full           550,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150741221    280,000.00    280,000.00  R/T Refi  Full           415,000.00   3/1/2011   11.875   2.25       2    2.25  1 YR LIBOR
150778868    192,800.00    192,800.00  Purchase  Full           245,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150794279    229,600.00    229,600.00  Purchase  Full           287,000.00   4/1/2011    11.25   2.25       2    2.25  1 YR LIBOR
150802874    280,000.00    280,000.00  Purchase  AUS            353,000.00   4/1/2011     10.5   2.25       2    2.25  1 YR LIBOR
150817492    367,100.00    367,100.00  Purchase  Full           458,888.00   4/1/2011       11   2.25       2    2.25  1 YR LIBOR
150850576    340,000.00    340,000.00  C/O Refi  Full           425,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150885697    272,000.00    272,000.00  Purchase  AUS            340,000.00   4/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150891661    360,000.00    360,000.00  R/T Refi  Full           453,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150893808    275,000.00    275,000.00  R/T Refi  Full           475,000.00   2/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150900843    306,000.00    306,000.00  Purchase  Full           385,000.00   2/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
150907673    347,368.00    347,368.00  Purchase  Asset Only     372,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150942712    348,000.00    348,000.00  C/O Refi  Asset Only     435,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150953909    268,320.00    268,320.00  Purchase  AUS            385,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
150958155    360,800.00    360,800.00  Purchase  AUS            455,000.00   6/1/2011     10.5   2.25       2    2.25  1 YR LIBOR
151058831    380,000.00    380,000.00  Purchase  AUS            505,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151068699    150,000.00    149,997.28  R/T Refi  Full           188,000.00   3/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
151074309    249,500.00    249,499.27  C/O Refi  Full           312,000.00   4/1/2011   10.625   2.25       2    2.25  1 YR LIBOR
151083946    164,000.00    164,000.00  Purchase  Full           226,000.00   4/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
151142213    281,025.00    281,025.00  Purchase  Full           297,000.00   4/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
151257755    221,600.00    221,569.76  Purchase  Asset Only     280,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151271095    278,400.00    278,400.00  Purchase  Full           348,000.00   6/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151288552    170,800.00    170,800.00  Purchase  Full           214,000.00   5/1/2011     11.5   2.25       2    2.25  1 YR LIBOR
151298536    227,800.00    227,800.00  Purchase  Full           285,000.00   5/1/2011   11.375   2.25       2    2.25  1 YR LIBOR
151349032    252,000.00    252,000.00  Purchase  Income Only    315,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151354693    181,250.00    181,215.26  Purchase  Full           228,000.00  12/1/2010    10.75   2.25       2    2.25  1 YR LIBOR
151384781    200,000.00    200,000.00  R/T Refi  Asset Only     250,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151389632    205,600.00    205,600.00  R/T Refi  Asset Only     257,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151474145    397,500.00    397,500.00  Purchase  Asset Only     530,000.00   4/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151486826    274,500.00    274,500.00  Purchase  Full           360,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151497666    375,920.00    375,919.48  Purchase  Full           520,000.00   3/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151558889    235,000.00    235,000.00  C/O Refi  Full           393,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151660198    362,250.00    362,250.00  Purchase  Full           480,000.00   4/1/2011       11   2.25       2    2.25  1 YR LIBOR
151712999    120,000.00    120,000.00  Purchase  AUS            168,000.00   5/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
151725355    356,000.00    356,000.00  Purchase  AUS            445,000.00   5/1/2011    10.75   2.25       2    2.25  1 YR LIBOR
151725504    296,000.00    296,000.00  Purchase  Asset Only     380,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
151759362    231,960.00    231,960.00  Purchase  Full           295,000.00   5/1/2011       12   2.25       2    2.25  1 YR LIBOR
151882784    130,320.00    130,320.00  Purchase  Full           164,000.00   6/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
152048401    223,100.00    223,100.00  Purchase  Asset Only     279,000.00   5/1/2011   10.875   2.25       2    2.25  1 YR LIBOR
152062766    322,000.00    321,993.61  R/T Refi  Full           340,000.00   4/1/2011    10.25   2.25       2    2.25  1 YR LIBOR
 53405478    264,675.00    264,675.00  Purchase  Full           279,000.00   5/1/2013    10.75   2.75       2    2.75  1 YR CMT
 54855374    328,006.00    328,006.00  Purchase  Full           346,000.00   5/1/2013   10.375   2.75       2    2.75  1 YR CMT
 58844176    329,360.00    329,360.00  Purchase  Full           412,000.00   5/1/2013     9.25   2.75       2    2.75  1 YR CMT
 61609905    181,170.00    181,151.45  Purchase  Asset Only     201,500.00   5/1/2013    10.75   2.75       2    2.75  1 YR CMT
 63801062    253,000.00    252,948.15  Purchase  AUS            317,000.00   5/1/2013   10.875   2.75       2    2.75  1 YR CMT
 64399231    141,600.00    141,600.00  Purchase  Full           177,000.00   5/1/2013    10.75   2.75       2    2.75  1 YR CMT
 64778343    144,000.00    144,000.00  Purchase  Full           187,000.00   5/1/2013   11.875   2.75       2    2.75  1 YR CMT
146668413    357,650.00    357,650.00  Purchase  Full           454,000.00   4/1/2013      9.5   2.75       2    2.75  1 YR CMT
149782724    257,600.00    257,600.00  Purchase  AUS            330,000.00   5/1/2013    10.25   2.75       2    2.75  1 YR CMT
149835563    236,719.00    236,719.00  Purchase  AUS            306,000.00   5/1/2013     10.5   2.75       2    2.75  1 YR CMT
150673465    274,400.00    274,400.00  Purchase  AUS            345,000.00   6/1/2013    10.75   2.75       2    2.75  1 YR CMT
150827178    360,000.00    360,000.00  Purchase  Full           460,000.00   5/1/2013    10.75   2.75       2    2.75  1 YR CMT
150978773    321,600.00    321,400.00  R/T Refi  Asset Only     402,000.00   4/1/2013   10.875   2.75       2    2.75  1 YR CMT
151243904    410,000.00    410,000.00  R/T Refi  Asset Only     640,000.00   4/1/2013   10.875   2.75       2    2.75  1 YR CMT
151280559     93,652.00     93,652.00  Purchase  Full           119,000.00   4/1/2013    11.75   2.75       2    2.75  1 YR CMT
151388055    400,000.00    400,000.00  Purchase  Full           855,000.00   5/1/2013   11.125   2.75       2    2.75  1 YR CMT
151636396    170,164.00    169,028.72  Purchase  Full           235,000.00   5/1/2013   11.625   2.75       2    2.75  1 YR CMT
151677622    204,000.00    204,000.00  Purchase  Full           260,000.00   4/1/2013     11.5   2.75       2    2.75  1 YR CMT
151696101    348,800.00    348,800.00  Purchase  AUS            436,000.00   5/1/2013   10.625   2.75       2    2.75  1 YR CMT
151731619    342,900.00    342,900.00  C/O Refi  AUS            440,000.00   5/1/2013     10.5   2.75       2    2.75  1 YR CMT
151918513    369,600.00    369,600.00  Purchase  AUS            462,000.00   5/1/2013    10.75   2.75       2    2.75  1 YR CMT
152064838    332,500.00    332,500.00  Purchase  AUS            425,000.00   5/1/2013   10.625   2.75       2    2.75  1 YR CMT
 47223854    690,000.00    686,870.46  R/T Refi  Full           975,000.00   3/1/2016    10.75   2.75       2    2.75  1 YR CMT
 51941433    459,000.00    299,553.39  R/T Refi  Full           540,000.00   4/1/2016       11   2.75       2    2.75  1 YR CMT
 53226932  1,260,000.00  1,260,000.00  R/T Refi  Full         1,575,000.00   4/1/2016   10.625   2.75       2    2.75  1 YR CMT
 54614433    987,000.00    987,000.00  Purchase  Full         1,247,000.00   6/1/2016   10.625   2.75       2    2.75  1 YR CMT
 57450116  2,000,000.00  2,000,000.00  Purchase  Full         3,018,000.00   4/1/2016    10.75   2.75       2    2.75  1 YR CMT
 58390147    425,000.00    425,000.00  Purchase  Full           750,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 58969452    640,000.00    639,675.00  Purchase  Full           894,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
 60059979  1,278,356.00  1,276,954.15  Purchase  Full         1,600,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT
 60981099    950,000.00    950,000.00  Purchase  Asset Only   1,810,500.00   4/1/2016       11   2.75       2    2.75  1 YR CMT
 61186052    568,320.00    568,320.00  Purchase  Asset Only     715,000.00   6/1/2016     11.5   2.75       2    2.75  1 YR CMT
 62282058  1,000,000.00  1,000,000.00  Purchase  Full         1,800,000.00   6/1/2016    11.25   2.75       2    2.75  1 YR CMT
 62295084    945,000.00    945,000.00  C/O Refi  Asset Only   1,350,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT
 62541321  1,000,000.00  1,000,000.00  C/O Refi  Full         1,400,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 62563424  1,600,000.00  1,600,000.00  Purchase  Full         2,000,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 62637368  1,000,000.00  1,000,000.00  Purchase  Asset Only   1,515,000.00   6/1/2016    11.25   2.75       2    2.75  1 YR CMT
 62699798    500,000.00    500,000.00  Purchase  Asset Only     663,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 62728183    600,000.00    600,000.00  Purchase  Full           910,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 62776679    472,000.00    472,000.00  Purchase  Full           650,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 62783741    600,000.00    600,000.00  C/O Refi  Full           800,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 62802368    488,970.00    488,970.00  Purchase  Asset Only     620,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 62908694    500,000.00    500,000.00  R/T Refi  Asset Only     800,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
 62964796  1,755,000.00  1,755,000.00  C/O Refi  Asset Only   2,700,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
 63198543    637,500.00    637,500.00  Purchase  Full           850,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 63221402    693,000.00    693,000.00  C/O Refi  Asset Only     990,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63315725    582,656.00    582,656.00  Purchase  Asset Only     730,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
 63321939    596,000.00    596,000.00  Purchase  Full           750,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63342877    752,000.00    752,000.00  Purchase  Asset Only     940,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63413645    500,000.00    500,000.00  Purchase  Full           710,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
 63423842    500,000.00    500,000.00  C/O Refi  Asset Only     856,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63447619    500,000.00    500,000.00  C/O Refi  Full           900,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63474035    439,000.00    439,000.00  R/T Refi  Asset Only     530,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63477673    505,120.00    505,120.00  Purchase  Full           568,000.00   4/1/2016    10.75   2.75       2    2.75  1 YR CMT
 63545537    420,800.00    419,596.39  Purchase  Full           529,500.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
 63548812  1,000,000.00    999,734.37  C/O Refi  Full         1,550,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63550776    464,000.00    464,000.00  Purchase  Full           580,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63554968    637,500.00    637,500.00  R/T Refi  Asset Only     875,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 63556237    635,200.00    635,200.00  Purchase  Full           800,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 63588875  1,416,000.00  1,416,000.00  Purchase  Full         1,780,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 63596415  1,120,000.00  1,120,000.00  Purchase  Full         1,400,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
 63641021  1,462,500.00  1,462,500.00  Purchase  Asset Only   1,950,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63654164    800,000.00    797,870.82  R/T Refi  Full         1,150,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
 63658132  1,008,000.00  1,008,000.00  R/T Refi  Full         2,200,000.00   4/1/2016       11   2.75       2    2.75  1 YR CMT
 63763908    454,500.00    454,500.00  C/O Refi  Asset Only     606,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
 63768493    480,000.00    478,659.16  Purchase  Asset Only     600,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63799167    715,000.00    715,000.00  C/O Refi  Asset Only   1,275,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
 63802581    560,000.00    558,788.00  R/T Refi  Full           675,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63837306  1,732,500.00  1,732,500.00  Purchase  Asset Only   2,310,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
 63864946    576,800.00    575,397.91  Purchase  Full           721,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
 63909717    420,750.00    420,235.05  Purchase  Asset Only     500,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT
 63950539    500,000.00    498,636.62  Purchase  Full           540,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
 63954408    703,200.00    653,200.00  Purchase  Full           879,000.00   6/1/2016    11.25   2.75       2    2.75  1 YR CMT
 63955777    552,000.00    552,000.00  C/O Refi  Asset Only     690,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
 63994479  2,480,000.00  2,480,000.00  Purchase  Full         3,150,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 63995666    600,000.00    600,000.00  C/O Refi  Full           825,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
 64005705    512,000.00    511,002.18  Purchase  Asset Only     640,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
 64007248    660,000.00    660,000.00  C/O Refi  Full         2,000,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64026594  1,409,400.00  1,409,400.00  Purchase  Full         1,850,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 64036486    488,000.00    487,900.00  C/O Refi  Full           610,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64070105    489,200.00    488,700.00  Purchase  Full           890,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64080112    524,000.00    523,983.40  Purchase  Full           655,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 64093941    637,000.00    637,000.00  C/O Refi  Asset Only     980,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT
 64114226  1,500,000.00  1,500,000.00  Purchase  Full         2,100,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT
 64126196    652,000.00    651,879.72  Purchase  Asset Only     815,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
 64137243    489,600.00    489,600.00  Purchase  Full           615,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64144041    444,600.00    297,895.80  Purchase  AUS            556,000.00   4/1/2016   10.625   2.75       2    2.75  1 YR CMT
 64187214    880,000.00    880,000.00  Purchase  Full         1,100,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64196835    469,775.00    468,554.76  Purchase  AUS            535,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT
 64200108  1,320,000.00  1,320,000.00  Purchase  Full         1,650,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64229982  1,720,000.00  1,720,000.00  Purchase  Full         2,150,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 64232002    542,400.00    542,400.00  Purchase  Asset Only     680,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64232374    462,312.00    462,312.00  Purchase  Asset Only     514,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64278682    582,200.00    582,200.00  R/T Refi  Asset Only     850,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64279979    999,000.00    999,000.00  R/T Refi  Full         1,575,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 64286321    540,000.00    540,000.00  C/O Refi  Asset Only     675,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64304553    505,600.00    505,600.00  C/O Refi  Asset Only     632,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64332455    999,999.00    999,999.00  R/T Refi  Asset Only   1,850,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64335037  1,000,000.00  1,000,000.00  Purchase  AUS          1,280,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
 64335896  1,880,000.00  1,880,000.00  Purchase  Full         2,400,000.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT
 64337371    468,000.00    467,130.78  C/O Refi  AUS            585,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64362999  1,310,000.00  1,310,000.00  Purchase  Asset Only   1,750,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64374663    944,000.00    943,722.85  R/T Refi  Asset Only   1,180,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
 64384233    600,000.00    598,912.24  C/O Refi  Asset Only     750,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64395783    500,000.00    500,000.00  C/O Refi  Full         1,000,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
 64395924    464,000.00    463,158.79  Purchase  AUS            581,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64435746    630,000.00    630,000.00  C/O Refi  Asset Only   1,500,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64470321    498,750.00    498,750.00  Purchase  Asset Only     529,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
 64471519    456,000.00    455,153.06  Purchase  AUS            570,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64537129  1,400,000.00  1,400,000.00  Purchase  Asset Only   2,020,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
 64561103    420,000.00    420,000.00  Purchase  Full           528,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64603624    500,000.00    500,000.00  Purchase  AUS            544,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
 64610017  2,540,000.00  2,540,000.00  Purchase  Full         3,200,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64611148  1,277,400.00  1,277,400.00  Purchase  Full         1,596,750.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
 64619869    525,000.00    525,000.00  C/O Refi  Asset Only     684,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64689607    499,000.00    499,000.00  C/O Refi  AUS            740,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
 64712557    880,000.00    880,000.00  Purchase  Asset Only   1,100,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64738222    515,000.00    515,000.00  C/O Refi  Asset Only     700,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64768021    612,000.00    612,000.00  R/T Refi  Asset Only     765,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64798457    520,000.00    520,000.00  Purchase  Asset Only     663,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
 64808371    600,951.00    600,951.00  Purchase  Asset Only     870,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64808496    492,816.00    491,900.69  R/T Refi  AUS            670,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64835119    599,900.00    598,812.42  Purchase  Asset Only     750,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64842958    879,200.00    879,200.00  Purchase  Asset Only   1,100,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
 64859952    557,900.00    557,900.00  Purchase  Asset Only     620,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
 64867013    496,000.00    495,945.00  R/T Refi  AUS            620,000.00   5/1/2016   12.125   2.75       2    2.75  1 YR CMT
 64933328    995,000.00    995,000.00  Purchase  Asset Only   1,275,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64933757    630,000.00    630,000.00  C/O Refi  Asset Only     965,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
 64967318    605,245.00    605,245.00  Purchase  Asset Only     807,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT
 64987092    614,400.00    614,400.00  Purchase  Asset Only     768,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
 65126229    740,000.00    740,000.00  Purchase  Asset Only     925,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
 65302655    460,000.00    459,594.15  Purchase  Full           575,000.00   6/1/2016   11.625   2.75       2    2.75  1 YR CMT
146208475    429,650.00    331,796.86  Purchase  Full           550,000.00   5/1/2016      9.5   2.75       2    2.75  1 YR CMT
149220808    446,025.00    444,287.81  Purchase  Full           470,000.00   3/1/2016    11.25   2.75       2    2.75  1 YR CMT
149860132    529,600.00    529,599.50  Purchase  Asset Only     662,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
149871428    500,000.00    500,000.00  Purchase  Full           875,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
150001485    510,000.00    510,000.00  Purchase  Income Only    665,000.00   5/1/2016    10.25   2.75       2    2.75  1 YR CMT
150085124    428,000.00    428,000.00  R/T Refi  Asset Only     535,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
150356848    450,000.00    449,035.58  C/O Refi  Income Only    660,000.00   5/1/2016   10.625   2.75       2    2.75  1 YR CMT
150361368    635,000.00    632,571.07  R/T Refi  Asset Only     950,000.00   3/1/2016    11.25   2.75       2    2.75  1 YR CMT
150424695    500,000.00    500,000.00  Purchase  Asset Only     750,000.00   3/1/2016     11.5   2.75       2    2.75  1 YR CMT
150453116    450,000.00    450,000.00  C/O Refi  Asset Only     605,000.00   3/1/2016     11.5   2.75       2    2.75  1 YR CMT
150512994    520,000.00    520,000.00  C/O Refi  Asset Only     877,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
150563187    625,000.00    623,752.49  Purchase  Asset Only     925,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
150644979    630,000.00    629,623.99  C/O Refi  Full         1,075,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
150722569    469,200.00    469,200.00  Purchase  Full           588,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
150756955    478,400.00    478,352.76  Purchase  Asset Only     599,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
150764264    432,000.00    432,000.00  Purchase  Asset Only     480,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
150774388    692,664.00    691,724.09  Purchase  Asset Only     866,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
150804219    454,400.00    454,093.00  Purchase  Asset Only     590,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
150811875    597,000.00    596,942.97  Purchase  Asset Only     747,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
150814929    921,000.00    921,000.00  C/O Refi  Full         1,255,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
150818052    528,000.00    528,000.00  Purchase  Asset Only     660,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
150841005    480,000.00    480,000.00  R/T Refi  Full           600,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
150850782    596,000.00    596,000.00  R/T Refi  Asset Only     745,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
150854578    536,800.00    536,800.00  Purchase  Asset Only     685,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
150859841    460,000.00    458,323.06  C/O Refi  Asset Only     645,000.00   3/1/2016     11.5   2.75       2    2.75  1 YR CMT
150898393    692,000.00    692,000.00  Purchase  Full           865,000.00   4/1/2016    10.75   2.75       2    2.75  1 YR CMT
150936649    588,000.00    588,000.00  C/O Refi  Full           735,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
150945145    622,500.00    622,500.00  Purchase  Asset Only     830,000.00   3/1/2016    11.25   2.75       2    2.75  1 YR CMT
151000064    506,750.00    506,750.00  Purchase  Full           634,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151001344    607,500.00    607,500.00  Purchase  Full           855,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
151001773    588,500.00    588,500.00  Purchase  Asset Only     765,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT
151008471    496,000.00    496,000.00  C/O Refi  Asset Only     620,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151020195    516,000.00    516,000.00  C/O Refi  Asset Only     645,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT
151028891    495,000.00    495,000.00  Purchase  Asset Only     560,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151029923    639,200.00    639,174.66  Purchase  Asset Only     799,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151034451    750,000.00    750,000.00  C/O Refi  Asset Only   1,300,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
151056637    450,000.00    448,712.38  C/O Refi  Asset Only     600,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
151062155    850,000.00    850,000.00  C/O Refi  Asset Only   1,600,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151073517    450,000.00    450,000.00  C/O Refi  Asset Only     900,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151075082    580,000.00    580,000.00  C/O Refi  Asset Only     850,000.00   3/1/2016    11.75   2.75       2    2.75  1 YR CMT
151098886    620,000.00    618,389.55  C/O Refi  Asset Only   1,100,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT
151101961    583,500.00    583,500.00  Purchase  Asset Only     778,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151103538    460,000.00    460,000.00  Purchase  Full           585,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT
151104858    627,000.00    627,000.00  Purchase  Asset Only     836,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151108776    556,000.00    556,000.00  Purchase  Asset Only     705,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
151111192    606,000.00    606,000.00  C/O Refi  Asset Only     925,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT
151111267    576,000.00    576,000.00  C/O Refi  Asset Only     720,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
151118858    555,750.00    555,750.00  C/O Refi  Full           855,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
151137288    555,000.00    555,000.00  Purchase  Asset Only     935,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT
151139441    491,260.00    488,610.00  C/O Refi  Asset Only     650,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151144615    512,000.00    512,000.00  Purchase  Asset Only     640,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151149671    640,000.00    640,000.00  R/T Refi  Asset Only     830,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151151925    736,000.00    736,000.00  R/T Refi  Asset Only     920,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
151153426    555,750.00    555,654.59  Purchase  Asset Only     745,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
151162765    502,000.00    502,000.00  C/O Refi  Asset Only     699,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
151169174    584,000.00    584,000.00  Purchase  Asset Only     730,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
151173317    720,000.00    720,000.00  Purchase  Full           900,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT
151175288    500,000.00    496,942.06  C/O Refi  Asset Only     630,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT
151181252    915,000.00    915,000.00  Purchase  Full         1,255,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151196326    468,000.00    468,000.00  Purchase  Asset Only     585,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151205499    481,000.00    480,604.57  C/O Refi  Asset Only     710,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT
151229622    524,000.00    524,000.00  Purchase  Full           660,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151243201    640,000.00    640,000.00  C/O Refi  Asset Only     800,000.00   5/1/2016   12.125   2.75       2    2.75  1 YR CMT
151247608    850,000.00    850,000.00  C/O Refi  Asset Only   1,950,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
151250255    550,000.00    550,000.00  R/T Refi  Asset Only     701,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151274644    495,000.00    495,000.00  C/O Refi  Asset Only     900,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151282118    529,000.00    521,208.44  R/T Refi  Asset Only     685,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151293743    817,000.00    815,000.00  C/O Refi  Asset Only   2,000,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
151302932    735,000.00    728,904.69  C/O Refi  Asset Only   1,825,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151309499    497,000.00    497,000.00  R/T Refi  Asset Only     623,700.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151312642    528,000.00    528,000.00  C/O Refi  Asset Only     660,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151321668    444,000.00    443,833.73  R/T Refi  Asset Only     650,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT
151330065    548,000.00    548,000.00  C/O Refi  Asset Only     685,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151331659    800,000.00    800,000.00  R/T Refi  Full         1,000,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
151331774    492,000.00    492,000.00  R/T Refi  Asset Only     615,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151352275    600,000.00    600,000.00  Purchase  Asset Only     775,000.00   6/1/2016     11.5   2.75       2    2.75  1 YR CMT
151359254    500,000.00    500,000.00  R/T Refi  Asset Only     625,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151379021    958,400.00    958,400.00  Purchase  Asset Only   1,198,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT
151382215    820,000.00    820,000.00  Purchase  Asset Only   1,095,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
151382819    495,000.00    495,000.00  C/O Refi  Asset Only     585,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT
151394582    630,000.00    630,000.00  C/O Refi  Asset Only     900,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
151394608    440,000.00    440,000.00  C/O Refi  Full           550,000.00   5/1/2016       12   2.75       2    2.75  1 YR CMT
151406162    503,200.00    502,208.84  Purchase  Asset Only     635,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
151409406    530,000.00    529,851.67  C/O Refi  Asset Only     900,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT
151419652    720,000.00    719,925.00  R/T Refi  Asset Only   1,300,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT
151421708    440,000.00    440,000.00  Purchase  Asset Only     550,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
151435104    646,400.00    644,164.93  Purchase  Asset Only     815,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
151435294    525,000.00    525,000.00  Purchase  Asset Only     660,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151450541    432,000.00    432,000.00  C/O Refi  Asset Only     540,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
151466828    609,000.00    602,966.87  Purchase  Full         1,015,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT
151467115    536,000.00    535,959.17  R/T Refi  Asset Only     670,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
151468527    525,600.00    525,600.00  Purchase  Asset Only     657,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT
151468782    600,000.00    600,000.00  Purchase  Asset Only     775,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT
151471653    441,600.00    441,200.00  Purchase  Full           555,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
151486727    455,000.00    455,000.00  C/O Refi  Asset Only     845,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
151497864    520,000.00    520,000.00  C/O Refi  Asset Only     655,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT
151499373    487,000.00    487,000.00  Purchase  Asset Only     629,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
151500386    490,000.00    490,000.00  R/T Refi  Asset Only     622,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151511573    463,000.00    463,000.00  R/T Refi  Asset Only     640,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
151553989    543,000.00    543,000.00  C/O Refi  Asset Only     930,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151591476    965,000.00    965,000.00  R/T Refi  Asset Only   1,600,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151593209    423,000.00    423,000.00  R/T Refi  Asset Only     650,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151596418    529,000.00    529,000.00  C/O Refi  Asset Only     795,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
151606407    450,000.00    450,000.00  C/O Refi  Asset Only     750,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151616406    500,000.00    500,000.00  C/O Refi  Asset Only     650,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151630431    591,200.00    591,200.00  C/O Refi  Asset Only     739,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
151631348    520,000.00    519,952.00  Purchase  Asset Only     660,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151672151    555,000.00    554,994.25  C/O Refi  Asset Only     760,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
151672367    540,900.00    539,965.96  Purchase  Asset Only     610,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
151682127    452,000.00    451,998.33  Purchase  Asset Only     570,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151702354    431,700.00    431,700.00  R/T Refi  Asset Only     565,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT
151715638    816,000.00    816,000.00  Purchase  Asset Only   1,050,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151723178    483,750.00    483,750.00  C/O Refi  Asset Only     645,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151724119    500,000.00    500,000.00  Purchase  Asset Only   1,000,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151746054    456,000.00    455,193.14  Purchase  Asset Only     484,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
151747953    444,800.00    444,800.00  Purchase  Asset Only     560,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151758265    999,999.00    999,999.00  Purchase  Asset Only   1,350,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
151761848    715,000.00    715,000.00  C/O Refi  Asset Only   1,100,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151780285    600,000.00    600,000.00  C/O Refi  Asset Only   1,225,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151790763    464,000.00    464,000.00  Purchase  Asset Only     580,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151802592    445,600.00    445,600.00  Purchase  Asset Only     558,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151835501    568,000.00    559,000.00  Purchase  Asset Only     715,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
151852605    503,600.00    503,600.00  Purchase  Income Only    645,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT
151871134    545,000.00    545,000.00  C/O Refi  Asset Only   1,000,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT
151878725    547,200.00    547,200.00  Purchase  Asset Only     686,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT
151881844    420,000.00    420,000.00  C/O Refi  Asset Only     525,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT
151918612    656,250.00    656,250.00  Purchase  Asset Only     880,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT
151951555    550,000.00    550,000.00  C/O Refi  Asset Only     931,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
151959962    590,000.00    590,000.00  C/O Refi  Asset Only     875,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
152008975    550,000.00    550,000.00  C/O Refi  Full           775,000.00   5/1/2016    12.25   2.75       2    2.75  1 YR CMT
152011359    436,000.00    436,000.00  C/O Refi  Asset Only     545,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
152024626    604,500.00    604,500.00  R/T Refi  Asset Only     810,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT
152042925    504,000.00    504,000.00  Purchase  Asset Only     630,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT
152279097    490,500.00    490,077.68  Purchase  Asset Only     545,000.00   6/1/2016    11.75   2.75       2    2.75  1 YR CMT
 39526231    153,157.00    152,527.81  R/T Refi  Asset Only     300,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
 46082871    210,060.00    210,060.00  Purchase  Asset Only     250,000.00   5/1/2011   10.625   2.75       2    2.75  1 YR CMT
 47879457    167,000.00    167,000.00  C/O Refi  Asset Only     250,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 49364854    305,450.00    305,450.00  R/T Refi  Full           360,000.00   9/1/2010    10.75   2.75       2    2.75  1 YR CMT
 50649771    308,000.00    307,007.56  Purchase  Asset Only     400,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 50889583    411,200.00    411,200.00  Purchase  AUS            515,000.00   5/1/2011    9.875   2.75       2    2.75  1 YR CMT
 50971985    227,500.00    227,500.00  Purchase  Full           365,000.00   5/1/2011   10.125   2.75       2    2.75  1 YR CMT
 51985463    290,400.00    290,328.91  Purchase  Asset Only     395,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 52081668    325,000.00    324,996.49  R/T Refi  Full           407,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 52083235    285,210.00    285,210.00  Purchase  Asset Only     350,000.00   5/1/2011   10.625   2.75       2    2.75  1 YR CMT
 52128162    343,000.00    342,997.80  R/T Refi  Asset Only     450,000.00   5/1/2011   10.375   2.75       2    2.75  1 YR CMT
 52158698    255,200.00    253,914.93  Purchase  Full           465,000.00   4/1/2011   10.125   2.75       2    2.75  1 YR CMT
 52341641    252,800.00    252,800.00  Purchase  Full           435,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 52363082    228,300.00    228,300.00  Purchase  Full           241,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
 52452885    301,804.00    301,804.00  Purchase  Full           385,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
 52940202     89,775.00     89,775.00  Purchase  Full            98,500.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
 53240974    140,084.00    140,084.00  Purchase  Full           175,105.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
 53368981    313,920.00    313,920.00  Purchase  Asset Only     445,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
 54068903    343,088.00    342,316.17  Purchase  Full           470,000.00   5/1/2011     10.5   2.75       2    2.75  1 YR CMT
 54315593    136,800.00    136,800.00  Purchase  Full           163,400.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 54956149    300,000.00    298,938.86  Purchase  Asset Only     656,000.00   4/1/2011   10.125   2.75       2    2.75  1 YR CMT
 56389679    398,496.00    397,181.45  Purchase  Full           501,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
 56536873    364,000.00    364,000.00  Purchase  Full           455,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 56591738    130,000.00    129,665.33  Purchase  Asset Only     230,000.00   8/1/2010   10.375   2.75       2    2.75  1 YR CMT
 56821275    264,800.00    264,800.00  Purchase  Asset Only     390,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 56988488    244,405.00    244,405.00  Purchase  Full           310,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 57528622    269,600.00    269,536.81  Purchase  Full           385,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 57921926    316,425.00    316,425.00  Purchase  Full           400,000.00   6/1/2011   10.875   2.75       2    2.75  1 YR CMT
 58095118    377,952.00    377,952.00  Purchase  Full           474,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 58180522    218,240.00    218,240.00  Purchase  Full           293,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
 58493438    225,000.00    225,000.00  R/T Refi  Full           282,000.00   6/1/2011   10.625   2.75       2    2.75  1 YR CMT
 58510819    279,990.00    279,990.00  Purchase  Asset Only     315,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
 59469445    101,610.61    101,610.61  Purchase  Full           127,075.16   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
 59616789    414,200.00    414,200.00  Purchase  Full           436,000.00   6/1/2011    10.25   2.75       2    2.75  1 YR CMT
 59769976    189,037.00    189,037.00  Purchase  Full           211,000.00   5/1/2011   10.375   2.75       2    2.75  1 YR CMT
 60130911    203,781.00    203,781.00  Purchase  Full           257,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 60320215    200,000.00    198,851.80  C/O Refi  Full           635,000.00   2/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60449691    187,400.00    187,399.18  Purchase  Full           235,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60597929    185,600.00    185,600.00  R/T Refi  Full           232,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 60801867    343,200.00    343,200.00  Purchase  Full           429,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 60955416    325,932.00    325,932.00  Purchase  Full           438,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 61351441    124,191.00    124,191.00  Purchase  Full           140,000.00   4/1/2011    11.25   2.75       2    2.75  1 YR CMT
 62063276    156,392.00    156,392.00  Purchase  Full           197,000.00   4/1/2011   11.375   2.75       2    2.75  1 YR CMT
 62114525    195,920.00    195,331.94  Purchase  Full           244,900.00   4/1/2011       11   2.75       2    2.75  1 YR CMT
 62224555     60,874.00     60,874.00  R/T Refi  Full           295,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62261458    398,400.00    397,488.69  Purchase  Asset Only     500,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62300884    202,425.00    202,425.00  Purchase  Asset Only     330,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62322847    141,464.00    141,464.00  Purchase  Full           178,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62533393     31,500.00     31,500.00  Purchase  Full            35,000.00   4/1/2011   11.875   2.75       2    2.75  1 YR CMT
 62539218    416,000.00    414,721.36  Purchase  Asset Only     520,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62555198    133,000.00    133,000.00  R/T Refi  Full           140,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62655303    316,000.00    316,000.00  Purchase  Full           395,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62731989    284,000.00    284,000.00  R/T Refi  Full           355,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62767991    221,840.00    221,840.00  C/O Refi  Full           277,300.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
 62781315    383,920.00    383,920.00  Purchase  Full           487,300.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62868757    134,010.00    134,010.00  Purchase  Asset Only     154,700.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 62979406    141,600.00    141,081.53  Purchase  Full           180,000.00   4/1/2011   11.125   2.75       2    2.75  1 YR CMT
 63219489    328,000.00    328,000.00  Purchase  Asset Only     410,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 63274161    296,720.00    296,720.00  Purchase  Full           381,000.00   4/1/2011       11   2.75       2    2.75  1 YR CMT
 63528012    300,720.00    300,720.00  Purchase  Full           379,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
 63559843    138,421.60    138,421.60  Purchase  Full           174,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 63705891    319,920.00    319,920.00  Purchase  Full           433,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 63746424    282,868.00    282,868.00  Purchase  Full           356,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
 63840656    207,900.00    207,700.00  Purchase  Full           260,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 63883896    319,040.00    319,040.00  Purchase  Full           400,000.00   5/1/2011   10.375   2.75       2    2.75  1 YR CMT
 63923239    344,417.00    344,417.00  Purchase  Full           369,000.00   4/1/2011    10.25   2.75       2    2.75  1 YR CMT
 64042302     94,400.00     94,400.00  Purchase  Full           118,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64140015    280,000.00    280,000.00  Purchase  Asset Only     354,000.00   5/1/2011   11.375   2.75       2    2.75  1 YR CMT
 64153901    292,000.00    292,000.00  Purchase  AUS            365,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64178429    262,740.00    260,740.00  Purchase  Full           340,000.00   4/1/2011   11.125   2.75       2    2.75  1 YR CMT
 64180649    259,920.00    259,920.00  Purchase  AUS            328,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64196959    239,920.00    239,886.23  Purchase  Full           300,000.00   5/1/2011   11.625   2.75       2    2.75  1 YR CMT
 64253438    236,720.00    236,720.00  Purchase  Full           295,900.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 64259245    232,000.00    232,000.00  Purchase  Income Only    290,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 64259864    262,741.00    262,741.00  Purchase  AUS            328,500.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
 64284771    127,040.00    127,040.00  Purchase  AUS            160,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
 64291834    249,200.00    248,678.40  Purchase  AUS            318,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
 64321011    123,660.00    123,660.00  Purchase  Full           137,500.00   5/1/2011   11.875   2.75       2    2.75  1 YR CMT
 64323447    320,000.00    320,000.00  Purchase  Full           420,000.00   5/1/2011   11.625   2.75       2    2.75  1 YR CMT
 64330566    180,461.00    180,461.00  Purchase  AUS            229,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64373897    313,600.00    313,600.00  Purchase  AUS            395,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
 64420052    173,360.00    173,360.00  Purchase  AUS            216,700.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
 64461114    310,860.00    310,860.00  Purchase  Asset Only     346,000.00   5/1/2011   10.625   2.75       2    2.75  1 YR CMT
 64484108    201,600.00    201,216.42  R/T Refi  Full           315,000.00   5/1/2011    11.25   2.75       2    2.75  1 YR CMT
 64501562    142,160.00    142,160.00  Purchase  AUS            179,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64554017    360,000.00    360,000.00  R/T Refi  AUS            450,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64571425    340,234.00    339,878.78  Purchase  Asset Only     427,000.00   6/1/2011    10.75   2.75       2    2.75  1 YR CMT
 64619687    292,000.00    291,700.00  Purchase  AUS            390,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64622467    316,000.00    316,000.00  Purchase  AUS            395,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64710767    239,920.00    239,920.00  Purchase  AUS            300,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64724685    410,000.00    409,980.94  Purchase  Full           512,500.00   5/1/2011   10.375   2.75       2    2.75  1 YR CMT
 64918493    312,000.00    311,362.24  Purchase  AUS            390,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
 64988314    233,520.00    233,520.00  Purchase  Full           293,000.00   6/1/2011   11.625   2.75       2    2.75  1 YR CMT
 65018285    228,855.00    228,855.00  Purchase  Full           242,000.00   5/1/2011    11.25   2.75       2    2.75  1 YR CMT
 65340333    299,900.00    299,900.00  Purchase  AUS            460,000.00   5/1/2011   10.625   2.75       2    2.75  1 YR CMT
144804242    158,400.00    158,400.00  C/O Refi  Full           198,700.00   7/1/2010   10.375   2.75       2    2.75  1 YR CMT
145425823    316,000.00    315,881.51  Purchase  AUS            396,000.00   9/1/2010      9.5   2.75       2    2.75  1 YR CMT
145453544    304,267.00    304,267.00  Purchase  Full           376,000.00   8/1/2010    10.25   2.75       2    2.75  1 YR CMT
145735247    193,163.00    193,163.00  Purchase  Full           225,000.00   9/1/2010   10.375   2.75       2    2.75  1 YR CMT
145786257    335,920.00    335,920.00  Purchase  AUS            425,000.00   8/1/2010     10.5   2.75       2    2.75  1 YR CMT
146909486    256,319.00    256,319.00  Purchase  Full           285,000.00   4/1/2011   11.625   2.75       2    2.75  1 YR CMT
147137509    262,400.00    262,400.00  Purchase  AUS            330,000.00  10/1/2010   10.125   2.75       2    2.75  1 YR CMT
148086713    355,920.00    355,920.00  Purchase  AUS            450,000.00   4/1/2011   10.375   2.75       2    2.75  1 YR CMT
148101819    332,000.00    332,000.00  Purchase  Full           440,000.00   4/1/2011    11.75   2.75       2    2.75  1 YR CMT
149200131    366,320.00    366,320.00  Purchase  AUS            460,000.00   4/1/2011   10.375   2.75       2    2.75  1 YR CMT
149566911    206,000.00    206,000.00  Purchase  AUS            258,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
149608283    407,920.00    407,880.91  Purchase  AUS            520,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
149747818    224,869.00    224,869.00  Purchase  Asset Only     282,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
149837171    264,000.00    263,984.96  Purchase  AUS            330,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
149837312    267,920.00    267,920.00  Purchase  Full           335,000.00   4/1/2011   10.375   2.75       2    2.75  1 YR CMT
149875742    345,600.00    345,600.00  Purchase  AUS            432,000.00   4/1/2011   10.375   2.75       2    2.75  1 YR CMT
149912529     93,971.00     93,971.00  Purchase  Full           119,000.00   3/1/2011    11.25   2.75       2    2.75  1 YR CMT
149941759    107,200.00    107,200.00  Purchase  Full           151,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
149960874    317,698.00    317,698.00  Purchase  Full           405,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
149965881    161,600.00    161,600.00  Purchase  AUS            204,350.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150003812    197,600.00    197,600.00  Purchase  AUS            250,000.00   5/1/2011   10.625   2.75       2    2.75  1 YR CMT
150061331    392,000.00    392,000.00  Purchase  AUS            490,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
150110617    296,800.00    296,800.00  Purchase  AUS            390,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
150136554    148,000.00    147,813.70  R/T Refi  Full           185,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
150189504    412,000.00    412,000.00  Purchase  AUS            515,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
150193431    212,000.00    212,000.00  Purchase  AUS            275,000.00   4/1/2011   10.375   2.75       2    2.75  1 YR CMT
150208098    159,200.00    159,200.00  Purchase  Full           200,000.00   4/1/2011   11.875   2.75       2    2.75  1 YR CMT
150211969    337,500.00    337,500.00  Purchase  Asset Only     376,000.00   4/1/2011   10.375   2.75       2    2.75  1 YR CMT
150285229    307,120.00    307,120.00  Purchase  AUS            384,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150292472    324,500.00    324,500.00  Purchase  Full           406,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
150367639    222,000.00    221,998.12  Purchase  AUS            280,000.00   4/1/2011   10.125   2.75       2    2.75  1 YR CMT
150369981    319,920.00    319,919.44  Purchase  AUS            400,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150395754    352,000.00    352,000.00  Purchase  AUS            440,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
150398329    347,540.00    347,540.00  Purchase  AUS            449,000.00   4/1/2011       10   2.75       2    2.75  1 YR CMT
150420883    234,400.00    233,997.98  Purchase  AUS            310,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
150426765    264,000.00    264,000.00  Purchase  Full           330,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
150450617    142,400.00    142,400.00  Purchase  Full           182,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
150459519    408,000.00    408,000.00  Purchase  AUS            510,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
150485829    185,600.00    185,600.00  Purchase  AUS            235,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150501088    230,952.00    230,952.00  Purchase  AUS            290,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
150544732    287,942.00    287,942.00  Purchase  AUS            360,000.00   5/1/2011     10.5   2.75       2    2.75  1 YR CMT
150622421    234,400.00    234,400.00  Purchase  AUS            294,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
150667822    112,850.00    112,850.00  Purchase  Full           145,000.00   4/1/2011    11.25   2.75       2    2.75  1 YR CMT
150669984    261,750.00    261,750.00  Purchase  Full           332,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
150690956    315,150.00    315,028.80  Purchase  Full           402,000.00   3/1/2011       11   2.75       2    2.75  1 YR CMT
150744514    352,500.00    352,419.22  Purchase  Full           470,000.00   5/1/2011     10.5   2.75       2    2.75  1 YR CMT
150746477    240,004.00    239,945.25  Purchase  Full           310,000.00   3/1/2011   10.875   2.75       2    2.75  1 YR CMT
150767952     68,000.00     68,000.00  Purchase  Full            90,000.00   4/1/2011   11.875   2.75       2    2.75  1 YR CMT
150778777    336,000.00    336,000.00  Purchase  Full           486,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
150814606    204,800.00    204,800.00  Purchase  Full           257,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150820942    216,000.00    216,000.00  Purchase  Full           273,500.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
150824928    315,800.00    315,577.42  Purchase  Full           394,765.00   4/1/2011    11.25   2.75       2    2.75  1 YR CMT
150888972    287,920.00    287,920.00  Purchase  AUS            370,000.00   6/1/2011   10.375   2.75       2    2.75  1 YR CMT
150892347    170,000.00    170,000.00  R/T Refi  Asset Only     250,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
150903979    361,600.00    361,600.00  Purchase  AUS            458,000.00   4/1/2011       10   2.75       2    2.75  1 YR CMT
150909596    416,000.00    416,000.00  C/O Refi  Asset Only     640,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
150920528    209,137.00    209,137.00  Purchase  Full           230,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
150930683    416,000.00    416,000.00  Purchase  AUS            520,000.00   6/1/2011   10.875   2.75       2    2.75  1 YR CMT
150939213    182,547.00    182,547.00  Purchase  AUS            228,500.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
150955698    148,000.00    148,000.00  Purchase  Full           185,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
150974897    312,000.00    312,000.00  C/O Refi  AUS            390,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
150994671    325,000.00    324,930.66  C/O Refi  AUS            410,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151011756    232,990.00    232,990.00  Purchase  AUS            253,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151012887    224,000.00    224,000.00  Purchase  AUS            280,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151027141    363,610.00    363,610.00  Purchase  Full           458,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151043452    228,000.00    228,000.00  Purchase  Full           319,000.00   5/1/2011   10.625   2.75       2    2.75  1 YR CMT
151044427    338,400.00    338,400.00  Purchase  AUS            425,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
151051919    218,000.00    218,000.00  C/O Refi  Asset Only     352,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
151057254    163,850.00    163,850.00  Purchase  Full           205,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151062791    219,919.00    219,919.00  Purchase  AUS            275,000.00   5/1/2011   10.625   2.75       2    2.75  1 YR CMT
151095718    215,919.00    215,919.00  Purchase  AUS            277,000.00   5/1/2011     10.5   2.75       2    2.75  1 YR CMT
151097367    230,360.00    230,360.00  Purchase  Full           291,000.00   4/1/2011    11.25   2.75       2    2.75  1 YR CMT
151097615    304,000.00    304,000.00  R/T Refi  Full           380,000.00   4/1/2011   11.375   2.75       2    2.75  1 YR CMT
151135753    272,400.00    272,400.00  Purchase  Asset Only     342,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
151155793    255,900.00    255,900.00  Purchase  AUS            320,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151191905    266,744.00    266,744.00  Purchase  AUS            345,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151198652    144,000.00    143,964.75  Purchase  AUS            180,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
151217452    335,000.00    335,000.00  Purchase  AUS            460,000.00   6/1/2011     10.5   2.75       2    2.75  1 YR CMT
151217924     80,000.00     80,000.00  Purchase  Full           102,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
151218476    386,131.00    386,131.00  Purchase  AUS            483,000.00   5/1/2011     10.5   2.75       2    2.75  1 YR CMT
151225711    387,184.00    387,184.00  Purchase  Full           615,000.00   4/1/2011   11.375   2.75       2    2.75  1 YR CMT
151246329    185,600.00    185,555.53  Purchase  AUS            238,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151249059    367,120.00    367,120.00  Purchase  AUS            459,000.00   4/1/2011   10.875   2.75       2    2.75  1 YR CMT
151270691    341,400.00    341,399.45  Purchase  Full           430,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151289287    216,800.00    216,800.00  C/O Refi  AUS            271,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
151304052    239,250.00    239,232.25  Purchase  Full           268,000.00   4/1/2011    10.75   2.75       2    2.75  1 YR CMT
151308814    142,500.00    142,500.00  C/O Refi  Full           389,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151323243    140,000.00    140,000.00  R/T Refi  AUS            480,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151335965    296,000.00    296,000.00  Purchase  AUS            374,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151417581    270,400.00    270,400.00  Purchase  Full           338,000.00   5/1/2011   10.375   2.75       2    2.75  1 YR CMT
151432572    148,000.00    148,000.00  Purchase  Full           192,000.00   5/1/2011   11.375   2.75       2    2.75  1 YR CMT
151444767    380,000.00    380,000.00  Purchase  Full           490,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151486586    226,400.00    226,400.00  Purchase  AUS            290,200.00   5/1/2011     10.5   2.75       2    2.75  1 YR CMT
151490406    306,000.00    306,000.00  C/O Refi  Asset Only     460,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151516226    388,240.00    388,240.00  Purchase  AUS            490,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151622727    360,000.00    360,000.00  Purchase  AUS            450,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151657632    300,000.00    299,997.57  Purchase  Full           375,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151666732    309,600.00    309,600.00  Purchase  AUS            395,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151673332    117,600.00    117,600.00  Purchase  Full           150,000.00   5/1/2011     11.5   2.75       2    2.75  1 YR CMT
151685054    244,000.00    244,000.00  Purchase  AUS            305,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151691995    237,000.00    236,975.23  C/O Refi  Asset Only     300,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151706926    280,000.00    280,000.00  C/O Refi  AUS            360,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151709342    275,000.00    275,000.00  C/O Refi  Full           525,000.00   5/1/2011   11.375   2.75       2    2.75  1 YR CMT
151783925    222,000.00    222,000.00  Purchase  Asset Only     295,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151800083    304,000.00    304,000.00  Purchase  Full           385,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151814431    200,100.00    200,100.00  Purchase  Asset Only     266,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151863909    296,000.00    295,918.33  Purchase  AUS            373,000.00   6/1/2011    10.75   2.75       2    2.75  1 YR CMT
151864402    270,637.00    270,637.00  Purchase  Income Only    340,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151883907    344,000.00    343,999.17  Purchase  Asset Only     430,000.00   5/1/2011   10.875   2.75       2    2.75  1 YR CMT
151897782    295,160.00    295,160.00  Purchase  Full           369,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
151938172    292,000.00    292,000.00  Purchase  Asset Only     380,000.00   5/1/2011     11.5   2.75       2    2.75  1 YR CMT
151945359    235,000.00    235,000.00  R/T Refi  Full           340,000.00   5/1/2011   11.625   2.75       2    2.75  1 YR CMT
151962818    386,800.00    386,800.00  Purchase  Full           485,000.00   5/1/2011    11.75   2.75       2    2.75  1 YR CMT
151996741    313,600.00    313,599.67  Purchase  Asset Only     395,000.00   5/1/2011    10.75   2.75       2    2.75  1 YR CMT
152010187    382,400.00    382,400.00  Purchase  Asset Only     478,000.00   6/1/2011   10.875   2.75       2    2.75  1 YR CMT
   322835    315,000.00    296,608.32  Purchase  AUS            354,000.00  10/1/2007   10.125   2.25       2    2.25  1 YR LIBOR
   700303    199,464.00    198,995.64  Purchase  Asset Only     210,000.00   8/1/2007   10.375   2.75       2    2.75  1 YR CMT
   782007    313,852.00    295,612.57  Purchase  AUS            345,000.00  10/1/2007   10.125   2.25       2    2.25  1 YR LIBOR
   866263    340,000.00    319,176.05  Purchase  AUS            450,000.00   6/1/2007   10.375   2.25       2    2.25  1 YR LIBOR
   894267    308,000.00    308,000.00  Purchase  AUS            386,000.00   7/1/2007   10.375  5.375       2    2.75  1 YR CMT
   962934    230,000.00    216,884.24  Purchase  AUS            292,875.00   7/1/2008        9   2.75       2    2.75  1 YR CMT
 18567354    120,000.00    119,873.05  Purchase  Full           470,000.00   2/1/2008    9.875   2.75       2    2.75  1 YR CMT
 31581358    151,920.00    151,920.00  Purchase  Full           195,000.00   8/1/2008       10   2.75       2    2.75  1 YR CMT
 36392801    250,000.00    250,000.00  Purchase  Asset Only     510,000.00  12/1/2008    9.875   2.75       2    2.75  1 YR CMT
 37476504    244,768.00    244,605.44  R/T Refi  Full           350,000.00   3/1/2009       10   2.75       2    2.75  1 YR CMT
 38997698    280,000.00    280,000.00  R/T Refi  Full           373,000.00   4/1/2009    9.875   2.75       2    2.75  1 YR CMT
 42659276    166,250.00    166,250.00  Purchase  Full           175,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
 43586171    161,600.00    161,333.74  Purchase  Full           205,000.00   9/1/2009    10.25   2.75       2    2.75  1 YR CMT
 44093706    324,000.00    323,607.54  R/T Refi  Full           410,000.00   7/1/2009   10.375   2.75       2    2.75  1 YR CMT
 44279727    231,893.00    231,892.27  Purchase  Full           290,000.00   1/1/2010       10   2.75       2    2.75  1 YR CMT
 44982734    253,800.00    253,800.00  R/T Refi  Full           282,000.00   9/1/2009    9.875   2.75       2    2.75  1 YR CMT
 45547312    420,000.00    419,476.97  C/O Refi  Asset Only     600,000.00   9/1/2009    10.25   2.75       2    2.75  1 YR CMT
 47618236    157,920.00    157,920.00  Purchase  Full           200,000.00   4/1/2010    10.25   2.75       2    2.75  1 YR CMT
 48477673    209,600.00    209,600.00  Purchase  Full           262,000.00   1/1/2010    10.25   2.75       2    2.75  1 YR CMT
 49203797    279,900.00    279,900.00  Purchase  Full           350,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
 49230824    116,175.00    116,175.00  R/T Refi  Full           158,500.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
 49297393    140,380.00    140,380.00  Purchase  Full           187,000.00   2/1/2010   10.125   2.75       2    2.75  1 YR CMT
 49385289    179,150.00    179,150.00  Purchase  Full           224,000.00   2/1/2010    10.25   2.75       2    2.75  1 YR CMT
 49412158    136,000.00    135,908.64  R/T Refi  Full           151,000.00   1/1/2010   10.375   2.75       2    2.75  1 YR CMT
 49433949    313,250.00    313,250.00  C/O Refi  Asset Only     865,500.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
 49662927    182,000.00    182,000.00  R/T Refi  Full           194,000.00   1/1/2010   10.125   2.75       2    2.75  1 YR CMT
 49814155    195,700.00    195,696.96  Purchase  Full           206,000.00   1/1/2010   10.375   2.75       2    2.75  1 YR CMT
 49838196    380,000.00    380,000.00  Purchase  Full           476,000.00   2/1/2010   10.125   2.75       2    2.75  1 YR CMT
 49895097    226,680.00    226,680.00  Purchase  Full           292,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
 49992217    206,150.00    206,150.00  Purchase  Full           220,000.00   3/1/2010   10.125   2.75       2    2.75  1 YR CMT
 49998438    175,000.00    173,700.00  R/T Refi  Asset Only     250,000.00   2/1/2010   10.375   2.75       2    2.75  1 YR CMT
 49998768    294,400.00    294,400.00  Purchase  Asset Only     370,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
 50057074    279,200.00    279,200.00  Purchase  Asset Only     349,000.00   2/1/2010   10.125   2.75       2    2.75  1 YR CMT
 50070283    292,400.00    292,082.04  Purchase  Full           370,000.00   3/1/2010   10.375   2.75       2    2.75  1 YR CMT
 50096064    285,000.00    282,257.60  R/T Refi  Full           300,000.00   3/1/2010   10.375   2.75       2    2.75  1 YR CMT
 50161413    130,600.00    130,539.84  Purchase  Full           137,500.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
 50232404    141,882.00    141,882.00  Purchase  Full           150,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
 50310598    256,000.00    253,763.01  R/T Refi  Full           325,000.00   2/1/2010   10.375   2.75       2    2.75  1 YR CMT
 50411818    324,000.00    323,900.00  Purchase  Full           405,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
 50557404    189,200.00    189,200.00  Purchase  Full           237,500.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
 50867258    143,910.00    143,910.00  Purchase  Full           167,900.00   3/1/2010    10.25   2.75       2    2.75  1 YR CMT
 50867449    147,725.00    147,725.00  Purchase  Full           155,500.00   7/1/2010   10.375   2.75       2    2.75  1 YR CMT
 50870971    256,300.00    256,300.00  Purchase  Full           270,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
 50913508    371,000.00    371,000.00  R/T Refi  Full           435,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
 50953942    217,550.00    214,978.14  Purchase  Full           229,000.00   3/1/2010   10.125   2.75       2    2.75  1 YR CMT
 51003259    144,400.00    144,085.00  R/T Refi  Full           155,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
 51170678    106,000.00    106,000.00  R/T Refi  Full           112,000.00   3/1/2010   10.375   2.75       2    2.75  1 YR CMT
 51196103     77,200.00     77,078.25  Purchase  Full           105,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
 51472652    171,000.00    168,685.11  Purchase  Asset Only     192,000.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
 51700979    204,000.00    204,000.00  Purchase  Full           258,000.00   3/1/2010    10.25   2.75       2    2.75  1 YR CMT
 51792711    233,600.00    127,543.27  Purchase  Full           292,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
 51794816    318,500.00    318,500.00  Purchase  Full           470,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
 51891851    244,800.00    244,800.00  Purchase  Full           306,500.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
 51915072    453,100.00    449,091.04  Purchase  Full           479,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
 52382017    261,992.00    261,992.00  Purchase  Full           328,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
 52409547    303,000.00    303,000.00  R/T Refi  Full           385,000.00   5/1/2010   10.125   2.75       2    2.75  1 YR CMT
 52418068    128,250.00    128,250.00  Purchase  Full           135,000.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
 52731874    277,800.00    277,739.57  Purchase  Full           350,000.00   5/1/2010     9.75   2.75       2    2.75  1 YR CMT
 52807526    112,000.00    110,996.09  R/T Refi  Full           133,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
 52891249    145,000.00    145,000.00  Purchase  Full           187,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
 52963923    356,155.00    354,670.51  Purchase  Full           382,000.00   5/1/2010   10.375   2.75       2    2.75  1 YR CMT
 53050878    173,520.00    173,520.00  Purchase  Full           216,900.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
 53212882    121,500.00    121,500.00  Purchase  Full           155,000.00   5/1/2010   10.375   2.75       2    2.75  1 YR CMT
 53599858    349,125.00    345,913.59  Purchase  Full           374,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
 53877395    285,000.00    285,000.00  Purchase  Full           340,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
 53904769    149,600.00    149,600.00  R/T Refi  Full           187,000.00   7/1/2010   10.375   2.75       2    2.75  1 YR CMT
 53948436     88,800.00     88,800.00  Purchase  Full           111,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
 54268719    123,920.00    123,668.11  Purchase  Full           155,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
 54389531    240,000.00    240,000.00  Purchase  Full           303,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
 54918867    193,600.00    193,600.00  Purchase  Full           242,500.00   7/1/2010   10.375   2.75       2    2.75  1 YR CMT
 56953201    202,283.00    202,283.00  Purchase  Full           215,000.00   7/1/2010       10   2.75       2    2.75  1 YR CMT
 57012783    263,150.00    262,202.43  Purchase  Full           280,000.00   8/1/2010   10.375   2.75       2    2.75  1 YR CMT
 57690281     84,500.00     84,481.52  C/O Refi  Full           121,000.00   9/1/2010    10.25   2.75       2    2.75  1 YR CMT
 57985087    526,000.00    526,000.00  Purchase  Full           665,000.00   9/1/2010   10.375   2.75       2    2.75  1 YR CMT
 58065509    132,000.00    132,000.00  Purchase  Full           165,000.00   9/1/2010   10.375   2.75       2    2.75  1 YR CMT
125050799    236,800.00    236,518.77  Purchase  AUS            315,000.00  12/1/2007       10      3       2    2.75  1 YR CMT
125694877    164,000.00    164,000.00  Purchase  AUS            208,000.00   1/1/2008       10      3       2    2.75  1 YR CMT
128545472    305,000.00    305,000.00  Purchase  Full           340,000.00   6/1/2008   10.125  3.125       2    2.75  1 YR CMT
131720641    280,000.00    279,929.25  Purchase  AUS            350,000.00  10/1/2008    9.875   2.75       2    2.75  1 YR CMT
131804742    144,000.00    143,576.80  Purchase  AUS            180,000.00   1/1/2009       10   2.75       2    2.75  1 YR CMT
132231721    333,000.00    327,497.74  Purchase  Full           370,000.00   9/1/2008    10.25   2.75       2    2.75  1 YR CMT
132438052    190,000.00    190,000.00  Purchase  AUS            239,000.00  12/1/2008    9.875   2.75       2    2.75  1 YR CMT
132677634    244,000.00    243,931.49  Purchase  AUS            311,000.00  12/1/2008    9.875   2.75       2    2.75  1 YR CMT
132688888    272,000.00    269,397.96  Purchase  AUS            345,000.00  11/1/2008       10   2.75       2    2.75  1 YR CMT
132763061    284,905.00    284,783.70  Purchase  Asset Only     306,000.00  11/1/2008    9.875   2.75       2    2.75  1 YR CMT
132867581     91,675.00     91,672.45  Purchase  AUS            102,500.00  12/1/2008    9.875   2.75       2    2.75  1 YR CMT
134123132    274,672.00    273,223.77  Purchase  AUS            345,000.00   2/1/2009    9.875   2.75       2    2.75  1 YR CMT
134544857    334,186.25    334,186.25  Purchase  AUS            352,000.00   3/1/2009    9.875   2.75       2    2.75  1 YR CMT
134568476    140,091.00    140,091.00  R/T Refi  Asset Only     162,000.00   3/1/2009    9.875   2.75       2    2.75  1 YR CMT
135045235    238,500.00    238,448.31  Purchase  Asset Only     265,000.00   3/1/2009   10.125   2.75       2    2.75  1 YR CMT
135229631    172,179.00    172,179.00  Purchase  Asset Only     216,000.00   5/1/2009    9.875   2.75       2    2.75  1 YR CMT
136116936    223,840.00    223,840.00  Purchase  AUS            280,000.00   8/1/2009       10   2.75       2    2.75  1 YR CMT
136748282    278,400.00    278,400.00  Purchase  AUS            351,000.00   8/1/2009    9.875   2.75       2    2.75  1 YR CMT
136888575    365,000.00    352,010.95  C/O Refi  Full           530,000.00   5/1/2009    9.875   2.75       2    2.75  1 YR CMT
137017935    312,000.00    312,000.00  Purchase  AUS            400,000.00   8/1/2009    9.875   2.75       2    2.75  1 YR CMT
137431516    201,400.00    200,244.10  Purchase  AUS            212,000.00   6/1/2009    9.875   2.75       2    2.75  1 YR CMT
137831632    247,200.00    247,200.00  Purchase  Asset Only     309,000.00   7/1/2009    9.875   2.75       2    2.75  1 YR CMT
137846879    202,200.00    201,990.31  R/T Refi  Full           213,000.00   7/1/2009   10.125   2.75       2    2.75  1 YR CMT
138059597    295,156.00    295,156.00  Purchase  AUS            370,000.00   8/1/2009       10   2.75       2    2.75  1 YR CMT
138064324    296,800.00    296,738.17  Purchase  AUS            371,000.00   8/1/2009       10   2.75       2    2.75  1 YR CMT
138106968    174,776.00    174,776.00  Purchase  Asset Only     184,000.00   7/1/2009    10.25   2.75       2    2.75  1 YR CMT
138167283    232,240.00    219,243.35  Purchase  AUS            291,000.00   8/1/2009    9.875   2.75       2    2.75  1 YR CMT
138240304    359,550.00    359,549.03  Purchase  AUS            400,000.00   8/1/2009       10   2.75       2    2.75  1 YR CMT
138287602    312,000.00    312,000.00  Purchase  AUS            395,000.00   7/1/2009       10   2.75       2    2.75  1 YR CMT
138289038    267,200.00    265,212.64  Purchase  AUS            340,000.00   7/1/2009       10   2.75       2    2.75  1 YR CMT
138296728    160,800.00    160,800.00  Purchase  AUS            205,000.00   8/1/2009    9.875   2.75       2    2.75  1 YR CMT
138423827    196,000.00    195,782.14  Purchase  AUS            245,000.00   8/1/2009       10   2.75       2    2.75  1 YR CMT
138484357    333,700.00    333,378.07  Purchase  AUS            430,000.00   9/1/2009    9.875   2.75       2    2.75  1 YR CMT
138487566    173,200.00    173,166.90  Purchase  AUS            216,500.00   8/1/2009    9.875   2.75       2    2.75  1 YR CMT
138558192    353,056.00    243,056.00  Purchase  AUS            442,000.00   8/1/2009    9.875   2.75       2    2.75  1 YR CMT
138724257    201,070.00    201,070.00  Purchase  AUS            256,000.00  10/1/2009    9.875   2.75       2    2.75  1 YR CMT
138768726    142,400.00    142,333.47  Purchase  Asset Only     178,000.00   8/1/2009    10.25   2.75       2    2.75  1 YR CMT
138852561    181,520.00    181,196.71  Purchase  AUS            228,000.00   8/1/2009    9.875   2.75       2    2.75  1 YR CMT
138901558    181,260.00    181,260.00  Purchase  AUS            201,400.00   8/1/2009       10   2.75       2    2.75  1 YR CMT
138971866    349,300.00    347,579.35  Purchase  Asset Only     500,000.00   9/1/2009    9.875   2.75       2    2.75  1 YR CMT
139039523    336,500.00    336,500.00  Purchase  Full           336,500.00  10/1/2009   10.125   2.75       2    2.75  1 YR CMT
139441802    226,000.00    226,000.00  Purchase  AUS            283,000.00   9/1/2009       10   2.75       2    2.75  1 YR CMT
140432949    212,000.00    212,000.00  Purchase  AUS            266,000.00   6/1/2010     9.75   2.75       2    2.75  1 YR CMT
140566035    266,136.00    266,136.00  Purchase  AUS            333,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
140896952    218,812.00    218,812.00  Purchase  AUS            274,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
141011882    280,000.00    279,997.62  Purchase  Full           350,000.00   1/1/2010   10.125   2.75       2    2.75  1 YR CMT
141059139    337,250.00    336,968.60  Purchase  Full           360,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
141171454    244,000.00    244,000.00  Purchase  AUS            306,000.00   1/1/2010       10   2.75       2    2.75  1 YR CMT
141279943    176,000.00    175,978.21  Purchase  AUS            230,000.00   1/1/2010       10   2.75       2    2.75  1 YR CMT
141470112    163,352.00    163,333.08  Purchase  AUS            207,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
141507111    356,000.00    355,929.94  Purchase  Full           465,000.00   1/1/2010   10.125   2.75       2    2.75  1 YR CMT
141549105    322,500.00    322,500.00  Purchase  AUS            405,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
141610097    115,119.00    115,095.02  R/T Refi  AUS            130,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
141611368    185,711.00    185,711.00  Purchase  Asset Only     234,500.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141634725    343,920.00    343,920.00  Purchase  Full           429,900.00   1/1/2010    10.25   2.75       2    2.75  1 YR CMT
141640169    161,600.00    161,592.81  Purchase  Asset Only     202,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141647362    246,600.00    246,600.00  Purchase  AUS            310,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
141655878    141,200.00    141,200.00  Purchase  Full           180,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141656298    142,400.00    142,369.27  Purchase  Asset Only     190,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141656728    245,295.00    245,000.00  Purchase  AUS            315,000.00   5/1/2010     9.75   2.75       2    2.75  1 YR CMT
141714162    192,000.00    192,000.00  Purchase  AUS            268,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
141735126    292,500.00    292,500.00  C/O Refi  Income Only    390,000.00   3/1/2010   10.375   2.75       2    2.75  1 YR CMT
141750216    359,650.00    359,605.04  Purchase  AUS            480,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
141760306    175,000.00    175,000.00  Purchase  Full           176,000.00   1/1/2010    10.25   2.75       2    2.75  1 YR CMT
141794008    168,500.00    168,495.39  Purchase  AUS            220,000.00   1/1/2010       10   2.75       2    2.75  1 YR CMT
141828673    252,000.00    250,929.48  Purchase  Asset Only     280,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
141831594    328,000.00    327,293.03  Purchase  AUS            415,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
141831933    215,600.00    215,396.24  Purchase  AUS            270,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
141836932    221,600.00    221,599.28  Purchase  AUS            280,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141842419    131,920.00    131,434.37  Purchase  Asset Only     165,000.00   2/1/2010   10.375   2.75       2    2.75  1 YR CMT
141887331    164,000.00    139,500.00  Purchase  AUS            210,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141915231    305,100.00    302,809.61  Purchase  Full           339,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
141932483    125,000.00    125,000.00  Purchase  AUS            463,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
141938712    165,520.00    165,210.36  Purchase  AUS            216,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
141945949    188,000.00    186,630.82  Purchase  Asset Only     235,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141949941    242,900.00    241,886.44  R/T Refi  Income Only    257,000.00   1/1/2010   10.375   2.75       2    2.75  1 YR CMT
141968602    239,919.00    239,919.00  Purchase  AUS            300,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
141972406    285,900.00    285,793.02  Purchase  AUS            358,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
141976266    309,225.00    305,999.07  Purchase  AUS            326,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
141999383    160,000.00    159,316.69  Purchase  AUS            202,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
142013705    159,505.00    159,505.00  Purchase  Full           170,900.00   3/1/2010    10.25   2.75       2    2.75  1 YR CMT
142019249    228,600.00    228,600.00  Purchase  Full           264,000.00   1/1/2010       10   2.75       2    2.75  1 YR CMT
142027911     92,160.00     92,160.00  Purchase  AUS            120,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
142031152    315,280.00    315,280.00  Purchase  AUS            394,500.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142084359    257,600.00    257,600.00  Purchase  Asset Only     327,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
142113125     43,500.00     43,500.00  R/T Refi  AUS             65,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
142127091    136,000.00    136,000.00  Purchase  AUS            175,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
142135672    152,000.00    151,874.95  Purchase  Asset Only     200,000.00   2/1/2010   10.375   2.75       2    2.75  1 YR CMT
142155316    282,000.00    282,000.00  Purchase  AUS            352,500.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
142158666    217,200.00    217,080.43  Purchase  AUS            275,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142159458    359,200.00    359,200.00  Purchase  AUS            449,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
142201193    259,537.00    259,437.00  Purchase  Full           325,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
142207935    148,000.00    145,890.40  R/T Refi  Full           185,000.00   2/1/2010   10.375   2.75       2    2.75  1 YR CMT
142213032    293,600.00    293,600.00  Purchase  AUS            395,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
142220268    273,925.00    273,925.00  Purchase  Full           274,000.00   3/1/2010   10.375   2.75       2    2.75  1 YR CMT
142225572    241,600.00    241,575.00  Purchase  AUS            305,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142228857    316,000.00    316,000.00  Purchase  AUS            395,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
142241322    296,000.00    295,749.50  R/T Refi  Income Only    370,000.00   2/1/2010   10.375   2.75       2    2.75  1 YR CMT
142241694    359,000.00    343,500.00  Purchase  AUS            470,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
142242023    240,000.00    234,227.18  Purchase  AUS            300,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142287572    295,920.00    295,920.00  Purchase  AUS            370,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142288281    202,400.00    202,205.05  Purchase  AUS            255,000.00   2/1/2010    9.875   2.75       2    2.75  1 YR CMT
142325521    218,000.00    218,000.00  R/T Refi  Full           273,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
142329325    270,000.00    270,000.00  Purchase  AUS            375,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142338797    187,954.00    187,626.70  Purchase  AUS            235,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142359603    192,000.00    191,876.95  Purchase  AUS            240,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142361955    325,000.00    325,000.00  Purchase  AUS            417,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142362987    141,455.00    139,176.98  Purchase  Asset Only     149,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
142386507    116,000.00    115,400.00  C/O Refi  Income Only    265,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
142389089    205,200.00    205,200.00  Purchase  AUS            256,500.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142389345    275,000.00    274,888.29  R/T Refi  AUS            460,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
142396761    206,000.00    206,000.00  Purchase  AUS            260,000.00   2/1/2010       10   2.75       2    2.75  1 YR CMT
142397843    288,000.00    288,000.00  Purchase  AUS            360,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
142435197    288,150.00    288,150.00  Purchase  AUS            361,500.00   7/1/2010    9.875   2.75       2    2.75  1 YR CMT
142456094    279,200.00    275,174.36  Purchase  AUS            355,000.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
142458314    237,000.00    236,898.26  Purchase  Asset Only     257,700.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
142472042    164,800.00    164,300.00  Purchase  AUS            206,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142493998    333,000.00    331,612.50  C/O Refi  AUS            480,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
142502368    239,200.00    239,200.00  Purchase  AUS            310,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142528512    224,000.00    224,000.00  Purchase  AUS            287,000.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
142564293    225,000.00    225,000.00  Purchase  Full           308,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
142571934    343,950.00    343,889.91  Purchase  Full           435,000.00  12/1/2009    10.25   2.75       2    2.75  1 YR CMT
142584101    296,800.00    296,762.90  Purchase  AUS            372,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142595156    129,500.00    129,500.00  Purchase  Full           161,900.00   3/1/2010   10.375   2.75       2    2.75  1 YR CMT
142602804    352,000.00    352,000.00  Purchase  AUS            472,000.00   6/1/2010     9.75   2.75       2    2.75  1 YR CMT
142610849    332,400.00    332,400.00  Purchase  AUS            416,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142619618    259,000.00    259,000.00  Purchase  AUS            360,000.00   5/1/2010   10.125   2.75       2    2.75  1 YR CMT
142627256    283,200.00    283,200.00  Purchase  AUS            355,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
142628874    169,400.00    169,400.00  R/T Refi  AUS            220,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142645845    204,000.00    204,000.00  Purchase  AUS            255,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
142689728    272,000.00    272,000.00  Purchase  AUS            340,000.00   7/1/2010    9.875   2.75       2    2.75  1 YR CMT
142703792    231,900.00    231,900.00  Purchase  Full           290,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
142745538    149,301.00    149,161.00  Purchase  AUS            166,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
142751361    164,800.00    164,800.00  Purchase  AUS            209,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142751635    167,829.00    167,769.58  Purchase  Full           218,000.00   3/1/2010   10.375   2.75       2    2.75  1 YR CMT
142755156    325,000.00    325,000.00  C/O Refi  AUS          1,300,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
142756444    213,600.00    213,600.00  Purchase  Full           275,000.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
142778174    251,750.00    251,644.11  Purchase  Asset Only     265,000.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
142793504    216,000.00    216,000.00  Purchase  AUS            271,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
142794106    236,000.00    236,000.00  Purchase  AUS            295,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142816586    359,092.00    358,612.32  Purchase  AUS            455,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142821362    199,920.00    199,836.71  Purchase  AUS            250,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
142859982    328,000.00    328,000.00  Purchase  AUS            410,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
142873132    148,000.00    148,000.00  Purchase  AUS            190,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
142879212    121,775.00    121,702.37  Purchase  AUS            155,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
142895978    288,000.00    288,000.00  Purchase  AUS            360,000.00   3/1/2010       10   2.75       2    2.75  1 YR CMT
142903681    343,200.00    343,128.50  Purchase  AUS            432,000.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
142924075    184,000.00    183,987.47  Purchase  Full           230,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142928845    256,500.00    256,500.00  C/O Refi  Income Only    465,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
142939313    403,750.00    403,749.98  Purchase  Asset Only     427,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
142990712    286,200.00    286,136.55  Purchase  Full           325,000.00   4/1/2010    10.25   2.75       2    2.75  1 YR CMT
143011542    290,400.00    290,341.01  Purchase  AUS            365,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
143016418    220,000.00    220,000.00  Purchase  AUS            310,000.00   5/1/2010     9.75   2.75       2    2.75  1 YR CMT
143028868    180,000.00    179,807.07  Purchase  AUS            380,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
143035731    266,000.00    266,000.00  Purchase  Full           280,000.00   3/1/2010    10.25   2.75       2    2.75  1 YR CMT
143042224    143,120.00    143,120.00  Purchase  AUS            180,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143047165    222,000.00    222,000.00  Purchase  Full           269,000.00   4/1/2010    10.25   2.75       2    2.75  1 YR CMT
143048734    125,600.00    125,421.30  R/T Refi  Full           157,000.00   3/1/2010    10.25   2.75       2    2.75  1 YR CMT
143059467    180,000.00    180,000.00  Purchase  AUS            256,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143065282    212,000.00    212,000.00  C/O Refi  AUS            600,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
143073138    195,500.00    195,500.00  Purchase  AUS            246,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
143103745    317,600.00    317,234.98  Purchase  AUS            397,500.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
143113538    173,600.00    173,600.00  Purchase  Full           218,000.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
143140796    235,680.00    235,680.00  Purchase  Asset Only     295,000.00   4/1/2010    10.25   2.75       2    2.75  1 YR CMT
143190593    352,000.00    352,000.00  Purchase  AUS            440,000.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
143221307    300,400.00    300,337.73  Purchase  AUS            390,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
143232171    332,800.00    332,220.16  Purchase  AUS            417,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143256584    299,900.00    299,900.00  Purchase  AUS            390,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143259695    235,000.00    234,831.35  Purchase  AUS            306,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143266443    167,000.00    167,000.00  R/T Refi  Full           228,500.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
143292209    268,000.00    266,998.57  Purchase  AUS            335,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143292217    260,800.00    260,097.73  Purchase  AUS            342,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
143302198    232,000.00    232,000.00  Purchase  AUS            298,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143303626    259,600.00    259,108.75  Purchase  AUS            324,500.00   7/1/2010    9.625   2.75       2    2.75  1 YR CMT
143313021    236,000.00    236,000.00  Purchase  AUS            295,000.00   4/1/2010       10   2.75       2    2.75  1 YR CMT
143335743    142,000.00    141,999.62  Purchase  AUS            178,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143370542    261,000.00    261,000.00  Purchase  AUS            383,500.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
143379204    220,000.00    219,747.56  Purchase  AUS            300,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
143400406    328,000.00    328,000.00  Purchase  AUS            410,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143417178    230,400.00    230,400.00  Purchase  AUS            288,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143420347    278,400.00    278,283.76  Purchase  Full           360,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143479236    313,600.00    311,605.56  Purchase  AUS            395,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143510097    204,000.00    203,529.10  Purchase  AUS            255,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143527737    290,320.00    290,320.00  Purchase  AUS            365,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143529568    348,061.00    347,245.82  Purchase  Full           369,000.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
143553154    320,250.00    320,231.03  Purchase  AUS            427,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143568889    212,000.00    212,000.00  Purchase  AUS            278,000.00   4/1/2010    9.875   2.75       2    2.75  1 YR CMT
143599827    248,000.00    240,586.47  Purchase  AUS            315,000.00   7/1/2010    9.625   2.75       2    2.75  1 YR CMT
143608792    304,000.00    303,900.00  Purchase  AUS            380,000.00   5/1/2010    10.25   2.75       2    2.75  1 YR CMT
143612406    284,000.00    284,000.00  Purchase  Full           355,000.00   7/1/2010       10   2.75       2    2.75  1 YR CMT
143621449    261,540.00    261,487.53  Purchase  AUS            329,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143622249    214,000.00    213,810.27  Purchase  AUS            268,500.00   6/1/2010    9.625   2.75       2    2.75  1 YR CMT
143640423    310,320.00    310,255.35  Purchase  AUS            400,000.00   7/1/2010       10   2.75       2    2.75  1 YR CMT
143651685    299,920.00    299,920.00  Purchase  AUS            375,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
143688091    313,600.00    313,600.00  Purchase  AUS            395,000.00   7/1/2010    9.625   2.75       2    2.75  1 YR CMT
143734911    211,192.00    211,192.00  Purchase  AUS            230,000.00   6/1/2010      9.5   2.75       2    2.75  1 YR CMT
143763803    337,600.00    337,468.07  Purchase  AUS            423,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143791069    167,992.00    167,992.00  Purchase  Full           222,000.00   4/1/2010   10.375   2.75       2    2.75  1 YR CMT
143814168    325,000.00    325,000.00  Purchase  AUS            595,000.00   6/1/2010     9.75   2.75       2    2.75  1 YR CMT
143823482    212,000.00    211,971.12  Purchase  AUS            265,000.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
143837888    300,000.00    300,000.00  Purchase  AUS            375,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
143849545    209,350.00    209,350.00  Purchase  Full           262,500.00   7/1/2010   10.375   2.75       2    2.75  1 YR CMT
143853851    335,781.00    298,596.72  Purchase  AUS            430,000.00   6/1/2010      9.5   2.75       2    2.75  1 YR CMT
143869089    213,000.00    213,000.00  Purchase  AUS            314,500.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
143899664    452,000.00    452,000.00  Purchase  AUS            565,000.00   7/1/2010       10   2.75       2    2.75  1 YR CMT
143943496    329,600.00    329,600.00  Purchase  AUS            412,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
143948248    283,920.00    283,881.48  Purchase  AUS            356,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143954121    118,450.00    118,450.00  Purchase  Asset Only     151,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
143958395    233,600.00    230,356.81  Purchase  AUS            298,000.00   5/1/2010    9.875   2.75       2    2.75  1 YR CMT
143958478    275,000.00    275,000.00  Purchase  AUS            455,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
143970804    154,400.00    154,400.00  Purchase  AUS            194,000.00   7/1/2010       10   2.75       2    2.75  1 YR CMT
143984235    256,000.00    254,100.00  Purchase  AUS            322,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
144071412    348,980.00    348,980.00  Purchase  AUS            437,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
144075959    210,000.00    209,873.10  Purchase  AUS            266,000.00   6/1/2010    9.625   2.75       2    2.75  1 YR CMT
144076734    239,992.00    239,992.00  Purchase  Full           300,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
144118288    210,000.00    208,657.34  R/T Refi  AUS            285,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
144141124    331,200.00    331,200.00  Purchase  AUS            415,000.00   7/1/2010    9.625   2.75       2    2.75  1 YR CMT
144146537    244,000.00    244,000.00  Purchase  AUS            305,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
144155603    229,600.00    228,466.15  Purchase  AUS            294,000.00   5/1/2010      9.5   2.75       2    2.75  1 YR CMT
144156809    264,400.00    264,400.00  Purchase  AUS            334,000.00   7/1/2010    9.875   2.75       2    2.75  1 YR CMT
144160116     96,000.00     96,000.00  Purchase  AUS            120,000.00   5/1/2010     9.75   2.75       2    2.75  1 YR CMT
144190881    324,000.00    324,000.00  Purchase  AUS            405,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
144203213    345,000.00    345,000.00  Purchase  AUS            484,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
144249406    169,100.00    169,100.00  Purchase  Asset Only     178,000.00   5/1/2010       10   2.75       2    2.75  1 YR CMT
144255577    151,000.00    151,000.00  R/T Refi  Full           191,000.00   6/1/2010   10.125   2.75       2    2.75  1 YR CMT
144281201    288,000.00    288,000.00  Purchase  Full           360,000.00   7/1/2010   10.125   2.75       2    2.75  1 YR CMT
144307881    269,600.00    269,600.00  Purchase  AUS            337,000.00   6/1/2010     9.75   2.75       2    2.75  1 YR CMT
144310588    113,359.00    113,359.00  Purchase  AUS            142,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
144347077    278,720.00    278,720.00  Purchase  AUS            352,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
144354735    210,800.00    210,800.00  Purchase  AUS            265,000.00   6/1/2010    9.375   2.75       2    2.75  1 YR CMT
144362357    336,000.00    336,000.00  Purchase  AUS            421,000.00   6/1/2010    9.625   2.75       2    2.75  1 YR CMT
144401007    287,200.00    287,124.88  Purchase  AUS            366,000.00   7/1/2010    9.875   2.75       2    2.75  1 YR CMT
144438207    335,000.00    334,999.05  R/T Refi  Asset Only     375,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
144464997    190,400.00    190,400.00  Purchase  AUS            240,000.00   7/1/2010    9.875   2.75       2    2.75  1 YR CMT
144509437    266,000.00    266,000.00  R/T Refi  AUS            338,900.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
144542628    256,000.00    255,990.94  Purchase  Asset Only     320,000.00   7/1/2010       10   2.75       2    2.75  1 YR CMT
144565488    338,400.00    338,400.00  Purchase  Asset Only     423,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
144573375    172,000.00    171,957.03  R/T Refi  Full           215,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
144591906    141,000.00    140,968.90  R/T Refi  Full           205,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
144621497    159,000.00    158,496.20  R/T Refi  Full           168,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
144642584    342,484.00    342,447.17  Purchase  AUS            432,000.00   6/1/2010    9.875   2.75       2    2.75  1 YR CMT
144672417    352,000.00    352,000.00  Purchase  Full           440,000.00   6/1/2010     9.75   2.75       2    2.75  1 YR CMT
144684982    325,600.00    325,600.00  Purchase  AUS            410,000.00   7/1/2010       10   2.75       2    2.75  1 YR CMT
144714896    200,000.00    200,000.00  Purchase  AUS            250,000.00   7/1/2010   10.375   2.75       2    2.75  1 YR CMT
144749272    209,600.00    209,548.83  Purchase  AUS            270,000.00   7/1/2010    9.875   2.75       2    2.75  1 YR CMT
144759917    147,250.00    146,249.87  R/T Refi  Full           155,000.00   6/1/2010   10.125   2.75       2    2.75  1 YR CMT
144765989    238,400.00    238,137.27  Purchase  Full           298,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
144796968    156,602.00    156,602.00  Purchase  Full           165,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
144828811    247,000.00    247,000.00  R/T Refi  Full           340,000.00   6/1/2010   10.125   2.75       2    2.75  1 YR CMT
144851151    155,920.00    155,700.57  Purchase  Full           195,000.00   7/1/2010    10.25   2.25       2    2.25  1 YR LIBOR
144855343    147,000.00    147,000.00  R/T Refi  Full           184,000.00   6/1/2010   10.375   2.75       2    2.75  1 YR CMT
144918331    196,596.00    196,517.71  Purchase  Asset Only     260,000.00   6/1/2010       10   2.75       2    2.75  1 YR CMT
145211868    276,000.00    276,000.00  Purchase  AUS            349,000.00   8/1/2010    9.625   2.25       2    2.25  1 YR LIBOR
145502696    231,900.00    231,900.00  Purchase  Full           300,000.00   9/1/2010     9.75   2.25       2    2.25  1 YR LIBOR
145532735    251,100.00    251,100.00  Purchase  Full           280,000.00   8/1/2010   10.375   2.75       2    2.75  1 YR CMT
145618765    287,920.00    287,920.00  Purchase  AUS            372,000.00   8/1/2010     9.75   2.75       2    2.75  1 YR CMT
145690251    176,800.00    176,754.54  Purchase  AUS            235,000.00   8/1/2010     9.75   2.75       2    2.75  1 YR CMT
145750857    199,200.00    199,000.00  Purchase  AUS            249,000.00   8/1/2010   10.125   2.75       2    2.75  1 YR CMT
145783742    132,000.00    132,000.00  Purchase  Asset Only     165,000.00   8/1/2010       10   2.25       2    2.25  1 YR LIBOR
145858023    140,700.00    140,674.75  Purchase  Full           150,000.00   7/1/2010   10.375   2.75       2    2.75  1 YR CMT
146182944    277,600.00    277,514.50  Purchase  Full           347,000.00   8/1/2010    10.25   2.75       2    2.75  1 YR CMT
146191705    100,000.00     99,379.03  Purchase  Full           131,000.00   8/1/2010    9.875   2.75       2    2.75  1 YR CMT
146202585    131,200.00    131,200.00  Purchase  Full           164,000.00   8/1/2010       10   2.75       2    2.75  1 YR CMT
 17966466    352,500.00    293,324.20  R/T Refi  Full           940,000.00   2/1/2008   10.125   2.75       2    2.75  1 YR CMT
 46162772    379,400.00    379,400.00  Purchase  Full           500,000.00  12/1/2009    9.875   2.75       2    2.75  1 YR CMT
 47512116    397,876.00    397,876.00  R/T Refi  AUS            498,000.00  11/1/2009    9.875   2.75       2    2.75  1 YR CMT
 48500953    195,000.00    195,000.00  Purchase  Full           280,000.00  11/1/2009    9.375   2.75       2    2.75  1 YR CMT
 48564322    341,218.00    332,386.33  Purchase  Full           428,000.00  12/1/2009      9.5   2.75       2    2.75  1 YR CMT
 51259703    324,000.00    323,868.39  Purchase  Full           405,000.00   3/1/2010    9.875   2.75       2    2.75  1 YR CMT
 52690138    306,400.00    306,400.00  Purchase  Full           383,000.00   5/1/2010   10.625   2.75       2    2.75  1 YR CMT
 53066171    359,200.00    359,200.00  Purchase  Full           455,000.00   5/1/2010   10.625   2.75       2    2.75  1 YR CMT
 54058953    248,000.00    248,000.00  Purchase  Full           310,000.00   6/1/2010    10.25   2.75       2    2.75  1 YR CMT
 57042103    402,792.00    402,792.00  Purchase  Full           517,000.00   9/1/2010   10.625   2.75       2    2.75  1 YR CMT
 57347874    376,000.00    375,919.71  R/T Refi  Full           470,000.00   9/1/2010   10.125   2.75       2    2.75  1 YR CMT
 58414079    276,152.00    275,810.00  Purchase  Full           345,500.00   9/1/2010     10.5   2.75       2    2.75  1 YR CMT
 59406082    348,000.00    348,000.00  C/O Refi  Asset Only     465,000.00  10/1/2010     10.5   2.75       2    2.75  1 YR CMT
 59848093    240,000.00    240,000.00  R/T Refi  Full           285,000.00  11/1/2010   10.375   2.75       2    2.75  1 YR CMT
 60744513    276,000.00    276,000.00  R/T Refi  Full           340,000.00  12/1/2010    10.25   2.75       2    2.75  1 YR CMT
 60836681    353,600.00    353,600.00  Purchase  Asset Only     460,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
 61427357    248,716.00    248,716.00  Purchase  Full           315,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 61918017    388,000.00    388,000.00  Purchase  Full           517,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 61918322    256,000.00    256,000.00  Purchase  Full           320,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62009006    284,000.00    284,000.00  C/O Refi  Full           355,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
 62010004    336,000.00    333,920.79  R/T Refi  Asset Only   1,130,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62045398    286,400.00    286,400.00  Purchase  Full           358,000.00   2/1/2011   10.375   2.75       2    2.75  1 YR CMT
 62065677    308,000.00    308,000.00  Purchase  Full           390,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62097324    315,000.00    315,000.00  R/T Refi  Asset Only     596,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62105929    265,600.00    265,600.00  Purchase  Full           332,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62159041    202,449.00    202,396.72  Purchase  Asset Only     255,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62187174    150,000.00    149,171.54  Purchase  Asset Only     210,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
 62360029    384,000.00    384,000.00  R/T Refi  Full           503,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
 62467188    262,000.00    261,655.45  C/O Refi  Full           375,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62496781    270,000.00    269,896.39  C/O Refi  Full           340,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62497227    383,200.00    383,200.00  Purchase  Full           479,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62512587    620,000.00    620,000.00  Purchase  Full           775,000.00   3/1/2011   10.375   2.75       2    2.75  1 YR CMT
 62534078    225,000.00    225,000.00  Purchase  Full           285,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
 62540448    400,000.00    398,533.33  C/O Refi  Full           525,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
 62585427    232,900.00    231,873.29  Purchase  Asset Only     333,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
 62633219    150,300.00    150,300.00  Purchase  Asset Only     167,500.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
 62732839    304,000.00    304,000.00  Purchase  Full           380,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62741285    364,000.00    364,000.00  Purchase  Asset Only     455,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62894191    309,000.00    309,000.00  C/O Refi  Full           387,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 62982137    281,250.00    281,250.00  Purchase  Full           383,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 63020069    300,000.00    300,000.00  C/O Refi  Asset Only     408,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 63142558    281,600.00    281,600.00  Purchase  Asset Only     352,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 63167746    325,000.00    325,000.00  Purchase  Asset Only     689,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
 63217137    203,000.00    202,990.00  C/O Refi  Full           330,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
140990763    310,750.00    310,750.00  Purchase  AUS            390,000.00   1/1/2010    9.875   2.75       2    2.75  1 YR CMT
142458959    312,000.00    312,000.00  R/T Refi  AUS            390,000.00   4/1/2010      9.5   2.75       2    2.75  1 YR CMT
142844356    324,000.00    324,000.00  R/T Refi  Full           405,000.00   4/1/2010   10.125   2.75       2    2.75  1 YR CMT
143008605    173,200.00    173,167.52  Purchase  AUS            220,000.00   5/1/2010      9.5   2.75       2    2.75  1 YR CMT
144398732    373,600.00    373,600.00  Purchase  AUS            467,000.00   8/1/2010    9.875   2.75       2    2.75  1 YR CMT
144669413    412,000.00    412,000.00  C/O Refi  Asset Only     970,000.00   7/1/2010    10.25   2.75       2    2.75  1 YR CMT
147497101    301,663.00    301,663.00  Purchase  AUS            380,000.00  12/1/2010       10   2.75       2    2.75  1 YR CMT
147875975    308,000.00    308,000.00  Purchase  Full           390,000.00   1/1/2011   10.375   2.75       2    2.75  1 YR CMT
147923585    417,000.00    415,656.32  Purchase  AUS            575,000.00   4/1/2011   10.625   2.75       2    2.75  1 YR CMT
148702103    222,292.00    220,519.05  Purchase  AUS            280,000.00   1/1/2011      9.5   2.75       2    2.75  1 YR CMT
148757289    350,000.00    350,000.00  Purchase  AUS            493,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
148814213    244,000.00    243,850.87  Purchase  Asset Only     310,000.00   2/1/2011   10.125   2.75       2    2.75  1 YR CMT
148916166    355,000.00    355,000.00  Purchase  AUS            465,000.00   1/1/2011   10.125   2.75       2    2.75  1 YR CMT
148970718    284,000.00    284,000.00  Purchase  Full           355,000.00   2/1/2011       10   2.75       2    2.75  1 YR CMT
149029506    276,000.00    274,811.40  Purchase  AUS            345,900.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
149086506    400,000.00    400,000.00  C/O Refi  AUS            940,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
149152555    196,400.00    196,400.00  Purchase  AUS            246,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
149164337    196,800.00    195,713.02  Purchase  AUS            246,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
149197956    277,600.00    277,600.00  Purchase  Asset Only     347,000.00   2/1/2011   10.125   2.75       2    2.75  1 YR CMT
149198442    192,000.00    190,800.00  Purchase  AUS            250,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
149313165    364,000.00    364,000.00  Purchase  AUS            455,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
149401317    263,960.00    262,432.82  Purchase  AUS            330,000.00   2/1/2011    10.25   2.75       2    2.75  1 YR CMT
149458416    400,000.00    400,000.00  R/T Refi  AUS            600,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
149507212    205,000.00    205,000.00  R/T Refi  AUS            295,500.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
149515561    280,801.00    280,801.00  Purchase  AUS            370,000.00   2/1/2011    9.875   2.75       2    2.75  1 YR CMT
149578395    308,000.00    306,298.81  Purchase  AUS            385,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
149621021    284,000.00    282,279.48  Purchase  AUS            358,000.00   2/1/2011       10   2.75       2    2.75  1 YR CMT
149627259    338,000.00    335,952.37  Purchase  AUS            436,000.00   2/1/2011       10   2.75       2    2.75  1 YR CMT
149646374    338,398.00    338,398.00  Purchase  AUS            430,000.00   2/1/2011   10.375   2.75       2    2.75  1 YR CMT
149676389    324,000.00    322,208.30  Purchase  AUS            405,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
149715096    344,000.00    343,400.00  C/O Refi  AUS            430,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
149795932    412,000.00    409,387.61  Purchase  AUS            520,000.00   2/1/2011     9.75   2.75       2    2.75  1 YR CMT
149818171    378,000.00    378,000.00  C/O Refi  Asset Only     540,000.00   3/1/2011   10.375   2.75       2    2.75  1 YR CMT
149861593    204,000.00    202,846.72  Purchase  AUS            255,000.00   2/1/2011   10.375   2.75       2    2.75  1 YR CMT
149893935    199,092.00    198,172.50  Purchase  AUS            257,000.00   3/1/2011    10.25   2.75       2    2.75  1 YR CMT
149900086    187,200.00    187,200.00  Purchase  AUS            235,000.00   3/1/2011   10.125   2.75       2    2.75  1 YR CMT
150020667    350,000.00    350,000.00  C/O Refi  AUS            450,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150040517    336,000.00    336,000.00  Purchase  Asset Only     420,000.00   3/1/2011    10.25   2.75       2    2.75  1 YR CMT
150058527    416,000.00    416,000.00  Purchase  AUS            530,000.00   2/1/2011   10.625   2.75       2    2.75  1 YR CMT
150076016    417,000.00    417,000.00  Purchase  AUS            529,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
150085785    400,000.00    400,000.00  R/T Refi  AUS            750,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
150086593    272,000.00    272,000.00  Purchase  AUS            340,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
150091684    211,040.00    211,040.00  Purchase  AUS            264,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
150116622    232,000.00    232,000.00  Purchase  AUS            295,000.00   2/1/2011     10.5   2.75       2    2.75  1 YR CMT
150119675    224,417.00    224,417.00  Purchase  AUS            290,000.00   3/1/2011    9.875   2.75       2    2.75  1 YR CMT
150186096    303,600.00    302,593.24  Purchase  AUS            380,000.00   4/1/2011   10.125   2.75       2    2.75  1 YR CMT
150221166    309,500.00    308,350.37  Purchase  AUS            416,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150226207    415,200.00    415,200.00  Purchase  Full           519,000.00   3/1/2011    10.25   2.75       2    2.75  1 YR CMT
150230597    291,200.00    291,200.00  Purchase  AUS            365,000.00   3/1/2011   10.375   2.75       2    2.75  1 YR CMT
150274967    286,800.00    286,800.00  Purchase  AUS            360,000.00   3/1/2011    9.375   2.75       2    2.75  1 YR CMT
150346807    252,000.00    252,000.00  Purchase  AUS            325,000.00   3/1/2011   10.125   2.75       2    2.75  1 YR CMT
150353076    200,000.00    200,000.00  Purchase  Asset Only     363,000.00   3/1/2011   10.375   2.75       2    2.75  1 YR CMT
150360055    224,000.00    224,000.00  Purchase  AUS            290,000.00   4/1/2011    10.25   2.75       2    2.75  1 YR CMT
150373819    349,037.00    349,037.00  Purchase  AUS            437,500.00   4/1/2011    9.625   2.75       2    2.75  1 YR CMT
150391977    358,620.00    358,620.00  Purchase  AUS            450,000.00   3/1/2011     9.75   2.75       2    2.75  1 YR CMT
150425759    233,600.00    233,600.00  Purchase  AUS            305,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150433738    150,000.00    150,000.00  Purchase  AUS            186,000.00   3/1/2011     10.5   2.75       2    2.75  1 YR CMT
150452076    368,000.00    368,000.00  Purchase  AUS            461,000.00   3/1/2011    10.25   2.75       2    2.75  1 YR CMT
150506988    396,000.00    396,000.00  C/O Refi  AUS            495,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
150604759    327,200.00    326,150.00  Purchase  AUS            410,000.00   3/1/2011   10.625   2.75       2    2.75  1 YR CMT
150620201    250,000.00    250,000.00  C/O Refi  AUS            500,000.00   4/1/2011     10.5   2.75       2    2.75  1 YR CMT
150899516    343,741.00    343,741.00  Purchase  AUS            430,000.00   4/1/2011    9.875   2.75       2    2.75  1 YR CMT
151039161    313,600.00    313,600.00  Purchase  AUS            396,000.00   4/1/2011       10   2.75       2    2.75  1 YR CMT
151087939    396,440.00    396,438.27  Purchase  Asset Only     529,000.00   4/1/2011    10.25   2.75       2    2.75  1 YR CMT
151093416    297,750.00    297,750.00  Purchase  Asset Only     397,000.00   5/1/2011   10.375   2.75       2    2.75  1 YR CMT

LOANID     ODATE       SERVICER
----------------------------------

145678181   7/12/2005  Wells Fargo
145683363    7/8/2005  Wells Fargo
145692554    8/9/2005  Wells Fargo
145705398   9/19/2005  Wells Fargo
145720942   7/29/2005  Wells Fargo
145735783    8/1/2005  Wells Fargo
145749958   7/15/2005  Wells Fargo
145756698   7/21/2005  Wells Fargo
145790291   7/25/2005  Wells Fargo
145833372    7/8/2005  Wells Fargo
145840161   7/29/2005  Wells Fargo
145850541   8/10/2005  Wells Fargo
145858247    8/2/2005  Wells Fargo
145936357   7/11/2005  Wells Fargo
146043971    8/1/2005  Wells Fargo
146081963    8/3/2005  Wells Fargo
146104575   7/14/2005  Wells Fargo
146107834   8/15/2005  Wells Fargo
146143391   7/26/2005  Wells Fargo
146178272   12/2/2005  Wells Fargo
146178793    8/3/2005  Wells Fargo
146209226    8/5/2005  Wells Fargo
146254248   7/28/2005  Wells Fargo
146265541   8/23/2005  Wells Fargo
146273537   8/18/2005  Wells Fargo
146281662  10/26/2005  Wells Fargo
146285754   8/12/2005  Wells Fargo
146305032   8/15/2005  Wells Fargo
146317672    7/1/2005  Wells Fargo
146330311    8/9/2005  Wells Fargo
146348545   8/19/2005  Wells Fargo
146372636  10/17/2005  Wells Fargo
146387907    8/8/2005  Wells Fargo
146456538    8/4/2005  Wells Fargo
146472477   8/25/2005  Wells Fargo
146475355   8/17/2005  Wells Fargo
146497508   8/22/2005  Wells Fargo
146499777   8/15/2005  Wells Fargo
146505201    8/9/2005  Wells Fargo
146526215   8/17/2005  Wells Fargo
146544069   8/12/2005  Wells Fargo
146545546    8/9/2005  Wells Fargo
146577259   7/29/2005  Wells Fargo
146589965   8/29/2005  Wells Fargo
146592548   8/12/2005  Wells Fargo
146601737   8/23/2005  Wells Fargo
146608609   8/22/2005  Wells Fargo
146614557   8/23/2005  Wells Fargo
146620208   8/17/2005  Wells Fargo
146634522    9/7/2005  Wells Fargo
146636907   8/15/2005  Wells Fargo
146641568    9/1/2005  Wells Fargo
146652896   8/22/2005  Wells Fargo
146657028  11/15/2005  Wells Fargo
146658497   9/22/2005  Wells Fargo
146665039   8/11/2005  Wells Fargo
146684154   8/16/2005  Wells Fargo
146689161   8/10/2005  Wells Fargo
146694732   9/21/2005  Wells Fargo
146705371  12/29/2005  Wells Fargo
146707575   8/11/2005  Wells Fargo
146725858   9/15/2005  Wells Fargo
146741905  10/25/2005  Wells Fargo
146748678   8/12/2005  Wells Fargo
146755509    9/7/2005  Wells Fargo
146768338   8/19/2005  Wells Fargo
146768718   8/24/2005  Wells Fargo
146774906   8/10/2005  Wells Fargo
146803457   8/15/2005  Wells Fargo
146804935   7/21/2005  Wells Fargo
146811658   8/24/2005  Wells Fargo
146815485   8/16/2005  Wells Fargo
146823562   8/22/2005  Wells Fargo
146825377   8/23/2005  Wells Fargo
146829205   8/15/2005  Wells Fargo
146840723   9/13/2005  Wells Fargo
146904495   9/12/2005  Wells Fargo
146905815   10/1/2005  Wells Fargo
146909205   8/31/2005  Wells Fargo
146941778   8/23/2005  Wells Fargo
146941794   8/31/2005  Wells Fargo
146942081    9/2/2005  Wells Fargo
146949938   8/31/2005  Wells Fargo
146957147   9/20/2005  Wells Fargo
146959978    9/2/2005  Wells Fargo
146968433  10/20/2005  Wells Fargo
146970611    9/1/2005  Wells Fargo
146973425    9/1/2005  Wells Fargo
146994926   9/13/2005  Wells Fargo
147004311   9/20/2005  Wells Fargo
147022248   8/31/2005  Wells Fargo
147037352   12/6/2005  Wells Fargo
147059687   9/22/2005  Wells Fargo
147063952   9/19/2005  Wells Fargo
147073076  10/31/2005  Wells Fargo
147074454   8/31/2005  Wells Fargo
147087613    9/6/2005  Wells Fargo
147103592    9/2/2005  Wells Fargo
147112189   9/14/2005  Wells Fargo
147128714  10/31/2005  Wells Fargo
147131486    9/2/2005  Wells Fargo
147135354   8/24/2005  Wells Fargo
147146401    9/2/2005  Wells Fargo
147148597   8/25/2005  Wells Fargo
147154298    9/6/2005  Wells Fargo
147162051  10/13/2005  Wells Fargo
147162259   8/19/2005  Wells Fargo
147163109   10/6/2005  Wells Fargo
147163133   9/16/2005  Wells Fargo
147168678    9/2/2005  Wells Fargo
147174494    9/9/2005  Wells Fargo
147179006   8/24/2005  Wells Fargo
147188643    9/8/2005  Wells Fargo
147193825   8/30/2005  Wells Fargo
147205504  10/18/2005  Wells Fargo
147208144    9/8/2005  Wells Fargo
147213102   10/5/2005  Wells Fargo
147214969   9/12/2005  Wells Fargo
147228084   9/29/2005  Wells Fargo
147229884    9/8/2005  Wells Fargo
147231138   9/19/2005  Wells Fargo
147235519   10/5/2005  Wells Fargo
147244008    9/1/2005  Wells Fargo
147248058   9/16/2005  Wells Fargo
147252746   9/19/2005  Wells Fargo
147278485   9/17/2005  Wells Fargo
147282586  10/20/2005  Wells Fargo
147298863   9/22/2005  Wells Fargo
147312037   9/23/2005  Wells Fargo
147319008   9/30/2005  Wells Fargo
147328918   9/19/2005  Wells Fargo
147338818    9/8/2005  Wells Fargo
147341192   9/16/2005  Wells Fargo
147349872   9/22/2005  Wells Fargo
147359079   9/30/2005  Wells Fargo
147364855    9/8/2005  Wells Fargo
147381057   9/22/2005  Wells Fargo
147383442   10/3/2005  Wells Fargo
147386965   10/3/2005  Wells Fargo
147388383   9/14/2005  Wells Fargo
147406896   9/13/2005  Wells Fargo
147408173  10/18/2005  Wells Fargo
147412639   9/28/2005  Wells Fargo
147418941   9/26/2005  Wells Fargo
147419832   9/21/2005  Wells Fargo
147446066   12/1/2005  Wells Fargo
147450324   9/29/2005  Wells Fargo
147453039   9/20/2005  Wells Fargo
147459333   11/7/2005  Wells Fargo
147466346   9/23/2005  Wells Fargo
147476535   9/29/2005  Wells Fargo
147479604   9/23/2005  Wells Fargo
147483853   9/27/2005  Wells Fargo
147497424   12/9/2005  Wells Fargo
147508956   10/1/2005  Wells Fargo
147518575   9/21/2005  Wells Fargo
147521512   9/21/2005  Wells Fargo
147525729    9/8/2005  Wells Fargo
147539704  11/18/2005  Wells Fargo
147548937  10/13/2005  Wells Fargo
147569347  10/19/2005  Wells Fargo
147572739   9/22/2005  Wells Fargo
147583736   10/5/2005  Wells Fargo
147589022   8/12/2005  Wells Fargo
147593586   10/3/2005  Wells Fargo
147597645   9/19/2005  Wells Fargo
147605414  11/23/2005  Wells Fargo
147632236   9/30/2005  Wells Fargo
147633986   9/23/2005  Wells Fargo
147640122   11/2/2005  Wells Fargo
147650949   10/7/2005  Wells Fargo
147667232   9/27/2005  Wells Fargo
147689111   10/3/2005  Wells Fargo
147695456  11/14/2005  Wells Fargo
147697551  10/28/2005  Wells Fargo
147699821   10/6/2005  Wells Fargo
147729784  11/22/2005  Wells Fargo
147754709   10/1/2005  Wells Fargo
147758205   9/28/2005  Wells Fargo
147770432   10/7/2005  Wells Fargo
147775449   10/4/2005  Wells Fargo
147776223  10/11/2005  Wells Fargo
147784631  10/18/2005  Wells Fargo
147799019  10/11/2005  Wells Fargo
147805253  10/11/2005  Wells Fargo
147808216   10/4/2005  Wells Fargo
147812507  10/14/2005  Wells Fargo
147817316  10/14/2005  Wells Fargo
147819866  10/27/2005  Wells Fargo
147823082  10/17/2005  Wells Fargo
147826168   1/10/2006  Wells Fargo
147832109  10/20/2005  Wells Fargo
147841456  10/20/2005  Wells Fargo
147843452  11/28/2005  Wells Fargo
147856835  10/19/2005  Wells Fargo
147881726  10/12/2005  Wells Fargo
147907174   11/2/2005  Wells Fargo
147913495    9/7/2005  Wells Fargo
147926539   10/7/2005  Wells Fargo
147929434   11/1/2005  Wells Fargo
147929632  10/20/2005  Wells Fargo
147931166  10/21/2005  Wells Fargo
147939284   9/29/2005  Wells Fargo
147940357  10/18/2005  Wells Fargo
147948012  10/27/2005  Wells Fargo
147955819   10/7/2005  Wells Fargo
147958276   9/30/2005  Wells Fargo
147959431  10/27/2005  Wells Fargo
147960132  10/12/2005  Wells Fargo
147962062  10/13/2005  Wells Fargo
147962377  11/23/2005  Wells Fargo
147966022  10/24/2005  Wells Fargo
147980197  10/21/2005  Wells Fargo
147985642  10/10/2005  Wells Fargo
147995914  10/15/2005  Wells Fargo
147999775   11/1/2005  Wells Fargo
148003791   11/3/2005  Wells Fargo
148023831  10/17/2005  Wells Fargo
148027717  10/10/2005  Wells Fargo
148031305  10/19/2005  Wells Fargo
148041189  12/16/2005  Wells Fargo
148051485  10/11/2005  Wells Fargo
148053887  10/27/2005  Wells Fargo
148064066  10/12/2005  Wells Fargo
148064967   11/9/2005  Wells Fargo
148086093   11/4/2005  Wells Fargo
148097637  10/18/2005  Wells Fargo
148107568  10/24/2005  Wells Fargo
148121056   10/7/2005  Wells Fargo
148121601  10/27/2005  Wells Fargo
148128598  10/11/2005  Wells Fargo
148136443  10/19/2005  Wells Fargo
148136641   10/6/2005  Wells Fargo
148138183  11/12/2005  Wells Fargo
148143431  12/29/2005  Wells Fargo
148151244  10/26/2005  Wells Fargo
148161219  10/18/2005  Wells Fargo
148179245  11/25/2005  Wells Fargo
148179492   12/5/2005  Wells Fargo
148182348  10/24/2005  Wells Fargo
148185267  10/27/2005  Wells Fargo
148186885  10/13/2005  Wells Fargo
148201007  10/25/2005  Wells Fargo
148205792  11/18/2005  Wells Fargo
148226665  12/14/2005  Wells Fargo
148236482  11/23/2005  Wells Fargo
148239783  10/19/2005  Wells Fargo
148265341  11/23/2005  Wells Fargo
148277437  10/26/2005  Wells Fargo
148283906  12/16/2005  Wells Fargo
148285505  10/13/2005  Wells Fargo
148287402   10/5/2005  Wells Fargo
148288384  10/25/2005  Wells Fargo
148291784  10/18/2005  Wells Fargo
148298078   11/1/2005  Wells Fargo
148300759   1/13/2006  Wells Fargo
148303514  10/24/2005  Wells Fargo
148304637  10/21/2005  Wells Fargo
148306608  10/24/2005  Wells Fargo
148306962  11/22/2005  Wells Fargo
148309388   11/3/2005  Wells Fargo
148312408   11/4/2005  Wells Fargo
148313646  11/15/2005  Wells Fargo
148329717   12/1/2005  Wells Fargo
148333438  10/26/2005  Wells Fargo
148333826  10/26/2005  Wells Fargo
148336506   11/7/2005  Wells Fargo
148341522  11/23/2005  Wells Fargo
148348014   11/3/2005  Wells Fargo
148366677  10/24/2005  Wells Fargo
148386584   12/9/2005  Wells Fargo
148388697   11/8/2005  Wells Fargo
148389562   12/7/2005  Wells Fargo
148389745  10/19/2005  Wells Fargo
148397375   11/8/2005  Wells Fargo
148403264  10/21/2005  Wells Fargo
148403447  10/31/2005  Wells Fargo
148415862   12/5/2005  Wells Fargo
148421019  10/25/2005  Wells Fargo
148429178  10/26/2005  Wells Fargo
148429202   11/2/2005  Wells Fargo
148440621  10/26/2005  Wells Fargo
148449168  10/18/2005  Wells Fargo
148461676   11/3/2005  Wells Fargo
148463748   11/9/2005  Wells Fargo
148464282  12/14/2005  Wells Fargo
148464795   1/10/2006  Wells Fargo
148477151   11/3/2005  Wells Fargo
148482615  11/16/2005  Wells Fargo
148488422  12/19/2005  Wells Fargo
148500796  11/10/2005  Wells Fargo
148501372  10/27/2005  Wells Fargo
148518178  10/28/2005  Wells Fargo
148529035  10/31/2005  Wells Fargo
148529878  11/16/2005  Wells Fargo
148533979   11/7/2005  Wells Fargo
148543978  11/14/2005  Wells Fargo
148547714   11/8/2005  Wells Fargo
148548332  11/17/2005  Wells Fargo
148552003  10/24/2005  Wells Fargo
148557382   11/9/2005  Wells Fargo
148581275  12/16/2005  Wells Fargo
148590482   9/29/2005  Wells Fargo
148599251  11/23/2005  Wells Fargo
148605504  10/27/2005  Wells Fargo
148612872  11/23/2005  Wells Fargo
148636764   11/9/2005  Wells Fargo
148639974  11/21/2005  Wells Fargo
148646441   11/8/2005  Wells Fargo
148655418  11/15/2005  Wells Fargo
148660194  11/21/2005  Wells Fargo
148663073  11/11/2005  Wells Fargo
148664527  11/21/2005  Wells Fargo
148670359   11/8/2005  Wells Fargo
148672728   11/1/2005  Wells Fargo
148677149   11/9/2005  Wells Fargo
148680341  11/10/2005  Wells Fargo
148685522  11/15/2005  Wells Fargo
148686041   11/1/2005  Wells Fargo
148689029  11/23/2005  Wells Fargo
148689367  11/21/2005  Wells Fargo
148698475  11/17/2005  Wells Fargo
148701592   1/30/2006  Wells Fargo
148702541  11/18/2005  Wells Fargo
148704612  12/13/2005  Wells Fargo
148717309   11/9/2005  Wells Fargo
148722622   11/1/2005  Wells Fargo
148739071  12/15/2005  Wells Fargo
148739287  11/28/2005  Wells Fargo
148739543  11/23/2005  Wells Fargo
148740186  11/16/2005  Wells Fargo
148748619  11/17/2005  Wells Fargo
148757487  11/17/2005  Wells Fargo
148758568  11/21/2005  Wells Fargo
148781495  11/30/2005  Wells Fargo
148787427   12/6/2005  Wells Fargo
148788193  12/10/2005  Wells Fargo
148802549   1/12/2006  Wells Fargo
148814478  11/17/2005  Wells Fargo
148815087  11/22/2005  Wells Fargo
148830763  11/21/2005  Wells Fargo
148840457  11/15/2005  Wells Fargo
148844103  11/23/2005  Wells Fargo
148844384   11/9/2005  Wells Fargo
148853542   11/8/2005  Wells Fargo
148854912  11/25/2005  Wells Fargo
148868953  11/28/2005  Wells Fargo
148870298  11/15/2005  Wells Fargo
148878887  11/17/2005  Wells Fargo
148885262  10/17/2005  Wells Fargo
148890296  12/12/2005  Wells Fargo
148890601  11/28/2005  Wells Fargo
148898372   11/9/2005  Wells Fargo
148900301   12/2/2005  Wells Fargo
148901465   11/4/2005  Wells Fargo
148905862  11/25/2005  Wells Fargo
148905938  12/16/2005  Wells Fargo
148931231  11/21/2005  Wells Fargo
148936297  11/15/2005  Wells Fargo
148937865  11/30/2005  Wells Fargo
148943228  11/11/2005  Wells Fargo
148950223  11/28/2005  Wells Fargo
148957095  11/10/2005  Wells Fargo
148958986  11/30/2005  Wells Fargo
148966161  12/15/2005  Wells Fargo
148991334  11/17/2005  Wells Fargo
148998495  11/17/2005  Wells Fargo
149008054   1/19/2006  Wells Fargo
149011009  11/18/2005  Wells Fargo
149020075  11/30/2005  Wells Fargo
149033292  12/15/2005  Wells Fargo
149034126  12/28/2005  Wells Fargo
149034282   1/10/2006  Wells Fargo
149043549   12/6/2005  Wells Fargo
149043705  11/17/2005  Wells Fargo
149045072  11/17/2005  Wells Fargo
149051674  11/22/2005  Wells Fargo
149055451  11/21/2005  Wells Fargo
149056988  11/23/2005  Wells Fargo
149060204  11/22/2005  Wells Fargo
149068264  11/23/2005  Wells Fargo
149074494   12/1/2005  Wells Fargo
149083842  11/17/2005  Wells Fargo
149091449   12/5/2005  Wells Fargo
149095861  12/13/2005  Wells Fargo
149096315  12/23/2005  Wells Fargo
149109225   12/5/2005  Wells Fargo
149117913   12/9/2005  Wells Fargo
149131567  12/16/2005  Wells Fargo
149137754  11/23/2005  Wells Fargo
149150658   12/9/2005  Wells Fargo
149153496  12/16/2005  Wells Fargo
149159642   12/7/2005  Wells Fargo
149168932  12/15/2005  Wells Fargo
149184392   12/9/2005  Wells Fargo
149210015  11/29/2005  Wells Fargo
149221137  11/21/2005  Wells Fargo
149221145   12/8/2005  Wells Fargo
149224834   1/11/2006  Wells Fargo
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128298064    5/6/2003  Wells Fargo
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147704365   10/6/2005  Wells Fargo
147705081  10/21/2005  Wells Fargo
147712269  10/12/2005  Wells Fargo
147714588  10/31/2005  Wells Fargo
147719165  10/14/2005  Wells Fargo
147723464   9/21/2005  Wells Fargo
147724645  10/10/2005  Wells Fargo
147724991   9/26/2005  Wells Fargo
147733752   10/4/2005  Wells Fargo
147734453   10/7/2005  Wells Fargo
147739403   9/21/2005  Wells Fargo
147741904  11/10/2005  Wells Fargo
147747349   9/27/2005  Wells Fargo
147754253   10/6/2005  Wells Fargo
147765283   9/15/2005  Wells Fargo
147769905   9/30/2005  Wells Fargo
147770358   9/29/2005  Wells Fargo
147773725   9/27/2005  Wells Fargo
147784219   9/30/2005  Wells Fargo
147784789   11/1/2005  Wells Fargo
147787352   9/22/2005  Wells Fargo
147790562   9/29/2005  Wells Fargo
147807283   10/3/2005  Wells Fargo
147813083  11/17/2005  Wells Fargo
147829014  10/12/2005  Wells Fargo
147831911  10/27/2005  Wells Fargo
147844757  10/25/2005  Wells Fargo
147845804  10/12/2005  Wells Fargo
147846455  10/19/2005  Wells Fargo
147850481   9/26/2005  Wells Fargo
147853972  10/17/2005  Wells Fargo
147857205  11/29/2005  Wells Fargo
147857908   9/22/2005  Wells Fargo
147863013  10/12/2005  Wells Fargo
147868335  11/22/2005  Wells Fargo
147869218  10/11/2005  Wells Fargo
147871545   10/6/2005  Wells Fargo
147873541   10/5/2005  Wells Fargo
147874671   10/4/2005  Wells Fargo
147880322  10/11/2005  Wells Fargo
147891741  10/12/2005  Wells Fargo
147893994   10/5/2005  Wells Fargo
147895627  10/13/2005  Wells Fargo
147905624   10/7/2005  Wells Fargo
147908727  10/11/2005  Wells Fargo
147910475  10/14/2005  Wells Fargo
147911788   9/26/2005  Wells Fargo
147917504  10/17/2005  Wells Fargo
147917595  11/21/2005  Wells Fargo
147921555  10/12/2005  Wells Fargo
147927552   10/4/2005  Wells Fargo
147927966  10/12/2005  Wells Fargo
147946503  10/14/2005  Wells Fargo
147947279  10/25/2005  Wells Fargo
147949564   9/29/2005  Wells Fargo
147951123  10/21/2005  Wells Fargo
147952386   9/30/2005  Wells Fargo
147953335   11/3/2005  Wells Fargo
147953988   11/2/2005  Wells Fargo
147959522   12/6/2005  Wells Fargo
147961767  10/19/2005  Wells Fargo
147962419  10/13/2005  Wells Fargo
147963078  10/28/2005  Wells Fargo
147965412  11/17/2005  Wells Fargo
147972863   10/3/2005  Wells Fargo
147976831  10/20/2005  Wells Fargo
147984462  10/11/2005  Wells Fargo
147986459  10/17/2005  Wells Fargo
147987275   10/5/2005  Wells Fargo
147987598  10/17/2005  Wells Fargo
147987804  10/10/2005  Wells Fargo
147988943   11/3/2005  Wells Fargo
147989735  10/27/2005  Wells Fargo
147999486  10/10/2005  Wells Fargo
148008261  10/14/2005  Wells Fargo
148010069   9/30/2005  Wells Fargo
148010796  10/26/2005  Wells Fargo
148020274  10/14/2005  Wells Fargo
148023948  10/14/2005  Wells Fargo
148024029  10/14/2005  Wells Fargo
148027279  10/18/2005  Wells Fargo
148032634  10/19/2005  Wells Fargo
148041726  10/11/2005  Wells Fargo
148045875  10/24/2005  Wells Fargo
148051147  10/12/2005  Wells Fargo
148051774   10/4/2005  Wells Fargo
148052517   10/7/2005  Wells Fargo
148057599   9/30/2005  Wells Fargo
148059678   11/2/2005  Wells Fargo
148060874  10/25/2005  Wells Fargo
148062581   10/7/2005  Wells Fargo
148067226  10/20/2005  Wells Fargo
148071616  10/19/2005  Wells Fargo
148072291  10/28/2005  Wells Fargo
148074313  10/21/2005  Wells Fargo
148076748  10/10/2005  Wells Fargo
148080997  10/14/2005  Wells Fargo
148083157  10/12/2005  Wells Fargo
148098734  10/28/2005  Wells Fargo
148102338   8/31/2005  Wells Fargo
148109499  11/23/2005  Wells Fargo
148122195   11/4/2005  Wells Fargo
148125933  10/19/2005  Wells Fargo
148126741   9/30/2005  Wells Fargo
148126808   10/3/2005  Wells Fargo
148127335  10/13/2005  Wells Fargo
148127749  10/24/2005  Wells Fargo
148140254  10/13/2005  Wells Fargo
148144793  10/17/2005  Wells Fargo
148150196  10/18/2005  Wells Fargo
148150626  10/28/2005  Wells Fargo
148153901  10/20/2005  Wells Fargo
148158488  10/12/2005  Wells Fargo
148159254  10/28/2005  Wells Fargo
148160195  11/18/2005  Wells Fargo
148162381  10/25/2005  Wells Fargo
148164403  10/19/2005  Wells Fargo
148173404  10/13/2005  Wells Fargo
148175425  10/26/2005  Wells Fargo
148175599  10/28/2005  Wells Fargo
148175839  10/14/2005  Wells Fargo
148177363   8/19/2005  Wells Fargo
148177983    9/1/2005  Wells Fargo
148179781   8/15/2005  Wells Fargo
148191935   10/5/2005  Wells Fargo
148193311  10/21/2005  Wells Fargo
148214612    7/7/2005  Wells Fargo
148215684  10/26/2005  Wells Fargo
148216757   11/1/2005  Wells Fargo
148226152   10/6/2005  Wells Fargo
148226376  10/27/2005  Wells Fargo
148226459   8/10/2005  Wells Fargo
148227002  10/26/2005  Wells Fargo
148228745  10/20/2005  Wells Fargo
148228794  10/26/2005  Wells Fargo
148243827  11/16/2005  Wells Fargo
148245558  10/25/2005  Wells Fargo
148246119  10/26/2005  Wells Fargo
148246614   8/22/2005  Wells Fargo
148248636  10/27/2005  Wells Fargo
148249139  11/28/2005  Wells Fargo
148249212   8/29/2005  Wells Fargo
148249865    8/5/2005  Wells Fargo
148250202  11/10/2005  Wells Fargo
148252539  11/11/2005  Wells Fargo
148253271  11/14/2005  Wells Fargo
148257413   8/30/2005  Wells Fargo
148258395   8/11/2005  Wells Fargo
148258619  10/19/2005  Wells Fargo
148258957   8/24/2005  Wells Fargo
148259807   7/11/2005  Wells Fargo
148261043   7/29/2005  Wells Fargo
148263536   8/30/2005  Wells Fargo
148263627   8/17/2005  Wells Fargo
148265275   8/15/2005  Wells Fargo
148269798  10/18/2005  Wells Fargo
148270887   12/5/2005  Wells Fargo
148271539   8/25/2005  Wells Fargo
148273832  10/12/2005  Wells Fargo
148275183   9/30/2005  Wells Fargo
148276694   11/7/2005  Wells Fargo
148278732   8/11/2005  Wells Fargo
148279821  10/11/2005  Wells Fargo
148282007  11/11/2005  Wells Fargo
148285851  10/25/2005  Wells Fargo
148285976   11/3/2005  Wells Fargo
148288301  11/15/2005  Wells Fargo
148289002  11/22/2005  Wells Fargo
148289895  10/20/2005  Wells Fargo
148292154  10/26/2005  Wells Fargo
148293616   11/2/2005  Wells Fargo
148294374  10/18/2005  Wells Fargo
148300213   11/2/2005  Wells Fargo
148304371   11/8/2005  Wells Fargo
148305691  10/25/2005  Wells Fargo
148306178  11/18/2005  Wells Fargo
148306236   12/1/2005  Wells Fargo
148306889  11/15/2005  Wells Fargo
148307044   8/22/2005  Wells Fargo
148309156  10/20/2005  Wells Fargo
148309271   7/14/2005  Wells Fargo
148310253  10/21/2005  Wells Fargo
148313638  11/15/2005  Wells Fargo
148315708  10/28/2005  Wells Fargo
148317415  11/14/2005  Wells Fargo
148318413   11/2/2005  Wells Fargo
148318702   11/2/2005  Wells Fargo
148319684   8/25/2005  Wells Fargo
148320393  10/17/2005  Wells Fargo
148323751   11/3/2005  Wells Fargo
148323769  10/12/2005  Wells Fargo
148324023  10/25/2005  Wells Fargo
148325392   8/15/2005  Wells Fargo
148325905   7/20/2005  Wells Fargo
148326663  10/13/2005  Wells Fargo
148326903  10/26/2005  Wells Fargo
148327018   7/29/2005  Wells Fargo
148328685  10/20/2005  Wells Fargo
148329725   11/3/2005  Wells Fargo
148330103  10/27/2005  Wells Fargo
148331408  11/14/2005  Wells Fargo
148331572   11/9/2005  Wells Fargo
148335482  10/13/2005  Wells Fargo
148335607  10/20/2005  Wells Fargo
148342777  10/26/2005  Wells Fargo
148344187   11/1/2005  Wells Fargo
148348048  10/26/2005  Wells Fargo
148348386  10/31/2005  Wells Fargo
148350812   8/25/2005  Wells Fargo
148351943   8/19/2005  Wells Fargo
148354541   11/3/2005  Wells Fargo
148355308  12/13/2005  Wells Fargo
148356389  11/17/2005  Wells Fargo
148358278   11/1/2005  Wells Fargo
148359136  10/19/2005  Wells Fargo
148360555  10/19/2005  Wells Fargo
148361157  10/21/2005  Wells Fargo
148364227   11/4/2005  Wells Fargo
148367683   11/7/2005  Wells Fargo
148367873   11/3/2005  Wells Fargo
148371172   11/7/2005  Wells Fargo
148371453  11/11/2005  Wells Fargo
148371768  10/14/2005  Wells Fargo
148371925  10/21/2005  Wells Fargo
148372063  10/27/2005  Wells Fargo
148372915  10/21/2005  Wells Fargo
148379761  10/27/2005  Wells Fargo
148381999   11/2/2005  Wells Fargo
148385206  10/18/2005  Wells Fargo
148389596  10/26/2005  Wells Fargo
148394778   11/7/2005  Wells Fargo
148401474  10/20/2005  Wells Fargo
148401722  10/25/2005  Wells Fargo
148402308  10/20/2005  Wells Fargo
148403538  11/14/2005  Wells Fargo
148408917   7/29/2005  Wells Fargo
148411903    8/9/2005  Wells Fargo
148413834   8/11/2005  Wells Fargo
148415896    7/6/2005  Wells Fargo
148416084    8/9/2005  Wells Fargo
148416373  10/14/2005  Wells Fargo
148418254  10/12/2005  Wells Fargo
148420227  10/21/2005  Wells Fargo
148420268   11/4/2005  Wells Fargo
148420367  10/21/2005  Wells Fargo
148424245    7/9/2005  Wells Fargo
148424369  10/27/2005  Wells Fargo
148426828  10/25/2005  Wells Fargo
148427081  10/31/2005  Wells Fargo
148429251  10/21/2005  Wells Fargo
148434798  10/19/2005  Wells Fargo
148439391  10/20/2005  Wells Fargo
148441397   12/6/2005  Wells Fargo
148443955   12/9/2005  Wells Fargo
148444797   11/4/2005  Wells Fargo
148445604  11/10/2005  Wells Fargo
148445844  10/17/2005  Wells Fargo
148456841   11/4/2005  Wells Fargo
148460819  10/24/2005  Wells Fargo
148464209   11/3/2005  Wells Fargo
148464399   11/4/2005  Wells Fargo
148466105   11/1/2005  Wells Fargo
148468317   11/9/2005  Wells Fargo
148473275   11/1/2005  Wells Fargo
148480114  10/24/2005  Wells Fargo
148481245   11/4/2005  Wells Fargo
148481864  10/20/2005  Wells Fargo
148482912  10/31/2005  Wells Fargo
148483027  10/26/2005  Wells Fargo
148483068  10/27/2005  Wells Fargo
148484702  11/25/2005  Wells Fargo
148484926  10/20/2005  Wells Fargo
148485543   11/8/2005  Wells Fargo
148486087   11/4/2005  Wells Fargo
148486442  10/25/2005  Wells Fargo
148488711  12/20/2005  Wells Fargo
148490089   11/7/2005  Wells Fargo
148494198  10/26/2005  Wells Fargo
148494529   11/4/2005  Wells Fargo
148494891  12/13/2005  Wells Fargo
148496169   11/7/2005  Wells Fargo
148497464   11/9/2005  Wells Fargo
148499684   11/3/2005  Wells Fargo
148501117  10/25/2005  Wells Fargo
148501661   11/1/2005  Wells Fargo
148502131  11/16/2005  Wells Fargo
148504608  11/23/2005  Wells Fargo
148506884  11/16/2005  Wells Fargo
148509102  11/10/2005  Wells Fargo
148510688   11/3/2005  Wells Fargo
148512445  11/15/2005  Wells Fargo
148514979  11/10/2005  Wells Fargo
148515802  11/17/2005  Wells Fargo
148516222  10/27/2005  Wells Fargo
148516875  11/17/2005  Wells Fargo
148517006   11/1/2005  Wells Fargo
148517261  11/21/2005  Wells Fargo
148517378  10/31/2005  Wells Fargo
148522626  11/13/2005  Wells Fargo
148523079  10/24/2005  Wells Fargo
148523533  10/21/2005  Wells Fargo
148524432   11/7/2005  Wells Fargo
148526023  11/12/2005  Wells Fargo
148526494   11/8/2005  Wells Fargo
148528193   11/4/2005  Wells Fargo
148528599  11/18/2005  Wells Fargo
148529589  10/20/2005  Wells Fargo
148530629   11/3/2005  Wells Fargo
148530983   12/2/2005  Wells Fargo
148531403  11/17/2005  Wells Fargo
148531411   11/2/2005  Wells Fargo
148535149  11/15/2005  Wells Fargo
148537848  10/12/2005  Wells Fargo
148539299  11/17/2005  Wells Fargo
148540032   10/6/2005  Wells Fargo
148542566   11/3/2005  Wells Fargo
148542616   11/3/2005  Wells Fargo
148543135  11/15/2005  Wells Fargo
148544232   11/1/2005  Wells Fargo
148546484  10/20/2005  Wells Fargo
148549298   11/8/2005  Wells Fargo
148551492  10/31/2005  Wells Fargo
148551831  11/21/2005  Wells Fargo
148554892  10/31/2005  Wells Fargo
148555519  10/25/2005  Wells Fargo
148557275   11/9/2005  Wells Fargo
148558513  10/28/2005  Wells Fargo
148559263  11/22/2005  Wells Fargo
148559339  11/15/2005  Wells Fargo
148560642  11/17/2005  Wells Fargo
148561129  11/15/2005  Wells Fargo
148562697  11/14/2005  Wells Fargo
148564453   12/2/2005  Wells Fargo
148565203  10/31/2005  Wells Fargo
148569205   11/3/2005  Wells Fargo
148570468  10/28/2005  Wells Fargo
148570831  10/27/2005  Wells Fargo
148571151   12/9/2005  Wells Fargo
148572068  10/27/2005  Wells Fargo
148573603  10/28/2005  Wells Fargo
148578016  10/31/2005  Wells Fargo
148578693   11/3/2005  Wells Fargo
148582968   11/7/2005  Wells Fargo
148584394   11/1/2005  Wells Fargo
148585532  11/14/2005  Wells Fargo
148587934  11/10/2005  Wells Fargo
148588346   8/10/2005  Wells Fargo
148589039   11/8/2005  Wells Fargo
148591712  11/16/2005  Wells Fargo
148593346   11/3/2005  Wells Fargo
148597123   11/9/2005  Wells Fargo
148597594  11/11/2005  Wells Fargo
148601602  12/14/2005  Wells Fargo
148601768   11/4/2005  Wells Fargo
148609126  12/16/2005  Wells Fargo
148609415   10/5/2005  Wells Fargo
148610934  11/30/2005  Wells Fargo
148613474  10/21/2005  Wells Fargo
148615438  11/14/2005  Wells Fargo
148615784  11/10/2005  Wells Fargo
148617855   12/7/2005  Wells Fargo
148619182  11/10/2005  Wells Fargo
148620479   11/7/2005  Wells Fargo
148622715  11/18/2005  Wells Fargo
148624695  10/28/2005  Wells Fargo
148624968  11/10/2005  Wells Fargo
148625619  10/31/2005  Wells Fargo
148628217   11/1/2005  Wells Fargo
148629413  10/28/2005  Wells Fargo
148629843   11/7/2005  Wells Fargo
148629991  11/21/2005  Wells Fargo
148634579  11/18/2005  Wells Fargo
148634702  11/14/2005  Wells Fargo
148643471  11/11/2005  Wells Fargo
148643752   11/7/2005  Wells Fargo
148648801   1/25/2006  Wells Fargo
148650252   11/4/2005  Wells Fargo
148650807   11/8/2005  Wells Fargo
148651086  10/20/2005  Wells Fargo
148653959  11/23/2005  Wells Fargo
148656176  11/21/2005  Wells Fargo
148660244  10/27/2005  Wells Fargo
148664337  11/23/2005  Wells Fargo
148665789  11/18/2005  Wells Fargo
148670094   12/5/2005  Wells Fargo
148670797  10/26/2005  Wells Fargo
148671209   11/7/2005  Wells Fargo
148671514  11/17/2005  Wells Fargo
148674971  11/18/2005  Wells Fargo
148676364  11/22/2005  Wells Fargo
148676497   11/7/2005  Wells Fargo
148678477   11/7/2005  Wells Fargo
148679301  11/15/2005  Wells Fargo
148679913   11/8/2005  Wells Fargo
148680531   11/3/2005  Wells Fargo
148681927  11/17/2005  Wells Fargo
148683121   7/22/2005  Wells Fargo
148683709   11/2/2005  Wells Fargo
148685258  12/28/2005  Wells Fargo
148685415  11/16/2005  Wells Fargo
148687775   11/3/2005  Wells Fargo
148689649   11/1/2005  Wells Fargo
148693419   12/7/2005  Wells Fargo
148696016  11/16/2005  Wells Fargo
148696545   11/8/2005  Wells Fargo
148697386  11/10/2005  Wells Fargo
148697436   10/5/2005  Wells Fargo
148699739  12/15/2005  Wells Fargo
148701279  11/15/2005  Wells Fargo
148702186  11/16/2005  Wells Fargo
148703226  11/14/2005  Wells Fargo
148705726  11/16/2005  Wells Fargo
148707573  11/16/2005  Wells Fargo
148709652  11/10/2005  Wells Fargo
148709827  11/14/2005  Wells Fargo
148710882  11/18/2005  Wells Fargo
148715642   11/4/2005  Wells Fargo
148717259  10/26/2005  Wells Fargo
148718992   11/8/2005  Wells Fargo
148721046  11/30/2005  Wells Fargo
148722077  11/11/2005  Wells Fargo
148723547   11/4/2005  Wells Fargo
148723778  11/11/2005  Wells Fargo
148723877  11/15/2005  Wells Fargo
148726938  11/11/2005  Wells Fargo
148730294   11/3/2005  Wells Fargo
148731706  11/30/2005  Wells Fargo
148732993  11/10/2005  Wells Fargo
148735533  11/22/2005  Wells Fargo
148737281  11/14/2005  Wells Fargo
148737307   11/7/2005  Wells Fargo
148738313  11/18/2005  Wells Fargo
148738511  11/18/2005  Wells Fargo
148739048  11/16/2005  Wells Fargo
148739394  11/29/2005  Wells Fargo
148740459  11/11/2005  Wells Fargo
148740509  11/17/2005  Wells Fargo
148741861  11/10/2005  Wells Fargo
148748825  10/28/2005  Wells Fargo
148750532  11/23/2005  Wells Fargo
148753007   11/7/2005  Wells Fargo
148753593   11/3/2005  Wells Fargo
148754757   11/9/2005  Wells Fargo
148757065   11/9/2005  Wells Fargo
148757297  10/31/2005  Wells Fargo
148757826  11/10/2005  Wells Fargo
148758394  11/18/2005  Wells Fargo
148759863   11/9/2005  Wells Fargo
148760457  11/29/2005  Wells Fargo
148761323  11/14/2005  Wells Fargo
148762743  12/19/2005  Wells Fargo
148763113  11/16/2005  Wells Fargo
148765126  11/11/2005  Wells Fargo
148766892   12/6/2005  Wells Fargo
148773096   11/1/2005  Wells Fargo
148775919  12/15/2005  Wells Fargo
148776933   11/9/2005  Wells Fargo
148784424   11/9/2005  Wells Fargo
148786536  11/22/2005  Wells Fargo
148788128  11/22/2005  Wells Fargo
148789563  10/31/2005  Wells Fargo
148796485  11/10/2005  Wells Fargo
148798754  11/17/2005  Wells Fargo
148802523   11/9/2005  Wells Fargo
148805997   11/7/2005  Wells Fargo
148812753  11/10/2005  Wells Fargo
148813066   11/2/2005  Wells Fargo
148813298  11/10/2005  Wells Fargo
148814049  11/15/2005  Wells Fargo
148816374  11/21/2005  Wells Fargo
148821044  10/19/2005  Wells Fargo
148821721  11/11/2005  Wells Fargo
148821812  11/18/2005  Wells Fargo
148825748   12/9/2005  Wells Fargo
148826308  11/17/2005  Wells Fargo
148829955  10/31/2005  Wells Fargo
148831811   11/7/2005  Wells Fargo
148833387  11/18/2005  Wells Fargo
148833692   11/2/2005  Wells Fargo
148834112   11/3/2005  Wells Fargo
148835184   11/3/2005  Wells Fargo
148835572  11/11/2005  Wells Fargo
148837305  11/23/2005  Wells Fargo
148839012  11/22/2005  Wells Fargo
148839269  11/16/2005  Wells Fargo
148839491  11/17/2005  Wells Fargo
148839582  11/11/2005  Wells Fargo
148840036   12/2/2005  Wells Fargo
148840259  11/30/2005  Wells Fargo
148847437  11/10/2005  Wells Fargo
148851207  11/14/2005  Wells Fargo
148852189   11/8/2005  Wells Fargo
148853252   12/8/2005  Wells Fargo
148853328  11/29/2005  Wells Fargo
148855117  10/11/2005  Wells Fargo
148856347  12/16/2005  Wells Fargo
148856875   11/7/2005  Wells Fargo
148858988   12/8/2005  Wells Fargo
148861438  10/26/2005  Wells Fargo
148863343  11/16/2005  Wells Fargo
148867922  11/14/2005  Wells Fargo
148868763  11/18/2005  Wells Fargo
148869936  12/15/2005  Wells Fargo
148871346  11/22/2005  Wells Fargo
148873748   11/9/2005  Wells Fargo
148880859  11/28/2005  Wells Fargo
148881246  11/11/2005  Wells Fargo
148882525  11/18/2005  Wells Fargo
148883093  11/15/2005  Wells Fargo
148885965   12/1/2005  Wells Fargo
148886856  11/16/2005  Wells Fargo
148887805  11/22/2005  Wells Fargo
148891054  11/10/2005  Wells Fargo
148893506  11/17/2005  Wells Fargo
148894736  11/18/2005  Wells Fargo
148895485  12/14/2005  Wells Fargo
148897408  11/17/2005  Wells Fargo
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143011542   3/11/2005  Wells Fargo
143016418   4/12/2005  Wells Fargo
143028868   3/17/2005  Wells Fargo
143035731   2/22/2005  Wells Fargo
143042224   4/13/2005  Wells Fargo
143047165   3/18/2005  Wells Fargo
143048734   2/25/2005  Wells Fargo
143059467   3/31/2005  Wells Fargo
143065282    3/7/2005  Wells Fargo
143073138   5/25/2005  Wells Fargo
143103745   3/16/2005  Wells Fargo
143113538   3/30/2005  Wells Fargo
143140796   3/25/2005  Wells Fargo
143190593   4/14/2005  Wells Fargo
143221307   3/28/2005  Wells Fargo
143232171    5/2/2005  Wells Fargo
143256584   4/29/2005  Wells Fargo
143259695    5/6/2005  Wells Fargo
143266443   3/28/2005  Wells Fargo
143292209   4/29/2005  Wells Fargo
143292217   3/29/2005  Wells Fargo
143302198    4/7/2005  Wells Fargo
143303626   6/22/2005  Wells Fargo
143313021   3/24/2005  Wells Fargo
143335743   4/18/2005  Wells Fargo
143370542   5/23/2005  Wells Fargo
143379204   5/27/2005  Wells Fargo
143400406   4/29/2005  Wells Fargo
143417178   4/19/2005  Wells Fargo
143420347   4/29/2005  Wells Fargo
143479236   5/20/2005  Wells Fargo
143510097   4/22/2005  Wells Fargo
143527737   5/23/2005  Wells Fargo
143529568   3/31/2005  Wells Fargo
143553154   4/26/2005  Wells Fargo
143568889   3/29/2005  Wells Fargo
143599827   6/17/2005  Wells Fargo
143608792   4/28/2005  Wells Fargo
143612406   6/27/2005  Wells Fargo
143621449   5/27/2005  Wells Fargo
143622249   5/26/2005  Wells Fargo
143640423    6/8/2005  Wells Fargo
143651685    5/5/2005  Wells Fargo
143688091   6/13/2005  Wells Fargo
143734911   4/29/2005  Wells Fargo
143763803   5/26/2005  Wells Fargo
143791069   3/25/2005  Wells Fargo
143814168   5/23/2005  Wells Fargo
143823482   4/25/2005  Wells Fargo
143837888   4/28/2005  Wells Fargo
143849545   6/10/2005  Wells Fargo
143853851   5/19/2005  Wells Fargo
143869089   4/29/2005  Wells Fargo
143899664    6/6/2005  Wells Fargo
143943496   5/16/2005  Wells Fargo
143948248   4/28/2005  Wells Fargo
143954121   5/17/2005  Wells Fargo
143958395   4/28/2005  Wells Fargo
143958478   5/12/2005  Wells Fargo
143970804   6/15/2005  Wells Fargo
143984235   5/24/2005  Wells Fargo
144071412    5/6/2005  Wells Fargo
144075959    5/6/2005  Wells Fargo
144076734   5/12/2005  Wells Fargo
144118288    5/6/2005  Wells Fargo
144141124   6/10/2005  Wells Fargo
144146537   5/31/2005  Wells Fargo
144155603   4/30/2005  Wells Fargo
144156809   6/22/2005  Wells Fargo
144160116   4/29/2005  Wells Fargo
144190881   5/20/2005  Wells Fargo
144203213   5/19/2005  Wells Fargo
144249406   4/28/2005  Wells Fargo
144255577   5/23/2005  Wells Fargo
144281201    6/3/2005  Wells Fargo
144307881   5/31/2005  Wells Fargo
144310588   5/23/2005  Wells Fargo
144347077   5/25/2005  Wells Fargo
144354735   5/20/2005  Wells Fargo
144362357   5/26/2005  Wells Fargo
144401007   6/15/2005  Wells Fargo
144438207    5/6/2005  Wells Fargo
144464997   5/31/2005  Wells Fargo
144509437   5/24/2005  Wells Fargo
144542628    6/2/2005  Wells Fargo
144565488   5/17/2005  Wells Fargo
144573375   5/23/2005  Wells Fargo
144591906   5/23/2005  Wells Fargo
144621497   5/17/2005  Wells Fargo
144642584    5/6/2005  Wells Fargo
144672417   5/19/2005  Wells Fargo
144684982   6/24/2005  Wells Fargo
144714896    6/3/2005  Wells Fargo
144749272   6/24/2005  Wells Fargo
144759917   5/24/2005  Wells Fargo
144765989   5/24/2005  Wells Fargo
144796968   5/17/2005  Wells Fargo
144828811   5/25/2005  Wells Fargo
144851151   6/17/2005  Wells Fargo
144855343   5/24/2005  Wells Fargo
144918331    6/2/2005  Wells Fargo
145211868    7/8/2005  Wells Fargo
145502696    8/1/2005  Wells Fargo
145532735    7/1/2005  Wells Fargo
145618765    7/1/2005  Wells Fargo
145690251   7/26/2005  Wells Fargo
145750857   7/12/2005  Wells Fargo
145783742   7/13/2005  Wells Fargo
145858023   6/30/2005  Wells Fargo
146182944   7/22/2005  Wells Fargo
146191705   7/28/2005  Wells Fargo
146202585   7/29/2005  Wells Fargo
 17966466   1/17/2003  Wells Fargo
 46162772  11/19/2004  Wells Fargo
 47512116   10/5/2004  Wells Fargo
 48500953   11/8/2004  Wells Fargo
 48564322   11/5/2004  Wells Fargo
 51259703   2/22/2005  Wells Fargo
 52690138   4/19/2005  Wells Fargo
 53066171   4/22/2005  Wells Fargo
 54058953   5/25/2005  Wells Fargo
 57042103    8/1/2005  Wells Fargo
 57347874    8/8/2005  Wells Fargo
 58414079   8/16/2005  Wells Fargo
 59406082   9/16/2005  Wells Fargo
 59848093  10/21/2005  Wells Fargo
 60744513   11/9/2005  Wells Fargo
 60836681    2/6/2006  Wells Fargo
 61427357   3/10/2006  Wells Fargo
 61918017   1/31/2006  Wells Fargo
 61918322   3/20/2006  Wells Fargo
 62009006   1/18/2006  Wells Fargo
 62010004   1/24/2006  Wells Fargo
 62045398   1/13/2006  Wells Fargo
 62065677   1/12/2006  Wells Fargo
 62097324   1/23/2006  Wells Fargo
 62105929   2/13/2006  Wells Fargo
 62159041   1/11/2006  Wells Fargo
 62187174   1/13/2006  Wells Fargo
 62360029   2/22/2006  Wells Fargo
 62467188   3/14/2006  Wells Fargo
 62496781   2/21/2006  Wells Fargo
 62497227    2/2/2006  Wells Fargo
 62512587    2/3/2006  Wells Fargo
 62534078    2/8/2006  Wells Fargo
 62540448   2/23/2006  Wells Fargo
 62585427   2/13/2006  Wells Fargo
 62633219   2/10/2006  Wells Fargo
 62732839   2/13/2006  Wells Fargo
 62741285    2/8/2006  Wells Fargo
 62894191    2/7/2006  Wells Fargo
 62982137    2/6/2006  Wells Fargo
 63020069   2/17/2006  Wells Fargo
 63142558   2/15/2006  Wells Fargo
 63167746   2/15/2006  Wells Fargo
 63217137   3/22/2006  Wells Fargo
140990763  12/24/2004  Wells Fargo
142458959   3/17/2005  Wells Fargo
142844356   3/30/2005  Wells Fargo
143008605   4/11/2005  Wells Fargo
144398732   7/26/2005  Wells Fargo
144669413   6/17/2005  Wells Fargo
147497101  11/30/2005  Wells Fargo
147875975  12/28/2005  Wells Fargo
147923585    3/8/2006  Wells Fargo
148702103   12/6/2005  Wells Fargo
148757289    1/3/2006  Wells Fargo
148814213   1/13/2006  Wells Fargo
148916166  11/30/2005  Wells Fargo
148970718   1/13/2006  Wells Fargo
149029506   1/31/2006  Wells Fargo
149086506    1/6/2006  Wells Fargo
149152555   1/23/2006  Wells Fargo
149164337    1/6/2006  Wells Fargo
149197956   1/19/2006  Wells Fargo
149198442   1/25/2006  Wells Fargo
149313165   1/10/2006  Wells Fargo
149401317    1/3/2006  Wells Fargo
149458416   1/18/2006  Wells Fargo
149507212   1/12/2006  Wells Fargo
149515561    1/5/2006  Wells Fargo
149578395   1/17/2006  Wells Fargo
149621021   1/20/2006  Wells Fargo
149627259   1/13/2006  Wells Fargo
149646374   1/26/2006  Wells Fargo
149676389   2/13/2006  Wells Fargo
149715096   1/30/2006  Wells Fargo
149795932   1/31/2006  Wells Fargo
149818171    2/7/2006  Wells Fargo
149861593   1/11/2006  Wells Fargo
149893935   2/16/2006  Wells Fargo
149900086    2/6/2006  Wells Fargo
150020667    3/2/2006  Wells Fargo
150040517   1/30/2006  Wells Fargo
150058527   1/27/2006  Wells Fargo
150076016   2/14/2006  Wells Fargo
150085785    2/3/2006  Wells Fargo
150086593   2/22/2006  Wells Fargo
150091684   2/28/2006  Wells Fargo
150116622   1/23/2006  Wells Fargo
150119675    2/7/2006  Wells Fargo
150186096   2/28/2006  Wells Fargo
150221166    3/8/2006  Wells Fargo
150226207   2/21/2006  Wells Fargo
150230597    2/9/2006  Wells Fargo
150274967   2/10/2006  Wells Fargo
150346807   2/21/2006  Wells Fargo
150353076   2/10/2006  Wells Fargo
150360055   3/13/2006  Wells Fargo
150373819    3/2/2006  Wells Fargo
150391977   2/16/2006  Wells Fargo
150425759    3/2/2006  Wells Fargo
150433738   2/27/2006  Wells Fargo
150452076   2/28/2006  Wells Fargo
150506988   2/22/2006  Wells Fargo
150604759   2/15/2006  Wells Fargo
150620201   3/14/2006  Wells Fargo
150899516   3/16/2006  Wells Fargo
151039161   3/16/2006  Wells Fargo
151087939   3/21/2006  Wells Fargo
151093416    4/4/2006  Wells Fargo

                                   EXHIBIT D-3
                       LOAN GROUP 3 MORTGAGE LOAN SCHEDULE

                 [See separate Excel file on Closing Binder CD]

                                      D-3-1

LOANID     OCC        PROPTYPE      OTERM  CORTERM  OLTV   RATE   FPDATE     NDDATE     S_MATDATE  PANDI     PTDATE     OBAL
----------------------------------------------------------------------------------------------------------------------------------

145684916  Primary    SFR             360      349     80      6   9/1/2005   7/1/2006   8/1/2035    827.99   6/1/2006  165,600.00
145685897  Primary    SFR             360      350  56.24      6  10/1/2005   7/1/2006   9/1/2035  1,870.00   6/1/2006  374,000.00
145700787  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,635.99   6/1/2006  334,360.00
145721106  Primary    SFR             360      349     80      6   9/1/2005   7/1/2006   8/1/2035  1,300.00   6/1/2006  260,000.00
145748943  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035    567.92   6/1/2006  116,000.00
145754081  Primary    SFR             360      349  58.57  5.875   9/1/2005   7/1/2006   8/1/2035  2,002.06   6/1/2006  410,000.00
145763504  Primary    SFR             360      349  69.09  5.875   9/1/2005   7/1/2006   8/1/2035  1,859.93   6/1/2006  380,000.00
145797999  Primary    SFR             360      349   54.4  5.875   9/1/2005   7/1/2006   8/1/2035  1,996.49   6/1/2006  408,000.00
145803847  Primary    SFR             360      349  43.29  5.875   9/1/2005   7/1/2006   8/1/2035  1,801.67   6/1/2006  368,000.00
145813028  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,076.77   6/1/2006  220,000.00
145879052  Secondary  SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,405.10   6/1/2006  287,006.00
145946653  Primary    SFR             360      349  40.27  5.875   9/1/2005   7/1/2006   8/1/2035  1,468.75   6/1/2006  300,000.00
145946695  Primary    Cooperative     360      355  77.22  5.875   3/1/2006   8/1/2006   2/1/2036  2,041.56   7/1/2006  417,000.00
145982187  Primary    SFR             360      350  79.88  6.125  10/1/2005   8/1/2006   9/1/2035       680   7/1/2006  133,400.00
146015748  Primary    2-Family        360      350  61.11      6  10/1/2005   7/1/2006   9/1/2035  1,375.00   6/1/2006  275,000.00
146090972  Primary    SFR             360      351  70.76  5.875  11/1/2005   7/1/2006  10/1/2035  1,551.31   6/1/2006  318,415.00
146101183  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,931.89   6/1/2006  396,000.00
146119136  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,506.82   6/1/2006  307,777.00
146119144  Primary    SFR             360      351   78.2  5.875  11/1/2005   7/1/2006  10/1/2035    807.81   6/1/2006  165,000.00
146124714  Primary    Condo - Low     360      350   78.1      6  10/1/2005   7/1/2006   9/1/2035       820   6/1/2006  164,000.00
146130034  Secondary  SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035    626.67   6/1/2006  128,000.00
146139498  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,934.34   6/1/2006  396,000.00
146142245  Primary    Condo - Low     360      350  79.74  5.875  10/1/2005   7/1/2006   9/1/2035  1,968.93   6/1/2006  402,700.00
146166772  Investor   SFR             360      350     75   6.25  10/1/2005   7/1/2006   9/1/2035    976.56   6/1/2006  187,500.00
146195367  Primary    2-Family        360      351  66.67  5.875  11/1/2005   7/1/2006  10/1/2035  1,958.33   6/1/2006  400,000.00
146199252  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,527.30   6/1/2006  311,960.00
146204755  Primary    SFR             360      350  94.99  5.875  10/1/2005   7/1/2006   9/1/2035  1,339.26   6/1/2006  273,550.00
146210588  Primary    SFR             360      350  73.44  5.875  10/1/2005   7/1/2006   9/1/2035  1,096.40   6/1/2006  224,000.00
146211438  Primary    Condo - Low     360      350  51.65  5.875  10/1/2005   7/1/2006   9/1/2035  1,605.83   6/1/2006  328,000.00
146212642  Primary    SFR             360      349     78      6   9/1/2005   8/1/2006   8/1/2035  1,671.50   7/1/2006  334,300.00
146246624  Primary    SFR             360      350  61.38  5.875  10/1/2005   7/1/2006   9/1/2035  1,570.09   6/1/2006  320,700.00
146247309  Primary    SFR             360      350     52  5.875  10/1/2005   7/1/2006   9/1/2035  1,523.09   6/1/2006  312,000.00
146260773  Secondary  SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,410.00   6/1/2006  288,000.00
146284633  Primary    SFR             360      350  63.65  5.875  10/1/2005   8/1/2006   9/1/2035  1,959.70   7/1/2006  401,000.00
146287784  Primary    SFR             360      350  43.55      6  10/1/2005   7/1/2006   9/1/2035       675   6/1/2006  135,000.00
146307855  Primary    SFR             360      350  63.22  5.875  10/1/2005   7/1/2006   9/1/2035  1,934.33   6/1/2006  395,098.00
146321567  Primary    SFR             360      350  45.56      6  10/1/2005   7/1/2006   9/1/2035  1,024.61   6/1/2006  205,000.00
146360573  Primary    SFR             360      350  74.65      6  10/1/2005   7/1/2006   9/1/2035  1,060.00   6/1/2006  212,000.00
146369657  Primary    SFR             360      349  78.26  5.875   9/1/2005   7/1/2006   8/1/2035    881.25   6/1/2006  180,000.00
146376405  Secondary  SFR             360      350  51.69  5.875  10/1/2005   7/1/2006   9/1/2035  1,126.04   6/1/2006  230,000.00
146421359  Primary    Condo - Low     360      351     95   6.25  11/1/2005   8/1/2006  10/1/2035    583.36   7/1/2006  112,005.00
146436332  Primary    SFR             360      350  77.95      6  10/1/2005   7/1/2006   9/1/2035  1,886.50   6/1/2006  377,300.00
146436555  Primary    Condo - High    360      350  70.48  5.875  10/1/2005   7/1/2006   9/1/2035  1,874.61   6/1/2006  383,400.00
146441423  Secondary  Cooperative     360      351   78.2  5.875  11/1/2005   7/1/2006  10/1/2035  1,066.09   6/1/2006  218,185.00
146455944  Primary    SFR             360      350     75      6  10/1/2005   7/1/2006   9/1/2035  2,315.77   6/1/2006  386,250.00
146458641  Secondary  SFR             360      354     80  6.375   2/1/2006   8/1/2006   1/1/2036  1,919.81   7/1/2006  362,000.00
146460977  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,980.42   6/1/2006  388,000.00
146498183  Secondary  SFR             360      351     75   6.25  11/1/2005   7/1/2006  10/1/2035  1,171.87   6/1/2006  225,000.00
146508502  Primary    SFR             360      351  70.48      6  11/1/2005   7/1/2006  10/1/2035  1,850.00   6/1/2006  370,000.00
146525191  Primary    SFR             360      350     80      6  10/1/2005   8/1/2006   9/1/2035  1,280.00   7/1/2006  256,000.00
146525233  Primary    SFR             360      350  87.13  5.875  10/1/2005   7/1/2006   9/1/2035    541.72   6/1/2006  110,650.00
146532064  Secondary  SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035  1,891.02   6/1/2006  386,250.00
146551189  Primary    2-Family        360      351     95   6.25  11/1/2005   7/1/2006  10/1/2035  1,313.80   6/1/2006  253,650.00
146558861  Primary    Condo - Low     360      350  42.91  5.875  10/1/2005   7/1/2006   9/1/2035  1,151.47   6/1/2006  236,000.00
146560867  Primary    SFR             360      350  72.44      6  10/1/2005   8/1/2006   9/1/2035  1,275.00   7/1/2006  255,000.00
146561881  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,760.00   6/1/2006  352,000.00
146574009  Primary    SFR             360      350  78.39  6.125  10/1/2005   7/1/2006   9/1/2035  1,733.37   6/1/2006  341,000.00
146575121  Primary    SFR             360      350  61.54  6.125  10/1/2005   7/1/2006   9/1/2035  2,041.67   6/1/2006  400,000.00
146592001  Primary    SFR             360      350  79.21  6.125  10/1/2005   7/1/2006   9/1/2035  2,041.67   6/1/2006  400,000.00
146595418  Investor   Condo - Low     360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,321.64   6/1/2006  259,200.00
146604236  Secondary  SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035  1,854.42   7/1/2006  383,200.00
146628771  Primary    Condo - Low     360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036  1,210.25   6/1/2006  247,200.00
146645825  Primary    SFR             360      353     95  5.875   1/1/2006   7/1/2006  12/1/2035    999.97   6/1/2006  204,250.00
146653928  Secondary  Condo - Low     360      351     80      6  11/1/2005   7/1/2006  10/1/2035  3,100.00   6/1/2006  620,000.00
146663497  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,977.92   6/1/2006  404,000.00
146663687  Primary    Condo - Low     360      350   71.5  5.875  10/1/2005   7/1/2006   9/1/2035  1,953.44   6/1/2006  404,000.00
146665633  Primary    Condo - Low     360      350  69.94  5.875  10/1/2005   7/1/2006   9/1/2035  1,811.46   6/1/2006  370,000.00
146667159  Primary    SFR             360      352  68.33  5.875  12/1/2005   7/1/2006  11/1/2035  2,425.31   6/1/2006  410,000.00
146667878  Primary    Cooperative     360      351     95  6.375  11/1/2005   7/1/2006  10/1/2035    555.16   6/1/2006  104,500.00
146679345  Primary    Condo - Low     360      350  81.63      6  10/1/2005   7/1/2006   9/1/2035  2,000.00   6/1/2006  400,000.00
146682232  Primary    SFR             360      351  76.45      6  11/1/2005   8/1/2006  10/1/2035  1,575.00   7/1/2006  315,000.00
146683636  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035  2,034.89   7/1/2006  344,000.00
146684238  Primary    SFR             360      350  53.52  5.875  10/1/2005   8/1/2006   9/1/2035  1,885.38   7/1/2006  388,000.00
146684626  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,378.65   6/1/2006  281,600.00
146695408  Primary    SFR             360      350  75.25      6  10/1/2005   7/1/2006   9/1/2035  1,900.00   6/1/2006  380,000.00
146719612  Primary    SFR             360      350   57.6  5.875  10/1/2005   7/1/2006   9/1/2035  1,762.50   6/1/2006  360,000.00
146721147  Primary    Condo - High    360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035  1,497.63   7/1/2006  306,000.00
146721253  Secondary  SFR             360      350     75      6  10/1/2005   8/1/2006   9/1/2035  1,815.44   7/1/2006  363,750.00
146722707  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  1,955.92   6/1/2006  383,200.00
146735055  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,053.50   6/1/2006  206,400.00
146741798  Primary    SFR             360      350  49.38      6  10/1/2005   8/1/2006   9/1/2035  2,000.00   7/1/2006  400,000.00
146747415  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035    685.42   6/1/2006  140,000.00
146771464  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,065.33   6/1/2006  217,600.00
146793435  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  2,013.01   6/1/2006  402,602.00
146793567  Primary    SFR             360      351   79.2  5.875  11/1/2005   7/1/2006  10/1/2035  1,938.75   6/1/2006  396,000.00
146815501  Secondary  Cooperative     360      353   79.9  6.375   1/1/2006   7/1/2006  12/1/2035  2,037.45   6/1/2006  383,520.00
146829254  Primary    SFR             360      350   49.7   6.25  10/1/2005   7/1/2006   9/1/2035  1,302.08   6/1/2006  250,000.00
146850912  Primary    SFR             360      350  65.45  6.125  10/1/2005   7/1/2006   9/1/2035  1,837.50   6/1/2006  360,000.00
146851175  Primary    SFR             360      350     80   6.25  10/1/2005   7/1/2006   9/1/2035  2,081.54   6/1/2006  404,000.00
146864483  Primary    SFR             360      351   70.8      6  11/1/2005   7/1/2006  10/1/2035  1,798.25   6/1/2006  359,650.00
146872403  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,952.00   6/1/2006  390,400.00
146876388  Secondary  Condo - Low     360      350  69.04  5.875  10/1/2005   8/1/2006   9/1/2035  2,937.50   7/1/2006  600,000.00
146881743  Primary    SFR             360      350  46.15   6.25  10/1/2005   8/1/2006   9/1/2035  1,404.71   7/1/2006  270,000.00
146884762  Primary    SFR             360      351  78.82  6.125  11/1/2005   7/1/2006  10/1/2035  1,834.69   6/1/2006  359,650.00
146885116  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035    641.08   6/1/2006  125,600.00
146892161  Primary    SFR             360      351     80  6.125  11/1/2005   8/1/2006  10/1/2035  1,225.00   7/1/2006  240,000.00
146895891  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035  1,163.02   6/1/2006  224,000.00
146916085  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,480.00   6/1/2006  296,000.00
146917463  Primary    SFR             360      352  74.07  5.875  12/1/2005   7/1/2006  11/1/2035  1,468.75   6/1/2006  300,000.00
146917604  Primary    SFR             360      351  74.55  5.875  11/1/2005   8/1/2006  10/1/2035  2,425.31   7/1/2006  410,000.00
146922588  Primary    SFR             360      353     70    6.5   1/1/2006   7/1/2006  12/1/2035  2,234.37   6/1/2006  353,500.00
146927967  Primary    SFR             360      351  79.92      6  11/1/2005   8/1/2006  10/1/2035  2,443.77   7/1/2006  407,600.00
146939111  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,469.36   6/1/2006  288,000.00
146943345  Primary    Condo - Low     360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,980.42   6/1/2006  388,000.00
146944566  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  1,694.58   6/1/2006  332,000.00
146988415  Primary    SFR             360      353  53.12  5.875   1/1/2006   7/1/2006  12/1/2035  1,722.09   6/1/2006  400,000.00
146993753  Investor   Condo - Low     360      351     80      6  11/1/2005   8/1/2006  10/1/2035  1,805.14   7/1/2006  364,312.00
146994439  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035       900   6/1/2006  180,000.00
146996806  Primary    SFR             360      350  73.75   6.25  10/1/2005   7/1/2006   9/1/2035  1,536.43   6/1/2006  295,000.00
147000483  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,645.00   6/1/2006  336,000.00
147003008  Primary    Cooperative     360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035    773.28   6/1/2006  151,500.00
147011779  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035  1,175.00   6/1/2006  240,000.00
147012389  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,516.00   6/1/2006  303,200.00
147014567  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,919.17   6/1/2006  376,000.00
147015176  Primary    SFR             360      351  51.22      6  11/1/2005   8/1/2006  10/1/2035  1,050.00   7/1/2006  210,000.00
147016588  Primary    SFR             360      352  78.19      6  12/1/2005   7/1/2006  11/1/2035  2,075.00   6/1/2006  415,000.00
147017446  Primary    SFR             360      351  77.41  5.875  11/1/2005   7/1/2006  10/1/2035  1,811.01   6/1/2006  370,000.00
147032635  Primary    SFR             360      350  79.98  6.375  10/1/2005   7/1/2006   9/1/2035  2,081.96   6/1/2006  391,900.00
147069884  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  2,092.43   6/1/2006  410,000.00
147082457  Primary    SFR             360      351  79.89  5.875  11/1/2005   7/1/2006  10/1/2035  2,041.56   6/1/2006  417,000.00
147088736  Primary    SFR             360      351  70.82      6  11/1/2005   7/1/2006  10/1/2035  1,450.00   6/1/2006  290,000.00
147091649  Primary    SFR             360      351  77.59  6.125  11/1/2005   8/1/2006  10/1/2035  1,142.72   7/1/2006  225,000.00
147099709  Secondary  SFR             360      351     95    6.5  11/1/2005   7/1/2006  10/1/2035    694.69   6/1/2006  128,250.00
147111116  Primary    SFR             360      351     80   6.25  11/1/2005   7/1/2006  10/1/2035  1,288.77   6/1/2006  248,000.00
147111934  Secondary  SFR             360      351  79.73  5.875  11/1/2005   7/1/2006  10/1/2035  1,149.70   6/1/2006  236,000.00
147115513  Primary    Condo - Low     360      351     75  6.125  11/1/2005   7/1/2006  10/1/2035  1,531.25   6/1/2006  300,000.00
147116032  Investor   SFR             360      350     90  6.375  10/1/2005   7/1/2006   9/1/2035  1,195.31   6/1/2006  225,000.00
147120315  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,910.00   6/1/2006  382,000.00
147122014  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,391.92   6/1/2006  272,702.00
147125215  Primary    SFR             360      352  79.82      6  12/1/2005   7/1/2006  11/1/2035  1,760.00   6/1/2006  352,000.00
147126866  Primary    Condo - Low     360      350     75   6.25  10/1/2005   7/1/2006   9/1/2035  2,122.66   6/1/2006  408,750.00
147132591  Investor   2-Family        360      351  73.56  6.125  11/1/2005   7/1/2006  10/1/2035  1,689.46   6/1/2006  331,000.00
147136345  Primary    SFR             360      351   74.4  5.875  11/1/2005   7/1/2006  10/1/2035  1,814.29   6/1/2006  372,000.00
147151807  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035  1,879.54   7/1/2006  384,000.00
147168157  Primary    Condo - Low     360      350  72.16  5.875  10/1/2005   7/1/2006   9/1/2035  1,713.54   6/1/2006  350,000.00
147173157  Investor   SFR             360      351  89.98      6  11/1/2005   7/1/2006  10/1/2035     653.2   6/1/2006  131,250.00
147182083  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,938.75   6/1/2006  396,000.00
147185532  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,637.17   6/1/2006  334,400.00
147192462  Investor   SFR             360      351     75   6.25  11/1/2005   7/1/2006  10/1/2035    917.73   6/1/2006  176,250.00
147192744  Primary    Condo - Low     360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  1,429.17   6/1/2006  280,000.00
147207906  Primary    SFR             360      351  76.22   6.25  11/1/2005   7/1/2006  10/1/2035    650.91   6/1/2006  125,000.00
147213961  Primary    SFR             360      352     95      6  12/1/2005   7/1/2006  11/1/2035  1,944.88   6/1/2006  389,500.00
147225668  Primary    SFR             360      351   71.8      6  11/1/2005   7/1/2006  10/1/2035  1,795.00   6/1/2006  359,000.00
147228175  Primary    SFR             360      351  59.47  5.875  11/1/2005   7/1/2006  10/1/2035  1,752.71   6/1/2006  358,000.00
147228563  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035    900.83   6/1/2006  184,000.00
147240097  Primary    SFR             360      351  73.08  6.125  11/1/2005   7/1/2006  10/1/2035  1,934.48   6/1/2006  380,000.00
147249114  Investor   Condo - Low     360      351     65      6  11/1/2005   7/1/2006  10/1/2035  1,262.18   6/1/2006  253,500.00
147253157  Primary    Condo - Low     360      352     80   6.25  12/1/2005   8/1/2006  11/1/2035  1,000.00   7/1/2006  192,000.00
147257729  Primary    SFR             360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035  1,488.33   6/1/2006  304,000.00
147258073  Primary    SFR             360      351  52.68  5.875  11/1/2005   7/1/2006  10/1/2035  2,123.63   6/1/2006  359,000.00
147260889  Primary    Condo - Low     360      351   35.3      6  11/1/2005   7/1/2006  10/1/2035  1,015.00   6/1/2006  203,000.00
147263453  Primary    SFR             360      351  70.65  5.875  11/1/2005   8/1/2006  10/1/2035  1,850.17   7/1/2006  378,000.00
147265458  Primary    SFR             360      351     80   6.25  11/1/2005   7/1/2006  10/1/2035  1,316.32   6/1/2006  252,800.00
147267546  Primary    SFR             360      351  74.86  5.875  11/1/2005   7/1/2006  10/1/2035  1,997.40   6/1/2006  408,000.00
147273924  Primary    SFR             360      351     40      6  11/1/2005   7/1/2006  10/1/2035  2,050.00   6/1/2006  410,000.00
147284111  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  2,000.83   6/1/2006  392,000.00
147291991  Primary    SFR             360      351  84.86   6.25  11/1/2005   8/1/2006  10/1/2035  1,127.08   7/1/2006  216,400.00
147300594  Primary    SFR             360      352  75.88      6  12/1/2005   7/1/2006  11/1/2035  1,935.00   6/1/2006  387,000.00
147311112  Investor   Condo - Low     360      351     90  6.375  11/1/2005   8/1/2006  10/1/2035    805.64   7/1/2006  151,650.00
147321301  Primary    Condo - Low     360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035  1,832.63   6/1/2006  375,000.00
147321608  Primary    SFR             360      351     80   6.25  11/1/2005   7/1/2006  10/1/2035  2,041.13   6/1/2006  392,000.00
147334866  Primary    SFR             360      352  77.86  5.875  12/1/2005   7/1/2006  11/1/2035  2,031.77   6/1/2006  415,000.00
147339063  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,801.67   6/1/2006  368,000.00
147358436  Primary    Condo - Low     360      351  44.64  5.875  11/1/2005   7/1/2006  10/1/2035  1,223.96   6/1/2006  250,000.00
147361455  Primary    SFR             360      353  68.47  5.875   1/1/2006   7/1/2006  12/1/2035  1,977.92   6/1/2006  404,000.00
147366066  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035    842.08   6/1/2006  172,000.00
147369359  Primary    SFR             360      351  46.73      6  11/1/2005   8/1/2006  10/1/2035  1,250.00   7/1/2006  250,000.00
147373757  Primary    SFR             360      352  72.44  5.875  12/1/2005   7/1/2006  11/1/2035  1,382.48   6/1/2006  282,500.00
147379986  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,448.10   6/1/2006  296,000.00
147380109  Investor   SFR             360      350  79.99      6  10/1/2005   8/1/2006   9/1/2035  1,505.75   7/1/2006  301,150.00
147383996  Primary    SFR             360      351   79.5  5.875  11/1/2005   7/1/2006  10/1/2035  1,875.61   6/1/2006  384,000.00
147386536  Primary    SFR             360      350     80  6.125  10/1/2005   8/1/2006   9/1/2035  1,073.92   7/1/2006  210,400.00
147389365  Primary    SFR             360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035  1,828.10   6/1/2006  375,000.00
147393425  Primary    SFR             360      351  69.23  5.875  11/1/2005   7/1/2006  10/1/2035  1,540.88   6/1/2006  315,000.00
147393433  Primary    SFR             360      351  79.22  5.875  11/1/2005   7/1/2006  10/1/2035  1,976.94   6/1/2006  404,000.00
147394076  Primary    Condo - Low     360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,312.08   6/1/2006  268,000.00
147410823  Primary    SFR             360      350     80  6.375  10/1/2005   7/1/2006   9/1/2035    701.97   6/1/2006  133,520.00
147421416  Primary    SFR             360      351  41.84  5.875  11/1/2005   8/1/2006  10/1/2035  2,007.29   7/1/2006  410,000.00
147437701  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,935.46   7/1/2006  379,192.00
147439376  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,116.25   6/1/2006  228,000.00
147443113  Primary    SFR             360      351  64.98  5.875  11/1/2005   7/1/2006  10/1/2035  1,996.52   6/1/2006  410,000.00
147453997  Primary    Condo - Low     360      351  71.43  5.875  11/1/2005   7/1/2006  10/1/2035  1,223.96   6/1/2006  250,000.00
147454805  Investor   PUD Detached    360      351  75.24  6.125  11/1/2005   7/1/2006  10/1/2035    625.15   6/1/2006  122,478.00
147455075  Primary    SFR             360      351  71.09  6.125  11/1/2005   7/1/2006  10/1/2035  1,985.76   6/1/2006  391,000.00
147458822  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,585.86   6/1/2006  324,000.00
147459168  Primary    SFR             360      351   68.5  5.875  11/1/2005   7/1/2006  10/1/2035  1,760.79   6/1/2006  359,650.00
147463558  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,292.50   6/1/2006  264,000.00
147483408  Primary    SFR             360      352  74.23  5.875  12/1/2005   7/1/2006  11/1/2035  1,887.61   6/1/2006  386,000.00
147485809  Primary    Condo - Low     360      355     80  6.125   3/1/2006   7/1/2006   2/1/2036    951.01   6/1/2006  186,320.00
147494603  Investor   Condo - Low     360      352  72.98      6  12/1/2005   7/1/2006  11/1/2035  1,036.92   6/1/2006  208,000.00
147507081  Primary    SFR             360      352   73.9      6  12/1/2005   7/1/2006  11/1/2035  1,939.00   6/1/2006  388,000.00
147511083  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035    697.17   6/1/2006  142,400.00
147529275  Primary    Condo - Low     360      351  73.36  5.875  11/1/2005   7/1/2006  10/1/2035  1,992.60   6/1/2006  413,000.00
147533194  Primary    Condo - Low     360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035  1,939.58   7/1/2006  380,000.00
147535041  Primary    SFR             360      351  56.31  5.875  11/1/2005   7/1/2006  10/1/2035  1,419.79   6/1/2006  290,000.00
147538151  Primary    Condo - Low     360      351     80   6.25  11/1/2005   7/1/2006  10/1/2035    733.75   6/1/2006  140,880.00
147561898  Primary    SFR             360      351     80  5.875  11/1/2005   9/1/2006  10/1/2035  1,872.90   8/1/2006  384,000.00
147565022  Investor   SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035    650.12   7/1/2006  132,800.00
147576425  Primary    PUD Detached    360      351   79.9  5.875  11/1/2005   7/1/2006  10/1/2035  1,593.59   6/1/2006  325,500.00
147582654  Primary    SFR             360      352  71.12  5.875  12/1/2005   8/1/2006  11/1/2035  2,019.53   7/1/2006  412,500.00
147590178  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,488.14   6/1/2006  304,000.00
147604482  Primary    SFR             360      352  35.98  5.875  12/1/2005   7/1/2006  11/1/2035  1,884.90   6/1/2006  385,000.00
147610752  Secondary  SFR             360      351  53.25      6  11/1/2005   8/1/2006  10/1/2035       450   7/1/2006   90,000.00
147613103  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035       524   6/1/2006  104,800.00
147639272  Primary    SFR             360      351  68.48  5.875  11/1/2005   7/1/2006  10/1/2035  1,106.17   6/1/2006  226,000.00
147644835  Investor   SFR             360      352     85      6  12/1/2005   7/1/2006  11/1/2035  1,353.63   6/1/2006  270,725.00
147646368  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,019.87   6/1/2006  204,000.00
147651632  Primary    SFR             360      352     70      6  12/1/2005   8/1/2006  11/1/2035  1,778.75   7/1/2006  357,000.00
147653349  Primary    SFR             360      352  22.86  5.875  12/1/2005   7/1/2006  11/1/2035    977.56   6/1/2006  200,000.00
147654487  Primary    SFR             360      353     95  5.875   1/1/2006   8/1/2006  12/1/2035  1,662.90   7/1/2006  342,475.00
147654925  Primary    SFR             360      351  59.52      6  11/1/2005   7/1/2006  10/1/2035  1,875.00   6/1/2006  375,000.00
147670996  Primary    SFR             360      351  55.32  5.875  11/1/2005   7/1/2006  10/1/2035  1,759.32   6/1/2006  359,601.00
147672463  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  2,094.75   6/1/2006  410,400.00
147682231  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,920.00   6/1/2006  384,000.00
147691067  Primary    Condo - Low     360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,919.50   6/1/2006  383,900.00
147691133  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  2,005.33   6/1/2006  409,600.00
147692339  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,184.35   6/1/2006  242,400.00
147696827  Primary    Condo - Low     360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  2,072.29   6/1/2006  406,000.00
147697155  Primary    SFR             360      352  78.95  5.875  12/1/2005   7/1/2006  11/1/2035  1,835.94   6/1/2006  375,000.00
147697627  Investor   SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,156.00   6/1/2006  231,200.00
147697635  Primary    SFR             360      352  48.61   6.25  12/1/2005   7/1/2006  11/1/2035  1,822.92   6/1/2006  350,000.00
147698294  Primary    Condo - Low     360      351  78.82  5.875  11/1/2005   7/1/2006  10/1/2035    840.56   6/1/2006  173,000.00
147702716  Primary    SFR             360      352  75.35      6  12/1/2005   8/1/2006  11/1/2035  1,881.74   7/1/2006  376,750.00
147704019  Primary    SFR             360      352  79.22      6  12/1/2005   8/1/2006  11/1/2035  2,446.17   7/1/2006  408,000.00
147708853  Secondary  Cooperative     360      353  79.05  5.875   1/1/2006   7/1/2006  12/1/2035    726.49   6/1/2006  149,400.00
147709034  Primary    SFR             360      352   66.4   6.25  12/1/2005   8/1/2006  11/1/2035  2,158.85   7/1/2006  415,000.00
147712418  Primary    Condo - Low     360      352     70      6  12/1/2005   7/1/2006  11/1/2035       525   6/1/2006  105,000.00
147714067  Primary    Condo - Low     360      352  77.97  6.125  12/1/2005   8/1/2006  11/1/2035  1,572.08   7/1/2006  308,000.00
147723258  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,720.00   6/1/2006  344,000.00
147729347  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,795.68   6/1/2006  360,000.00
147738215  Primary    SFR             360      351     75   6.25  11/1/2005   8/1/2006  10/1/2035  1,742.19   7/1/2006  334,500.00
147739817  Primary    Condo - Low     360      352  72.73  6.125  12/1/2005   7/1/2006  11/1/2035  1,786.46   6/1/2006  400,000.00
147741672  Investor   SFR             360      351     90   6.25  11/1/2005   7/1/2006  10/1/2035    382.25   6/1/2006  264,486.00
147758189  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  1,249.58   7/1/2006  239,920.00
147759369  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,000.00   6/1/2006  200,000.00
147767305  Primary    Condo - High    360      354     80      6   2/1/2006   8/1/2006   1/1/2036  2,005.60   7/1/2006  401,120.00
147799324  Primary    SFR             360      352   76.4  5.875  12/1/2005   7/1/2006  11/1/2035  1,870.11   6/1/2006  382,000.00
147810667  Primary    SFR             360      352     66  5.875  12/1/2005   7/1/2006  11/1/2035  1,952.08   6/1/2006  330,000.00
147815807  Primary    Condo - Low     360      352  79.99  5.875  12/1/2005   7/1/2006  11/1/2035  2,008.75   6/1/2006  410,300.00
147827216  Primary    SFR             360      351  72.15      6  11/1/2005   7/1/2006  10/1/2035  1,425.00   6/1/2006  285,000.00
147837389  Primary    SFR             360      355     80  6.375   3/1/2006   7/1/2006   2/1/2036    849.58   6/1/2006  159,920.00
147839997  Primary    2-Family        360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  2,572.50   6/1/2006  504,000.00
147849624  Primary    SFR             360      352  74.73    6.5  12/1/2005   7/1/2006  11/1/2035  1,841.67   6/1/2006  340,000.00
147850283  Investor   SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035    780.74   6/1/2006  159,600.00
147853469  Primary    SFR             360      352  56.18      6  12/1/2005   7/1/2006  11/1/2035  1,250.00   6/1/2006  250,000.00
147858963  Primary    SFR             360      352  77.67  5.875  12/1/2005   7/1/2006  11/1/2035  1,958.33   6/1/2006  400,000.00
147860233  Primary    Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  2,009.75   6/1/2006  396,000.00
147879845  Primary    SFR             360      353  73.24  5.875   1/1/2006   7/1/2006  12/1/2035  1,272.92   6/1/2006  260,000.00
147888424  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,731.17   6/1/2006  353,600.00
147888721  Investor   SFR             360      352     70    6.5  12/1/2005   7/1/2006  11/1/2035  1,501.50   6/1/2006  277,200.00
147891162  Primary    SFR             360      354  77.78  6.125   2/1/2006   7/1/2006   1/1/2036  1,786.46   6/1/2006  350,000.00
147909162  Secondary  SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035  1,261.17   7/1/2006  257,600.00
147909568  Investor   SFR             360      352     75    6.5  12/1/2005   7/1/2006  11/1/2035  1,706.25   6/1/2006  315,000.00
147917181  Primary    SFR             360      352  79.47   6.25  12/1/2005   7/1/2006  11/1/2035    311.85   6/1/2006   60,000.00
147943468  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,507.92   6/1/2006  308,000.00
147953038  Primary    SFR             360      354  79.14  5.875   2/1/2006   7/1/2006   1/1/2036  1,801.67   6/1/2006  368,000.00
147963482  Primary    SFR             360      352  76.12      6  12/1/2005   8/1/2006  11/1/2035  1,960.00   7/1/2006  392,000.00
147980965  Primary    SFR             360      353  72.03  6.125   1/1/2006   8/1/2006  12/1/2035  2,093.35   7/1/2006  416,000.00
147989321  Primary    SFR             360      354  35.71  5.875   2/1/2006   7/1/2006   1/1/2036  1,223.96   6/1/2006  250,000.00
147991509  Primary    SFR             360      352  74.95      6  12/1/2005   8/1/2006  11/1/2035  2,071.54   7/1/2006  416,000.00
147993604  Primary    SFR             360      353  79.99      6   1/1/2006   8/1/2006  12/1/2035    967.75   7/1/2006  193,550.00
147996078  Primary    SFR             360      352  46.86  5.875  12/1/2005   7/1/2006  11/1/2035  1,170.10   6/1/2006  239,000.00
147997563  Primary    SFR             360      351  67.44  6.125  11/1/2005   7/1/2006  10/1/2035  2,082.50   6/1/2006  408,000.00
147999858  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035  1,835.94   6/1/2006  375,000.00
148005531  Primary    SFR             360      352  77.78  5.875  12/1/2005   7/1/2006  11/1/2035  1,162.39   6/1/2006  238,000.00
148009269  Primary    SFR             360      352  57.14  5.875  12/1/2005   8/1/2006  11/1/2035  1,958.33   7/1/2006  400,000.00
148011901  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035  1,562.50   6/1/2006  300,000.00
148020597  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,860.42   6/1/2006  380,000.00
148021306  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035  1,688.68   6/1/2006  345,000.00
148024987  Primary    Condo - Low     360      353  79.83   6.25   1/1/2006   7/1/2006  12/1/2035    989.58   6/1/2006  190,000.00
148031925  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035  2,060.00   7/1/2006  412,000.00
148033103  Primary    SFR             360      352     80  5.875  12/1/2005  10/1/2006  11/1/2035    684.14   9/1/2006  140,000.00
148035454  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,600.00   6/1/2006  320,000.00
148041957  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,928.00   6/1/2006  385,600.00
148042252  Primary    SFR             360      353  79.74  5.875   1/1/2006   8/1/2006  12/1/2035  1,365.94   7/1/2006  279,000.00
148042526  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,400.00   6/1/2006  280,000.00
148047533  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036  2,145.83   7/1/2006  412,000.00
148052038  Primary    Condo - Low     360      352  55.32  5.875  12/1/2005   7/1/2006  11/1/2035  1,538.00   6/1/2006  260,000.00
148052053  Primary    SFR             360      352  80.85      6  12/1/2005   7/1/2006  11/1/2035  1,896.79   6/1/2006  380,000.00
148065337  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,625.02   6/1/2006  332,000.00
148066145  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,326.00   6/1/2006  249,600.00
148076581  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036    759.25   6/1/2006  152,000.00
148079171  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,469.97   6/1/2006  288,000.00
148081508  Primary    SFR             360      354  74.95  6.125   2/1/2006   7/1/2006   1/1/2036  2,527.66   6/1/2006  416,000.00
148084148  Secondary  Condo - High    360      352  59.56      6  12/1/2005   7/1/2006  11/1/2035  2,039.49   6/1/2006  408,000.00
148084643  Primary    SFR             360      352  43.21  5.875  12/1/2005   7/1/2006  11/1/2035    856.77   6/1/2006  175,000.00
148085558  Primary    SFR             360      352  79.77      6  12/1/2005   7/1/2006  11/1/2035    985.75   6/1/2006  197,200.00
148095342  Primary    Condo - Low     360      352   77.7  6.125  12/1/2005   7/1/2006  11/1/2035  1,102.50   6/1/2006  216,000.00
148097017  Primary    SFR             360      353   74.9  6.125   1/1/2006   7/1/2006  12/1/2035  1,758.59   6/1/2006  344,540.00
148097215  Primary    Condo - High    360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035    468.47   7/1/2006   92,000.00
148098064  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035  1,292.50   7/1/2006  264,000.00
148100886  Investor   2-Family        360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036  1,673.21   6/1/2006  328,000.00
148102361  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035  1,340.00   7/1/2006  268,000.00
148105083  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,958.33   6/1/2006  400,000.00
148105141  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,825.04   6/1/2006  365,008.00
148113673  Primary    SFR             360      353  83.33      6   1/1/2006   7/1/2006  12/1/2035  2,000.00   6/1/2006  400,000.00
148117864  Primary    SFR             360      352  67.26  6.375  12/1/2005   7/1/2006  11/1/2035  2,090.47   6/1/2006  393,500.00
148120363  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035    841.88   6/1/2006  172,000.00
148122971  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,722.89   6/1/2006  351,910.00
148126931  Primary    SFR             360      352  49.44  5.875  12/1/2005   7/1/2006  11/1/2035  1,307.19   6/1/2006  267,000.00
148128044  Primary    Condo - Low     360      353  69.59  5.875   1/1/2006   7/1/2006  12/1/2035  1,083.83   6/1/2006  222,000.00
148136054  Primary    SFR             360      352  73.19      6  12/1/2005   7/1/2006  11/1/2035  1,968.75   6/1/2006  393,750.00
148141245  Primary    SFR             360      352     80  6.375  12/1/2005   8/1/2006  11/1/2035    573.04   7/1/2006  108,000.00
148146913  Secondary  SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,940.00   7/1/2006  388,000.00
148164395  Primary    2-Family        360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  2,639.50   6/1/2006  488,000.00
148164767  Primary    SFR             360      353   76.9  6.125   1/1/2006   7/1/2006  12/1/2035  1,137.30   6/1/2006  223,000.00
148171804  Primary    Condo - High    360      352  67.31  5.875  12/1/2005   7/1/2006  11/1/2035    428.39   6/1/2006   87,500.00
148175326  Primary    Condo - Low     360      353     90  6.375   1/1/2006   8/1/2006  12/1/2035    406.19   7/1/2006   76,500.00
148178015  Primary    SFR             360      352     80   6.25  12/1/2005   8/1/2006  11/1/2035  1,179.17   7/1/2006  226,400.00
148181654  Primary    SFR             360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035  1,633.33   7/1/2006  320,000.00
148192792  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,977.88   6/1/2006  403,992.00
148193394  Primary    SFR             360      352  65.32  6.375  12/1/2005   7/1/2006  11/1/2035  2,151.56   6/1/2006  405,000.00
148195928  Secondary  Condo - Low     360      353     75  6.375   1/1/2006   7/1/2006  12/1/2035  1,533.98   6/1/2006  288,750.00
148197569  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035    983.55   7/1/2006  196,720.00
148199458  Primary    SFR             360      352  79.55  5.875  12/1/2005   7/1/2006  11/1/2035  1,713.54   6/1/2006  350,000.00
148208937  Primary    Condo - Low     360      353  72.55      6   1/1/2006   7/1/2006  12/1/2035  1,995.00   6/1/2006  399,000.00
148209927  Primary    SFR             360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035  1,402.50   6/1/2006  264,000.00
148211873  Primary    SFR             360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035  2,018.75   6/1/2006  380,000.00
148212004  Primary    SFR             360      355     80  6.375   3/1/2006   7/1/2006   2/1/2036  2,061.25   6/1/2006  388,000.00
148216187  Primary    SFR             360      351  57.06  5.875  11/1/2005   7/1/2006  10/1/2035  1,997.50   6/1/2006  408,000.00
148225857  Primary    SFR             360      352  48.73      6  12/1/2005   7/1/2006  11/1/2035  1,915.60   6/1/2006  385,000.00
148226947  Investor   2-Family        360      353     75  6.625   1/1/2006   7/1/2006  12/1/2035  2,089.86   6/1/2006  378,750.00
148227564  Primary    SFR             360      353  61.86  5.875   1/1/2006   8/1/2006  12/1/2035  1,468.75   7/1/2006  300,000.00
148229354  Primary    Condo - High    360      354  74.47  6.375   2/1/2006   7/1/2006   1/1/2036  1,859.38   6/1/2006  350,000.00
148229925  Primary    SFR             360      352  57.36      6  12/1/2005   7/1/2006  11/1/2035  1,848.55   6/1/2006  370,000.00
148234875  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035  1,896.65   7/1/2006  388,000.00
148236128  Primary    SFR             360      353  31.58  6.125   1/1/2006   8/1/2006  12/1/2035  1,531.25   7/1/2006  300,000.00
148243256  Primary    SFR             360      354  94.81  6.375   2/1/2006   7/1/2006   1/1/2036  1,550.68   6/1/2006  292,000.00
148243744  Investor   4-Family        360      352     75   6.25  12/1/2005   7/1/2006  11/1/2035  2,730.47   6/1/2006  524,250.00
148246366  Secondary  SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035  1,530.00   7/1/2006  306,000.00
148256779  Primary    SFR             360      352     80    6.5  12/1/2005   7/1/2006  11/1/2035  1,382.89   6/1/2006  256,000.00
148257355  Primary    Condo - Low     360      352  75.31  5.875  12/1/2005   7/1/2006  11/1/2035  1,491.54   6/1/2006  305,000.00
148261159  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035    768.02   6/1/2006  150,470.00
148263791  Primary    SFR             360      352  76.42  6.125  12/1/2005   7/1/2006  11/1/2035  2,067.19   6/1/2006  405,000.00
148265366  Primary    Condo - Low     360      352     80      6  12/1/2005   8/1/2006  11/1/2035  1,406.84   7/1/2006  284,000.00
148266711  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,244.64   6/1/2006  240,000.00
148266869  Primary    SFR             360      353  74.23   6.25   1/1/2006   7/1/2006  12/1/2035  1,466.00   6/1/2006  288,000.00
148274293  Primary    SFR             360      352  53.69  6.125  12/1/2005   7/1/2006  11/1/2035  2,041.67   6/1/2006  400,000.00
148276603  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,251.54   6/1/2006  245,200.00
148284797  Primary    Condo - Low     360      352  71.35      6  12/1/2005   8/1/2006  11/1/2035  1,974.65   7/1/2006  396,000.00
148285091  Primary    SFR             360      352     65   6.25  12/1/2005   7/1/2006  11/1/2035  1,609.18   6/1/2006  383,500.00
148291081  Primary    2-Family        360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,840.83   6/1/2006  376,000.00
148296676  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035     822.5   6/1/2006  168,000.00
148296742  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036  2,016.47   7/1/2006  412,000.00
148296759  Primary    SFR             360      353  87.38  5.875   1/1/2006   7/1/2006  12/1/2035  1,796.77   6/1/2006  367,000.00
148311491  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,370.17   6/1/2006  279,920.00
148317951  Primary    SFR             360      352  72.86   6.25  12/1/2005   8/1/2006  11/1/2035  2,125.00   7/1/2006  408,000.00
148321227  Primary    SFR             360      354  51.76   6.25   2/1/2006   8/1/2006   1/1/2036  2,067.54   7/1/2006  397,000.00
148327232  Primary    3-Family        360      354  89.51  6.375   2/1/2006   7/1/2006   1/1/2036  3,400.00   6/1/2006  640,000.00
148330673  Primary    Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,788.04   7/1/2006  350,400.00
148342165  Primary    SFR             360      352  79.98   6.25  12/1/2005   7/1/2006  11/1/2035  1,635.94   6/1/2006  314,100.00
148344963  Primary    SFR             360      353  69.91      6   1/1/2006   7/1/2006  12/1/2035  2,284.29   6/1/2006  381,000.00
148360498  Primary    SFR             360      353  76.92   6.25   1/1/2006   8/1/2006  12/1/2035  1,822.92   7/1/2006  350,000.00
148360712  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,708.33   6/1/2006  328,000.00
148374408  Primary    Condo - Low     360      352  46.81  6.125  12/1/2005   7/1/2006  11/1/2035  1,403.63   6/1/2006  275,000.00
148374499  Primary    SFR             360      352  79.66  6.125  12/1/2005   7/1/2006  11/1/2035  1,933.87   6/1/2006  380,000.00
148376684  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,915.59   6/1/2006  376,000.00
148390941  Primary    Condo - Low     360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036  1,711.12   7/1/2006  352,800.00
148393325  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,854.17   6/1/2006  356,000.00
148398803  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,334.50   6/1/2006  251,200.00
148398936  Investor   SFR             360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035  2,091.00   6/1/2006  393,600.00
148404833  Primary    Condo - Low     360      353  53.27   6.25   1/1/2006   7/1/2006  12/1/2035  1,484.37   6/1/2006  285,000.00
148407224  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,210.85   6/1/2006  242,400.00
148419831  Primary    SFR             360      353     50  6.125   1/1/2006   7/1/2006  12/1/2035  1,531.25   6/1/2006  300,000.00
148427859  Primary    SFR             360      353     90      6   1/1/2006   7/1/2006  12/1/2035       810   6/1/2006  162,000.00
148433451  Investor   SFR             360      353  58.25   6.25   1/1/2006   7/1/2006  12/1/2035  1,562.50   6/1/2006  300,000.00
148439664  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,261.09   6/1/2006  252,960.00
148439953  Investor   3-Family        360      353  62.86    6.5   1/1/2006   7/1/2006  12/1/2035    827.58   6/1/2006  154,000.00
148440282  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,939.58   6/1/2006  380,000.00
148444755  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,791.67   6/1/2006  344,000.00
148445083  Primary    SFR             360      353  63.65   6.25   1/1/2006   7/1/2006  12/1/2035  1,873.18   6/1/2006  359,650.00
148445414  Primary    SFR             360      353  59.39   6.25   1/1/2006   7/1/2006  12/1/2035  1,614.58   6/1/2006  310,000.00
148453418  Primary    Condo - Low     360      353  61.17   6.25   1/1/2006   7/1/2006  12/1/2035  1,939.51   6/1/2006  315,000.00
148459241  Primary    SFR             360      353     80  6.375   1/1/2006   8/1/2006  12/1/2035  2,129.25   7/1/2006  400,800.00
148461437  Primary    SFR             360      353  49.72   6.25   1/1/2006   7/1/2006  12/1/2035  1,838.54   6/1/2006  353,000.00
148464746  Investor   SFR             360      353  55.56  6.375   1/1/2006   7/1/2006  12/1/2035  1,593.72   6/1/2006  300,000.00
148471063  Investor   Condo - High    360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035  1,369.92   6/1/2006  258,828.00
148479694  Secondary  SFR             360      353  77.97  6.375   1/1/2006   7/1/2006  12/1/2035  1,434.91   6/1/2006  230,000.00
148483191  Investor   SFR             360      352  89.98  6.875  12/1/2005   7/1/2006  11/1/2035    478.39   6/1/2006   83,500.00
148485501  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035  1,104.17   6/1/2006  212,000.00
148488224  Investor   SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,541.06   6/1/2006  290,082.00
148489131  Primary    SFR             360      353  63.68   6.25   1/1/2006   7/1/2006  12/1/2035  2,072.92   6/1/2006  398,000.00
148492796  Primary    SFR             360      353  45.78      6   1/1/2006   7/1/2006  12/1/2035  1,899.52   6/1/2006  380,000.00
148499551  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,960.00   6/1/2006  384,000.00
148509128  Primary    SFR             360      353  63.64   6.25   1/1/2006   7/1/2006  12/1/2035  1,458.33   6/1/2006  280,000.00
148522923  Primary    SFR             360      353  56.83   6.25   1/1/2006   7/1/2006  12/1/2035  1,493.52   6/1/2006  287,000.00
148528482  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036  1,395.83   7/1/2006  268,000.00
148536683  Primary    SFR             360      353   65.6   6.25   1/1/2006   7/1/2006  12/1/2035     512.5   6/1/2006   98,400.00
148540123  Secondary  SFR             360      353     70    6.5   1/1/2006   7/1/2006  12/1/2035  1,667.05   6/1/2006  308,000.00
148551211  Primary    SFR             360      353  74.82  6.375   1/1/2006   7/1/2006  12/1/2035  1,625.63   6/1/2006  306,000.00
148565146  Primary    Condo - Low     360      354   78.4  6.375   2/1/2006   7/1/2006   1/1/2036  2,440.58   6/1/2006  391,200.00
148567449  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  2,123.33   6/1/2006  416,000.00
148568009  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036  1,645.83   7/1/2006  316,000.00
148569163  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,958.33   6/1/2006  400,000.00
148570112  Primary    SFR             360      353     75      6   1/1/2006   7/1/2006  12/1/2035  1,255.15   6/1/2006  251,250.00
148570765  Primary    Condo - Low     360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  2,145.83   7/1/2006  412,000.00
148578867  Primary    SFR             360      353   21.8  6.125   1/1/2006   7/1/2006  12/1/2035  2,041.67   6/1/2006  400,000.00
148581028  Primary    SFR             360      353  46.35  6.125   1/1/2006   8/1/2006  12/1/2035  1,226.98   7/1/2006  241,000.00
148589229  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035  2,041.67   6/1/2006  392,000.00
148592405  Primary    Condo - Low     360      353     80  6.375   1/1/2006   8/1/2006  12/1/2035    847.36   7/1/2006  160,000.00
148595697  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,319.09   7/1/2006  360,000.00
148596208  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,449.58   6/1/2006  284,000.00
148597735  Primary    SFR             360      353  66.33  6.375   1/1/2006   8/1/2006  12/1/2035  2,114.38   7/1/2006  398,000.00
148605223  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  2,163.25   6/1/2006  407,200.00
148608391  Investor   SFR             360      352     70  5.875  12/1/2005   7/1/2006  11/1/2035    805.36   6/1/2006  164,500.00
148612344  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036  1,934.07   6/1/2006  395,044.00
148615263  Primary    SFR             360      353  75.56  6.375   1/1/2006   8/1/2006  12/1/2035    903.13   7/1/2006  170,000.00
148629603  Primary    SFR             360      353  79.87  6.375   1/1/2006   7/1/2006  12/1/2035  1,981.04   6/1/2006  373,000.00
148635683  Primary    SFR             360      352  77.67      6  12/1/2005   7/1/2006  11/1/2035  1,997.49   6/1/2006  400,000.00
148645542  Secondary  Condo - Low     360      353  71.11  5.875   1/1/2006   7/1/2006  12/1/2035  1,131.57   6/1/2006  231,130.00
148646615  Primary    SFR             360      353  71.11  5.875   1/1/2006   7/1/2006  12/1/2035  1,566.67   6/1/2006  320,000.00
148658842  Primary    SFR             360      353  15.05   6.25   1/1/2006   7/1/2006  12/1/2035    714.19   6/1/2006  140,000.00
148668494  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,870.00   6/1/2006  374,000.00
148672504  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036    975.25   6/1/2006  199,200.00
148674609  Primary    SFR             360      353  73.44      6   1/1/2006   7/1/2006  12/1/2035       925   6/1/2006  235,000.00
148678899  Secondary  Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,664.58   6/1/2006  340,000.00
148681281  Primary    Condo - Low     360      354     80      6   2/1/2006   8/1/2006   1/1/2036  1,716.48   7/1/2006  343,920.00
148687445  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,694.15   6/1/2006  332,000.00
148694334  Secondary  SFR             360      354     80      6   2/1/2006   8/1/2006   1/1/2036  2,302.28   7/1/2006  384,000.00
148696594  Primary    SFR             360      353  68.97   6.25   1/1/2006   7/1/2006  12/1/2035    624.53   6/1/2006  120,000.00
148701667  Primary    SFR             360      352     90   6.25  12/1/2005   7/1/2006  11/1/2035  1,781.08   6/1/2006  342,000.00
148708894  Secondary  Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,436.82   6/1/2006  281,500.00
148713118  Primary    SFR             360      353     80    6.5   1/1/2006   8/1/2006  12/1/2035    983.67   7/1/2006  181,600.00
148719602  Primary    SFR             360      353  64.62      6   1/1/2006   7/1/2006  12/1/2035  1,850.00   6/1/2006  400,000.00
148722911  Secondary  SFR             360      353  74.51  5.875   1/1/2006  10/1/2006  12/1/2035    733.12   9/1/2006  150,000.00
148723125  Primary    SFR             360      353  68.33   6.25   1/1/2006   8/1/2006  12/1/2035  2,135.42   7/1/2006  410,000.00
148723174  Primary    Condo - Low     360      353  56.07    6.5   1/1/2006   7/1/2006  12/1/2035  2,201.88   6/1/2006  406,500.00
148725179  Primary    SFR             360      354     60   6.25   2/1/2006   7/1/2006   1/1/2036  1,968.75   6/1/2006  378,000.00
148728801  Investor   Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035    224.58   7/1/2006   44,000.00
148733124  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,515.75   6/1/2006  309,600.00
148737604  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  2,141.74   6/1/2006  403,200.00
148738123  Primary    SFR             360      353  41.98  5.875   1/1/2006   7/1/2006  12/1/2035  1,662.90   6/1/2006  340,000.00
148751944  Primary    SFR             360      353     54   6.25   1/1/2006   7/1/2006  12/1/2035  1,546.87   6/1/2006  297,000.00
148755382  Investor   2-Family        360      353  37.15  6.125   1/1/2006   7/1/2006  12/1/2035  2,398.96   6/1/2006  470,000.00
148755754  Primary    SFR             360      353     75  6.375   1/1/2006   7/1/2006  12/1/2035  2,199.38   6/1/2006  414,000.00
148757362  Primary    SFR             360      353     80  6.625   1/1/2006   7/1/2006  12/1/2035  2,205.02   6/1/2006  400,000.00
148759913  Primary    SFR             360      353  69.97   6.25   1/1/2006   7/1/2006  12/1/2035  1,432.29   6/1/2006  275,000.00
148761422  Primary    SFR             360      354  51.67      6   2/1/2006   7/1/2006   1/1/2036  1,937.50   6/1/2006  387,500.00
148762446  Investor   SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,216.67   6/1/2006  233,600.00
148767015  Primary    SFR             360      353     80    6.5   1/1/2006   8/1/2006  12/1/2035    865.38   7/1/2006  160,000.00
148770738  Investor   2-Family        360      354  79.64    6.5   2/1/2006   8/1/2006   1/1/2036  2,031.85   7/1/2006  375,110.00
148774557  Primary    SFR             360      353     80  6.625   1/1/2006   8/1/2006  12/1/2035  1,105.77   7/1/2006  200,290.00
148774789  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035     790.5   6/1/2006  158,100.00
148778673  Primary    SFR             360      353     80   6.75   1/1/2006   8/1/2006  12/1/2035    726.43   7/1/2006  112,000.00
148787617  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,100.00   6/1/2006  220,000.00
148788433  Primary    SFR             360      353  76.76  5.875   1/1/2006   7/1/2006  12/1/2035    962.03   6/1/2006  196,500.00
148793557  Primary    SFR             360      353  45.37  5.875   1/1/2006   7/1/2006  12/1/2035  1,821.25   6/1/2006  372,000.00
148794019  Primary    SFR             360      352  84.81   6.25  12/1/2005   7/1/2006  11/1/2035  1,744.78   6/1/2006  335,000.00
148794506  Primary    2-Family        360      356  79.06      6   4/1/2006   7/1/2006   3/1/2036  1,805.79   6/1/2006  361,300.00
148794985  Investor   SFR             360      352     60   6.25  12/1/2005   7/1/2006  11/1/2035  1,781.25   6/1/2006  342,000.00
148801301  Primary    SFR             360      354     51  6.125   2/1/2006   7/1/2006   1/1/2036  1,690.50   6/1/2006  331,500.00
148805922  Primary    SFR             360      353  28.19  5.875   1/1/2006   7/1/2006  12/1/2035  1,027.47   6/1/2006  210,000.00
148813348  Primary    SFR             360      353  77.97  6.125   1/1/2006   7/1/2006  12/1/2035  1,373.02   6/1/2006  269,000.00
148819774  Primary    SFR             360      353  71.93      6   1/1/2006   7/1/2006  12/1/2035  2,050.00   6/1/2006  410,000.00
148821531  Investor   SFR             360      354  73.08   6.25   2/1/2006   7/1/2006   1/1/2036  2,339.73   6/1/2006  380,000.00
148828106  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  2,060.20   6/1/2006  404,000.00
148829625  Primary    SFR             360      353     75   6.25   1/1/2006   7/1/2006  12/1/2035  1,388.28   6/1/2006  266,550.00
148836158  Primary    SFR             360      353  44.04  5.875   1/1/2006   7/1/2006  12/1/2035  1,919.17   6/1/2006  392,000.00
148840614  Primary    SFR             360      353   78.4   6.25   1/1/2006   7/1/2006  12/1/2035  1,531.25   6/1/2006  294,000.00
148848658  Primary    SFR             360      352     75  5.875  12/1/2005   7/1/2006  11/1/2035  1,661.19   6/1/2006  342,000.00
148859135  Primary    SFR             360      353  71.97    6.5   1/1/2006   7/1/2006  12/1/2035    714.24   6/1/2006  113,000.00
148860398  Primary    SFR             360      353  73.91  6.375   1/1/2006   7/1/2006  12/1/2035  1,353.36   6/1/2006  255,000.00
148865033  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,879.97   6/1/2006  368,320.00
148869159  Primary    Condo - Low     360      353  76.74  6.125   1/1/2006   7/1/2006  12/1/2035  2,021.25   6/1/2006  396,000.00
148875172  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,922.63   6/1/2006  394,400.00
148877905  Investor   SFR             360      353     70  5.875   1/1/2006   7/1/2006  12/1/2035  1,053.83   6/1/2006  215,250.00
148885858  Primary    SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  1,688.03   6/1/2006  312,000.00
148886187  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,770.42   6/1/2006  339,920.00
148886518  Primary    SFR             360      353  78.97  5.875   1/1/2006   7/1/2006  12/1/2035  1,760.79   6/1/2006  359,650.00
148888019  Secondary  Condo - Low     360      354  78.77   6.25   2/1/2006   7/1/2006   1/1/2036  2,083.33   6/1/2006  400,000.00
148890866  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,248.00   6/1/2006  249,600.00
148897382  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,039.74   6/1/2006  208,000.00
148898703  Primary    SFR             360      353     75   6.25   1/1/2006   8/1/2006  12/1/2035  1,585.94   7/1/2006  304,500.00
148907199  Primary    SFR             360      353  63.64  6.125   1/1/2006   7/1/2006  12/1/2035  1,607.81   6/1/2006  315,000.00
148907686  Investor   Condo - Low     360      355  77.08  6.125   3/1/2006   7/1/2006   2/1/2036  1,888.54   6/1/2006  370,000.00
148910292  Primary    SFR             360      355     75  5.875   3/1/2006   7/1/2006   2/1/2036  1,468.03   6/1/2006  300,000.00
148912165  Primary    SFR             360      354     80  5.875   2/1/2006   9/1/2006   1/1/2036  1,322.46   8/1/2006  271,920.00
148923295  Primary    Condo - Low     360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036    920.42   6/1/2006  188,000.00
148925753  Primary    2-Family        360      353     90  6.375   1/1/2006   8/1/2006  12/1/2035  1,816.88   7/1/2006  342,000.00
148932528  Primary    SFR             360      354  64.14  5.875   2/1/2006   7/1/2006   1/1/2036  2,307.00   6/1/2006  390,000.00
148934946  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,612.92   6/1/2006  316,000.00
148936172  Secondary  SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,989.42   6/1/2006  391,200.00
148938392  Primary    Condo - Low     360      353     75  6.125   1/1/2006   7/1/2006  12/1/2035  1,492.29   6/1/2006  292,500.00
148945009  Primary    SFR             360      353     80  6.375   1/1/2006   9/1/2006  12/1/2035  1,848.75   8/1/2006  348,000.00
148952088  Investor   Condo - Low     360      353  76.45    6.5   1/1/2006   7/1/2006  12/1/2035  1,354.17   6/1/2006  250,000.00
148959356  Secondary  SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  1,386.67   6/1/2006  256,000.00
148961261  Primary    SFR             360      354  78.79  6.375   2/1/2006   7/1/2006   1/1/2036  1,381.25   6/1/2006  260,000.00
148964711  Primary    SFR             360      353  79.99   6.25   1/1/2006   7/1/2006  12/1/2035  1,278.90   6/1/2006  245,550.00
148965387  Primary    SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  2,166.67   6/1/2006  400,000.00
148972581  Secondary  SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,166.67   6/1/2006  224,000.00
148974652  Primary    Condo - Low     360      353     80  6.375   1/1/2006   8/1/2006  12/1/2035  1,202.75   7/1/2006  226,400.00
148975899  Primary    Condo - Low     360      353  74.69  6.125   1/1/2006   7/1/2006  12/1/2035  1,837.50   6/1/2006  360,000.00
148978661  Primary    Cooperative     360      354     90  5.875   2/1/2006   8/1/2006   1/1/2036    473.67   7/1/2006   96,750.00
148979131  Primary    SFR             360      355  74.84   6.25   3/1/2006   7/1/2006   2/1/2036  1,207.70   6/1/2006  232,000.00
148979248  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  1,983.33   7/1/2006  380,800.00
148983505  Primary    SFR             360      353  73.69  6.375   1/1/2006   8/1/2006  12/1/2035  2,098.44   7/1/2006  395,000.00
148984487  Primary    SFR             360      354  78.88   6.25   2/1/2006   8/1/2006   1/1/2036  1,273.10   7/1/2006  244,738.00
148996481  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035    857.09   6/1/2006  167,920.00
148996663  Primary    SFR             360      353  61.61    6.5   1/1/2006   8/1/2006  12/1/2035  1,968.96   7/1/2006  363,500.00
148996887  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,676.21   6/1/2006  321,832.00
148998735  Primary    SFR             360      353  72.87  6.375   1/1/2006   8/1/2006  12/1/2035  1,269.69   7/1/2006  239,000.00
149001679  Primary    SFR             360      354  79.43   6.25   2/1/2006   8/1/2006   1/1/2036  1,208.34   7/1/2006  232,000.00
149006116  Primary    SFR             360      355  79.69   6.25   3/1/2006   7/1/2006   2/1/2036  2,013.02   6/1/2006  386,500.00
149007866  Primary    SFR             360      353  78.16  5.875   1/1/2006   7/1/2006  12/1/2035  1,664.58   6/1/2006  340,000.00
149014862  Primary    SFR             360      354  65.23  6.625   2/1/2006   7/1/2006   1/1/2036  1,170.42   6/1/2006  212,000.00
149016545  Primary    SFR             360      353     80  6.375   1/1/2006   9/1/2006  12/1/2035  2,018.75   8/1/2006  380,000.00
149017113  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036    733.74   6/1/2006  146,748.00
149022493  Primary    SFR             360      353  54.95  6.625   1/1/2006   7/1/2006  12/1/2035  1,380.21   6/1/2006  250,000.00
149026577  Primary    Condo - Low     360      354  53.57  6.375   2/1/2006   9/1/2006   1/1/2036  1,167.65   8/1/2006  225,000.00
149027096  Secondary  SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  2,291.08   6/1/2006  439,900.00
149031072  Primary    SFR             360      353  66.14   6.25   1/1/2006   8/1/2006  12/1/2035  2,321.26   7/1/2006  377,000.00
149032484  Primary    SFR             360      355     80  6.375   3/1/2006   7/1/2006   2/1/2036  1,806.25   6/1/2006  340,000.00
149037525  Primary    SFR             360      353  34.78   6.25   1/1/2006   7/1/2006  12/1/2035  2,462.87   6/1/2006  400,000.00
149047953  Primary    SFR             360      354   64.3      6   2/1/2006   7/1/2006   1/1/2036  1,675.00   6/1/2006  335,000.00
149049306  Primary    SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035  1,733.33   6/1/2006  320,000.00
149051484  Primary    Condo - Low     360      354  33.61    6.5   2/1/2006   7/1/2006   1/1/2036  1,083.33   6/1/2006  200,000.00
149056111  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035    967.72   6/1/2006  189,600.00
149064883  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,846.09   6/1/2006  350,000.00
149067035  Investor   SFR             360      354     90    6.5   2/1/2006   8/1/2006   1/1/2036    913.39   7/1/2006  168,625.00
149069734  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036  1,561.98   7/1/2006  300,000.00
149071995  Primary    SFR             360      354     75  5.875   2/1/2006   7/1/2006   1/1/2036  1,835.94   6/1/2006  375,000.00
149072316  Primary    SFR             360      354  41.98  6.375   2/1/2006   8/1/2006   1/1/2036  1,460.94   7/1/2006  275,000.00
149077604  Primary    SFR             360      354  77.41  6.125   2/1/2006   7/1/2006   1/1/2036  1,888.54   6/1/2006  370,000.00
149079063  Primary    SFR             360      354  79.98  6.125   2/1/2006   8/1/2006   1/1/2036    904.15   7/1/2006  177,150.00
149079873  Secondary  Condo - Low     360      355  79.12    6.5   3/1/2006   9/1/2006   2/1/2036  1,949.58   8/1/2006  360,000.00
149087983  Investor   3-Family        360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  2,943.12   6/1/2006  554,000.00
149097651  Primary    SFR             360      353  78.43   6.25   1/1/2006   7/1/2006  12/1/2035  2,083.33   6/1/2006  400,000.00
149115834  Secondary  SFR             360      354  79.55  6.125   2/1/2006   7/1/2006   1/1/2036  1,980.42   6/1/2006  389,000.00
149116113  Primary    SFR             360      355  66.67   6.25   3/1/2006   7/1/2006   2/1/2036  2,083.33   6/1/2006  400,000.00
149117392  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  2,041.67   6/1/2006  400,000.00
149134686  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,057.38   6/1/2006  203,300.00
149142556  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035    607.07   7/1/2006  278,800.00
149150757  Primary    PUD Detached    360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036  1,262.73   6/1/2006  233,520.00
149159287  Primary    Condo - Low     360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  2,041.67   6/1/2006  392,000.00
149160053  Primary    SFR             360      353  62.75   6.25   1/1/2006   8/1/2006  12/1/2035  1,307.26   7/1/2006  251,000.00
149166423  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  2,040.00   6/1/2006  384,000.00
149173858  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,204.18   6/1/2006  235,920.00
149178709  Primary    SFR             360      353  73.89      6   1/1/2006   7/1/2006  12/1/2035  1,330.00   6/1/2006  266,000.00
149180424  Primary    SFR             360      354  79.43  6.375   2/1/2006   7/1/2006   1/1/2036  1,314.45   6/1/2006  247,425.00
149182586  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,145.83   6/1/2006  220,000.00
149193021  Primary    SFR             360      354     79  6.375   2/1/2006   7/1/2006   1/1/2036  2,098.44   6/1/2006  395,000.00
149208423  Primary    Condo - Low     360      353  79.17  6.375   1/1/2006   7/1/2006  12/1/2035  2,107.57   6/1/2006  399,000.00
149211476  Primary    Condo - Low     360      354  74.85  6.625   2/1/2006   7/1/2006   1/1/2036  2,085.70   6/1/2006  378,000.00
149211971  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,291.66   6/1/2006  248,000.00
149216079  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036  2,000.00   6/1/2006  400,000.00
149218075  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,285.84   6/1/2006  251,920.00
149218166  Primary    SFR             360      354     80  6.625   2/1/2006   7/1/2006   1/1/2036    834.75   6/1/2006  151,200.00
149227894  Primary    SFR             360      355  57.41  6.125   3/1/2006   7/1/2006   2/1/2036  1,550.15   6/1/2006  310,000.00
149229148  Primary    SFR             360      354  78.25  6.125   2/1/2006   7/1/2006   1/1/2036  2,055.44   6/1/2006  403,000.00
149243313  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  1,233.17   6/1/2006  241,600.00
149250896  Primary    SFR             360      355     80      6   3/1/2006   7/1/2006   2/1/2036  1,900.00   6/1/2006  380,000.00
149252298  Primary    Condo - Low     360      355     80  5.875   3/1/2006   7/1/2006   2/1/2036  1,762.50   6/1/2006  360,000.00
149256687  Primary    SFR             360      354  54.05  6.375   2/1/2006   7/1/2006   1/1/2036  1,593.75   6/1/2006  300,000.00
149265936  Primary    SFR             360      354  74.64    6.5   2/1/2006   8/1/2006   1/1/2036  2,246.59   7/1/2006  415,000.00
149266736  Primary    SFR             360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036  1,573.00   6/1/2006  290,400.00
149267817  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,229.17   6/1/2006  236,000.00
149287484  Primary    SFR             360      355  76.15  5.875   3/1/2006   7/1/2006   2/1/2036  2,023.44   6/1/2006  415,000.00
149289183  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,802.76   6/1/2006  346,729.00
149299075  Primary    SFR             360      354     75   6.25   2/1/2006   8/1/2006   1/1/2036  1,367.19   7/1/2006  262,500.00
149312233  Primary    SFR             360      354  54.05   6.25   2/1/2006   8/1/2006   1/1/2036  2,083.33   7/1/2006  400,000.00
149317422  Primary    SFR             360      354  58.97  6.125   2/1/2006   7/1/2006   1/1/2036  1,172.17   6/1/2006  230,000.00
149325383  Investor   2-Family        360      354  69.16   6.75   2/1/2006   7/1/2006   1/1/2036    883.13   6/1/2006  157,000.00
149337602  Primary    SFR             360      354     80      6   2/1/2006   9/1/2006   1/1/2036  1,875.97   8/1/2006  376,000.00
149343733  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,270.83   6/1/2006  244,000.00
149349649  Primary    SFR             360      354     80    6.5   2/1/2006   7/1/2006   1/1/2036  1,300.00   6/1/2006  240,000.00
149353161  Primary    2-Family        360      354  59.63      6   2/1/2006   7/1/2006   1/1/2036  2,385.00   6/1/2006  477,000.00
149353203  Primary    SFR             360      354  79.27      6   2/1/2006   7/1/2006   1/1/2036  2,065.00   6/1/2006  413,000.00
149356164  Primary    SFR             360      354     90  5.875   2/1/2006   7/1/2006   1/1/2036  1,620.09   6/1/2006  332,412.00
149363194  Primary    SFR             360      354     95      6   2/1/2006   7/1/2006   1/1/2036  1,029.52   6/1/2006  205,955.00
149364184  Primary    SFR             360      354  20.15  6.375   2/1/2006   7/1/2006   1/1/2036  2,140.94   6/1/2006  403,000.00
149368052  Primary    SFR             360      354  69.12  6.375   2/1/2006   7/1/2006   1/1/2036  1,593.75   6/1/2006  300,000.00
 39895107  Primary    SFR             360      347     90  5.875   7/1/2005   7/1/2006   6/1/2035  2,020.53   6/1/2006  412,704.00
 46971131  Primary    SFR             360      350  91.82      6  10/1/2005   7/1/2006   9/1/2035  1,515.00   6/1/2006  303,000.00
 50201896  Primary    SFR             360      351     95  6.125  11/1/2005   7/1/2006  10/1/2035    979.49   6/1/2006  191,900.00
 51901064  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035  1,030.08   6/1/2006  210,400.00
 52061876  Primary    Condo - High    360      347     95      6   7/1/2005   8/1/2006   6/1/2035    669.73   7/1/2006  133,950.00
 52187101  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  1,836.06   6/1/2006  375,200.00
 52287307  Primary    SFR             360      348  84.38  5.875   8/1/2005   7/1/2006   7/1/2035  1,109.83   6/1/2006  227,000.00
 52525334  Primary    SFR             360      347   75.4  5.875   7/1/2005   7/1/2006   6/1/2035    922.86   6/1/2006  188,500.00
 52795473  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,899.72   6/1/2006  389,112.00
 52869807  Primary    SFR             360      348  46.35  5.875   8/1/2005   7/1/2006   7/1/2035  2,366.15   6/1/2006  400,000.00
 52908001  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035  1,078.61   6/1/2006  216,000.00
 52986304  Primary    Condo - Low     360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  1,441.33   6/1/2006  294,400.00
 53101283  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       990   6/1/2006  198,000.00
 53178182  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,101.19   6/1/2006  225,720.00
 53280798  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  2,375.62   6/1/2006  401,600.00
 53561346  Secondary  SFR             360      347     95  5.875   7/1/2005   7/1/2006   6/1/2035    511.61   6/1/2006  104,500.00
 53569224  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035  1,507.67   6/1/2006  308,000.00
 53573648  Secondary  Condo - Low     360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035    579.72   7/1/2006  118,800.00
 53656039  Primary    SFR             360      347     95      6   7/1/2005   7/1/2006   6/1/2035  1,543.75   6/1/2006  308,750.00
 53741765  Primary    SFR             360      348  74.61  5.875   8/1/2005   7/1/2006   7/1/2035  1,963.91   6/1/2006  332,000.00
 53775417  Primary    SFR             360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035  2,318.35   7/1/2006  391,920.00
 53829495  Primary    SFR             360      353  85.47  6.125   1/1/2006   7/1/2006  12/1/2035  2,070.62   6/1/2006  406,000.00
 53876199  Primary    SFR             360      348     95  5.875   8/1/2005   7/1/2006   7/1/2035  1,320.78   6/1/2006  269,800.00
 53893574  Primary    SFR             360      348  57.37  5.875   8/1/2005   7/1/2006   7/1/2035  1,904.48   6/1/2006  389,000.00
 53954673  Secondary  Condo - Low     360      348     75  5.875   8/1/2005   8/1/2006   7/1/2035    439.78   7/1/2006   89,850.00
 54107156  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       732   6/1/2006  146,400.00
 54205687  Primary    SFR             360      348  46.82  5.875   8/1/2005   7/1/2006   7/1/2035  1,567.58   6/1/2006  265,000.00
 54231352  Secondary  SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,038.14   6/1/2006  212,160.00
 54251913  Secondary  Condo - Low     360      348  71.43  6.125   8/1/2005   7/1/2006   7/1/2035    729.13   6/1/2006  120,000.00
 54283197  Primary    SFR             360      348  79.89      6   8/1/2005   7/1/2006   7/1/2035  1,676.34   6/1/2006  279,600.00
 54290663  Primary    SFR             360      348  74.77      6   8/1/2005   7/1/2006   7/1/2035  1,996.24   6/1/2006  400,000.00
 54301114  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  1,150.23   6/1/2006  235,200.00
 54437546  Primary    SFR             360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036  1,394.63   6/1/2006  262,519.00
 54449194  Primary    SFR             360      348  62.71  5.875   8/1/2005   7/1/2006   7/1/2035    724.58   6/1/2006  148,000.00
 54450085  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035    685.42   6/1/2006  140,000.00
 54457387  Primary    SFR             360      348   62.5  5.875   8/1/2005   7/1/2006   7/1/2035  1,958.33   6/1/2006  400,000.00
 54459011  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,683.77   6/1/2006  343,920.00
 54469135  Primary    SFR             360      348  37.08  5.875   8/1/2005   7/1/2006   7/1/2035    807.81   6/1/2006  165,000.00
 54473327  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,703.63   6/1/2006  288,000.00
 54476353  Primary    SFR             360      348   72.5  5.875   8/1/2005   7/1/2006   7/1/2035    660.94   6/1/2006  145,000.00
 54497789  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,096.56   6/1/2006  224,000.00
 54546155  Primary    SFR             360      348  59.52  5.875   8/1/2005   7/1/2006   7/1/2035  1,821.55   6/1/2006  375,000.00
 54616982  Investor   SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035    780.83   6/1/2006  132,000.00
 54639232  Primary    SFR             360      348  58.31      6   8/1/2005   7/1/2006   7/1/2035  2,237.28   6/1/2006  373,160.00
 54664552  Primary    Condo - Low     360      349  79.43      6   9/1/2005   7/1/2006   8/1/2035       695   6/1/2006  139,000.00
 54665518  Primary    SFR             360      348  85.65      6   8/1/2005   7/1/2006   7/1/2035  1,507.50   6/1/2006  301,500.00
 54684618  Primary    SFR             360      348     80      6   8/1/2005   7/1/2006   7/1/2035  1,137.87   6/1/2006  228,000.00
 54775689  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  1,585.64   6/1/2006  324,000.00
 54779707  Primary    2-Family        360      348   79.8      6   8/1/2005   7/1/2006   7/1/2035  1,576.68   6/1/2006  315,600.00
 54830054  Primary    SFR             360      348  59.64  5.875   8/1/2005   7/1/2006   7/1/2035  1,620.52   6/1/2006  331,000.00
 54846225  Investor   2-Family        360      348  68.31      6   8/1/2005   7/1/2006   7/1/2035  1,498.88   6/1/2006  250,000.00
 54855275  Primary    SFR             360      348   67.1  5.875   8/1/2005  11/1/2006   7/1/2035  1,516.59  10/1/2006  310,000.00
 54855606  Primary    SFR             360      348  45.83  6.125   8/1/2005   7/1/2006   7/1/2035    828.41   6/1/2006  165,000.00
 54926787  Primary    Condo - Low     360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035    567.76   6/1/2006  116,000.00
 54946447  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,116.25   6/1/2006  228,000.00
 54974787  Primary    Condo - Low     360      348  64.74  5.875   8/1/2005   8/1/2006   7/1/2035    851.09   7/1/2006  174,140.00
 55073365  Primary    SFR             360      348   76.4      6   8/1/2005   8/1/2006   7/1/2035       680   7/1/2006  136,000.00
 55077465  Primary    SFR             360      348  74.42  5.875   8/1/2005   7/1/2006   7/1/2035  1,957.85   6/1/2006  400,000.00
 55105464  Primary    Condo - Low     360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035  1,507.52   7/1/2006  307,920.00
 55133565  Primary    SFR             360      348  45.05  5.875   8/1/2005   7/1/2006   7/1/2035    978.71   6/1/2006  200,000.00
 55137384  Primary    Condo - Low     360      348     75  6.125   8/1/2005   7/1/2006   7/1/2035  1,274.77   6/1/2006  249,750.00
 55143945  Primary    SFR             360      349  46.49  5.875   9/1/2005   7/1/2006   8/1/2035    872.19   6/1/2006  179,000.00
 55209829  Primary    SFR             360      348  45.61  5.875   8/1/2005   7/1/2006   7/1/2035  2,428.26   6/1/2006  410,500.00
 56487085  Primary    Condo - Low     360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035    953.85   6/1/2006  161,250.00
 56494966  Primary    SFR             360      349  79.77  5.875   9/1/2005   7/1/2006   8/1/2035  1,369.00   6/1/2006  280,000.00
 56575608  Investor   SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  2,363.79   6/1/2006  399,600.00
 56604341  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035    750.93   6/1/2006  147,120.00
 56631104  Secondary  SFR             360      349     80      6   9/1/2005   7/1/2006   8/1/2035  1,279.29   6/1/2006  256,000.00
 56634157  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,938.42   6/1/2006  397,200.00
 56664139  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035  1,372.37   7/1/2006  232,000.00
 56726227  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035    682.35   6/1/2006  140,000.00
 56732514  Primary    SFR             360      349  69.43  5.875   9/1/2005   7/1/2006   8/1/2035  1,239.19   6/1/2006  256,900.00
 56732555  Primary    SFR             360      349  76.52  5.875   9/1/2005   7/1/2006   8/1/2035  2,159.11   6/1/2006  365,000.00
 56766124  Primary    SFR             360      351     95  6.125  11/1/2005   7/1/2006  10/1/2035    621.15   6/1/2006  121,695.00
 56794142  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  2,366.10   6/1/2006  399,992.00
 56830573  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035  1,284.79   7/1/2006  262,970.00
 56832264  Primary    SFR             360      349     95      6   9/1/2005   7/1/2006   8/1/2035  1,822.63   6/1/2006  304,000.00
 56838691  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035    858.57   6/1/2006  175,368.00
 56870942  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  2,017.08   6/1/2006  412,000.00
 56882749  Primary    2-Family        360      350  61.32      6  10/1/2005   7/1/2006   9/1/2035  1,948.54   6/1/2006  325,000.00
 56907793  Primary    SFR             360      349   62.9  5.875   9/1/2005   7/1/2006   8/1/2035  2,017.08   6/1/2006  412,000.00
 56928013  Primary    Condo - Low     360      349  79.27      6   9/1/2005   7/1/2006   8/1/2035  1,738.74   6/1/2006  348,000.00
 56950629  Primary    SFR             360      349  39.77      6   9/1/2005   7/1/2006   8/1/2035  1,750.00   6/1/2006  350,000.00
 56952963  Investor   Condo - Low     360      349  33.33  5.875   9/1/2005   7/1/2006   8/1/2035  2,070.38   6/1/2006  350,000.00
 56962814  Primary    SFR             360      349     56  5.875   9/1/2005   7/1/2006   8/1/2035  1,664.58   6/1/2006  350,000.00
 56997679  Secondary  SFR             360      353     95  6.125   1/1/2006   8/1/2006  12/1/2035    935.36   7/1/2006  183,255.00
 57049827  Secondary  SFR             360      351     95  6.125  11/1/2005   7/1/2006  10/1/2035  1,269.33   6/1/2006  208,905.00
 57112286  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,556.72   6/1/2006  318,000.00
 57125809  Secondary  SFR             360      349     80  5.875   9/1/2005   8/1/2006   8/1/2035  1,210.44   7/1/2006  248,000.00
 57241135  Primary    SFR             360      352     95      6  12/1/2005   7/1/2006  11/1/2035  1,876.25   6/1/2006  375,250.00
 57279655  Investor   Condo - Low     360      353     90    6.5   1/1/2006   7/1/2006  12/1/2035    828.26   6/1/2006  152,910.00
 57325409  Primary    SFR             360      350  79.02  5.875  10/1/2005   7/1/2006   9/1/2035    553.23   6/1/2006  113,000.00
 57338196  Primary    Condo - High    360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035  1,065.33   7/1/2006  217,600.00
 57389702  Primary    SFR             360      350     90  5.875  10/1/2005   7/1/2006   9/1/2035  1,923.23   6/1/2006  392,886.00
 57394181  Secondary  SFR             360      352     95  6.125  12/1/2005   7/1/2006  11/1/2035    937.79   6/1/2006  183,730.00
 57435612  Primary    SFR             360      349     75  5.875   9/1/2005   7/1/2006   8/1/2035  1,028.01   6/1/2006  210,000.00
 57436404  Secondary  SFR             360      350     75   6.25  10/1/2005   7/1/2006   9/1/2035  1,250.00   6/1/2006  240,000.00
 57485187  Primary    Condo - Low     360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,780.00   6/1/2006  356,000.00
 57489197  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035    783.25   7/1/2006  160,000.00
 57560872  Primary    SFR             360      349  79.65  5.875   9/1/2005   8/1/2006   8/1/2035     896.4   7/1/2006  183,200.00
 57566895  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,934.26   6/1/2006  378,957.00
 57601023  Investor   SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     963.5   6/1/2006  196,800.00
 57603185  Investor   Condo - Low     360      350     80   6.25  10/1/2005   7/1/2006   9/1/2035     491.4   6/1/2006   94,400.00
 57641581  Primary    SFR             360      352  69.73  5.875  12/1/2005   7/1/2006  11/1/2035  1,998.88   6/1/2006  410,000.00
 57679557  Primary    SFR             360      350  75.08  5.875  10/1/2005   7/1/2006   9/1/2035  1,194.58   6/1/2006  244,000.00
 57703126  Investor   4-Family        360      351     80      6  11/1/2005   7/1/2006  10/1/2035  2,100.00   6/1/2006  420,000.00
 57703167  Investor   4-Family        360      351     80      6  11/1/2005   7/1/2006  10/1/2035  2,100.00   6/1/2006  420,000.00
 57730616  Primary    Condo - Low     360      350  88.81   6.25  10/1/2005   7/1/2006   9/1/2035  1,942.69   6/1/2006  373,000.00
 57779183  Primary    SFR             360      350  45.54  5.875  10/1/2005   7/1/2006   9/1/2035  1,248.44   6/1/2006  255,000.00
 57789158  Secondary  SFR             360      352  70.96  6.125  12/1/2005   7/1/2006  11/1/2035  2,082.50   6/1/2006  408,000.00
 57789406  Investor   Condo - Low     360      349  89.99      6   9/1/2005   7/1/2006   8/1/2035    336.92   6/1/2006   67,400.00
 57793341  Primary    SFR             360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,184.17   6/1/2006  232,000.00
 57793911  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035    538.52   6/1/2006  110,000.00
 57798183  Secondary  SFR             360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035  1,302.29   6/1/2006  266,000.00
 57830424  Primary    SFR             360      350   89.4      6  10/1/2005   8/1/2006   9/1/2035     518.5   7/1/2006  103,700.00
 57838179  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,645.00   6/1/2006  336,000.00
 57838427  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,880.00   6/1/2006  384,000.00
 57840621  Investor   2-Family        360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035  1,248.42   6/1/2006  255,000.00
 57843088  Secondary  SFR             360      351     80      6  11/1/2005   8/1/2006  10/1/2035  1,800.00   7/1/2006  360,000.00
 57852139  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,018.33   6/1/2006  208,000.00
 57853293  Primary    SFR             360      350  67.58  5.875  10/1/2005   7/1/2006   9/1/2035  1,562.51   6/1/2006  321,000.00
 57854382  Primary    SFR             360      350  77.42  5.875  10/1/2005   7/1/2006   9/1/2035  1,175.00   6/1/2006  240,000.00
 57870354  Investor   2-Family        360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,096.14   6/1/2006  224,000.00
 57874752  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,574.50   6/1/2006  321,600.00
 57918948  Primary    SFR             360      350  82.19  5.875  10/1/2005   8/1/2006   9/1/2035  1,580.82   7/1/2006  323,000.00
 57935751  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,118.99   6/1/2006  224,000.00
 57942286  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035     728.2   6/1/2006  148,800.00
 57976094  Primary    Condo - High    360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035  1,347.50   6/1/2006  264,000.00
 57999567  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,699.83   6/1/2006  347,200.00
 58033101  Primary    SFR             360      350     80  6.125  10/1/2005   8/1/2006   9/1/2035  1,306.67   7/1/2006  256,000.00
 58048059  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035    795.44   6/1/2006  159,200.00
 58050881  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,037.66   6/1/2006  212,000.00
 58057159  Investor   SFR             360      350  68.89      6  10/1/2005   7/1/2006   9/1/2035       465   6/1/2006   93,000.00
 58057423  Investor   Condo - High    360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035  1,487.94   7/1/2006  303,920.00
 58060922  Primary    SFR             360      350  79.97      6  10/1/2005   7/1/2006   9/1/2035  1,042.00   6/1/2006  208,400.00
 58082157  Primary    SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035  1,193.36   6/1/2006  243,750.00
 58099433  Investor   SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       408   6/1/2006   81,600.00
 58100306  Investor   SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       320   6/1/2006   64,000.00
 58108762  Primary    SFR             360      351     75      6  11/1/2005   8/1/2006  10/1/2035  2,068.45   7/1/2006  345,000.00
 58140542  Secondary  SFR             360      350     75  5.875  10/1/2005   7/1/2006   9/1/2035  1,719.16   6/1/2006  290,625.00
 58147059  Primary    Condo - Low     360      350     95      6  10/1/2005   7/1/2006   9/1/2035  1,149.35   6/1/2006  229,900.00
 58168972  Secondary  Condo - Low     360      350     80  6.375  10/1/2005   7/1/2006   9/1/2035  1,422.67   6/1/2006  267,920.00
 58172065  Secondary  SFR             360      350  66.36  5.875  10/1/2005   7/1/2006   9/1/2035  1,786.98   6/1/2006  365,000.00
 58181009  Primary    Condo - Low     360      350     80      6  10/1/2005   7/1/2006   9/1/2035  1,800.00   6/1/2006  360,000.00
 58196494  Primary    2-Family        360      350  76.58  5.875  10/1/2005   7/1/2006   9/1/2035  2,077.25   6/1/2006  425,000.00
 58200064  Primary    SFR             360      350  63.53      6  10/1/2005   8/1/2006   9/1/2035  1,080.00   7/1/2006  216,000.00
 58232463  Primary    SFR             360      350     80      6  10/1/2005   7/1/2006   9/1/2035       920   6/1/2006  184,000.00
 58237868  Investor   Condo - Low     360      350     80  6.125  10/1/2005   7/1/2006   9/1/2035    454.02   6/1/2006   89,200.00
 58254194  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,402.17   6/1/2006  286,400.00
 58263047  Primary    SFR             360      350  76.85      6  10/1/2005   7/1/2006   9/1/2035  1,798.25   6/1/2006  359,650.00
 58278326  Primary    SFR             360      351  58.44  5.875  11/1/2005   7/1/2006  10/1/2035  1,101.31   6/1/2006  225,000.00
 58282286  Primary    SFR             360      351  85.56  5.875  11/1/2005   7/1/2006  10/1/2035    753.96   6/1/2006  154,000.00
 58306531  Primary    Condo - High    360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035    771.58   7/1/2006  157,600.00
 58333725  Investor   SFR             360      351     90    6.5  11/1/2005   7/1/2006  10/1/2035    770.25   6/1/2006  142,200.00
 58348962  Investor   SFR             360      350  54.69      6  10/1/2005   7/1/2006   9/1/2035       875   6/1/2006  175,000.00
 58349382  Primary    Condo - Low     360      351     89   6.25  11/1/2005   7/1/2006  10/1/2035  1,166.66   6/1/2006  189,480.00
 58399361  Primary    2-Family        360      350  64.37   6.25  10/1/2005   7/1/2006   9/1/2035  1,457.99   6/1/2006  280,000.00
 58410168  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035    881.01   6/1/2006  180,000.00
 58417874  Primary    SFR             360      352  71.95  5.875  12/1/2005   7/1/2006  11/1/2035  3,029.30   6/1/2006  618,750.00
 58420688  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035  1,077.08   7/1/2006  220,000.00
 58430208  Primary    SFR             360      351  72.25  6.125  11/1/2005   7/1/2006  10/1/2035  1,475.10   6/1/2006  289,000.00
 58436791  Primary    SFR             360      350  44.44  5.875  10/1/2005   7/1/2006   9/1/2035  2,366.15   6/1/2006  400,000.00
 58466087  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  1,153.33   6/1/2006  225,960.00
 58526625  Investor   SFR             360      351     90      6  11/1/2005   7/1/2006  10/1/2035    449.89   6/1/2006   90,000.00
 58545542  Primary    2-Family        360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  2,181.58   6/1/2006  445,600.00
 58572843  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  2,036.67   6/1/2006  416,000.00
 58573676  Primary    SFR             360      352   79.9  5.875  12/1/2005   7/1/2006  11/1/2035  1,603.87   6/1/2006  327,600.00
 58582644  Primary    Condo - Low     360      352     85      6  12/1/2005   7/1/2006  11/1/2035  1,870.00   6/1/2006  374,000.00
 58588948  Primary    SFR             360      350     80  6.375  10/1/2005   8/1/2006   9/1/2035  1,700.00   7/1/2006  320,000.00
 58605254  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035  1,899.58   7/1/2006  388,000.00
 58608035  Primary    SFR             360      353  83.44  5.875   1/1/2006   7/1/2006  12/1/2035  1,189.10   6/1/2006  242,880.00
 58644204  Primary    SFR             360      351  79.92  5.875  11/1/2005   7/1/2006  10/1/2035  2,015.12   6/1/2006  411,600.00
 58659103  Primary    SFR             360      351     75   6.25  11/1/2005   7/1/2006  10/1/2035  1,089.84   6/1/2006  209,250.00
 58661513  Investor   Condo - Low     360      350  57.93  5.875  10/1/2005   7/1/2006   9/1/2035  1,958.33   6/1/2006  400,000.00
 58693086  Primary    SFR             360      351  66.14  6.125  11/1/2005   8/1/2006  10/1/2035  1,485.31   7/1/2006  291,000.00
 58694662  Primary    SFR             360      352     80      6  12/1/2005   8/1/2006  11/1/2035  1,605.47   7/1/2006  321,600.00
 58708884  Primary    SFR             360      350   79.9      6  10/1/2005   7/1/2006   9/1/2035  1,997.50   6/1/2006  399,500.00
 58749599  Primary    SFR             360      350     80   6.25  10/1/2005   7/1/2006   9/1/2035  1,770.83   6/1/2006  340,000.00
 58758186  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,977.92   6/1/2006  404,000.00
 58762725  Primary    SFR             360      351  79.23  5.875  11/1/2005   7/1/2006  10/1/2035  1,496.96   6/1/2006  309,000.00
 58771056  Investor   SFR             360      353  37.09  6.375   1/1/2006   8/1/2006  12/1/2035    786.25   7/1/2006  148,000.00
 58776956  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,833.00   6/1/2006  374,400.00
 58781519  Primary    SFR             360      351     80      6  11/1/2005   8/1/2006  10/1/2035    991.76   7/1/2006  198,400.00
 58785361  Primary    SFR             360      350  69.66      6  10/1/2005   7/1/2006   9/1/2035  1,550.00   6/1/2006  310,000.00
 58798133  Primary    Condo - Low     360      351     80  6.375  11/1/2005   7/1/2006  10/1/2035    658.75   6/1/2006  124,000.00
 58817685  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035     787.8   6/1/2006  157,600.00
 58821042  Primary    SFR             360      352     90      6  12/1/2005   7/1/2006  11/1/2035  1,259.55   6/1/2006  251,910.00
 58841214  Primary    Condo - Low     360      351   77.6  6.125  11/1/2005   8/1/2006  10/1/2035  1,980.42   7/1/2006  388,000.00
 58848318  Primary    SFR             360      353     75  5.875   1/1/2006   9/1/2006  12/1/2035  1,090.55   8/1/2006  222,750.00
 58857426  Primary    2-Family        360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,879.61   6/1/2006  384,000.00
 58866534  Primary    Condo - Low     360      350     80    6.5  10/1/2005   7/1/2006   9/1/2035    758.13   6/1/2006  140,000.00
 58926601  Primary    Condo - Low     360      352  73.35      6  12/1/2005   7/1/2006  11/1/2035  1,500.00   6/1/2006  300,000.00
 58933656  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,389.36   6/1/2006  284,985.00
 58954157  Primary    Condo - Low     360      352  71.79  5.875  12/1/2005  10/1/2006  11/1/2035  1,394.63   9/1/2006  285,000.00
 58986761  Primary    SFR             360      352  76.69  6.125  12/1/2005   7/1/2006  11/1/2035  1,275.79   6/1/2006  250,000.00
 58999913  Secondary  SFR             360      351     70  5.875  11/1/2005   7/1/2006  10/1/2035     897.9   6/1/2006  183,400.00
 59014605  Primary    SFR             360      351  51.95      6  11/1/2005   8/1/2006  10/1/2035  1,933.69   7/1/2006  387,000.00
 59024224  Investor   2-Family        360      353     75  6.125   1/1/2006   7/1/2006  12/1/2035  1,531.25   6/1/2006  300,000.00
 59030874  Primary    SFR             360      351     80      6  11/1/2005   7/1/2006  10/1/2035  1,447.99   6/1/2006  289,600.00
 59042036  Primary    SFR             360      351  76.96  5.875  11/1/2005   7/1/2006  10/1/2035  1,337.13   6/1/2006  273,215.00
 59058503  Primary    Condo - High    360      351  73.47  5.875  11/1/2005   7/1/2006  10/1/2035  2,064.47   6/1/2006  349,000.00
 59068395  Primary    SFR             360      351  71.74  6.125  11/1/2005   7/1/2006  10/1/2035  1,684.38   6/1/2006  330,000.00
 59068403  Primary    SFR             360      351  74.57      6  11/1/2005   7/1/2006  10/1/2035  1,715.00   6/1/2006  343,000.00
 59070896  Primary    SFR             360      352  45.49      6  12/1/2005   7/1/2006  11/1/2035  1,615.00   6/1/2006  323,000.00
 59099853  Primary    SFR             360      351  87.43  5.875  11/1/2005   8/1/2006  10/1/2035    774.77   7/1/2006  158,250.00
 59106443  Investor   SFR             360      352  84.66   6.25  12/1/2005   7/1/2006  11/1/2035    815.73   6/1/2006  156,620.00
 59108787  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035    880.19   6/1/2006  180,000.00
 59111021  Primary    SFR             360      351  61.54      6  11/1/2005   8/1/2006  10/1/2035  2,000.00   7/1/2006  400,000.00
 59118307  Primary    SFR             360      351  46.51  5.875  11/1/2005   7/1/2006  10/1/2035  1,468.75   6/1/2006  300,000.00
 59119891  Primary    Condo - Low     360      352     95      6  12/1/2005   8/1/2006  11/1/2035  1,356.74   7/1/2006  271,605.00
 59121426  Primary    SFR             360      351     80      6  11/1/2005   8/1/2006  10/1/2035  1,515.86   7/1/2006  303,200.00
 59122655  Primary    SFR             360      351     52      6  11/1/2005   8/1/2006  10/1/2035  1,291.86   7/1/2006  260,000.00
 59127696  Secondary  Condo - High    360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035  1,481.06   7/1/2006  336,980.00
 59136556  Primary    SFR             360      351     80  5.875  11/1/2005   8/1/2006  10/1/2035  1,624.99   7/1/2006  332,000.00
 59165613  Primary    SFR             360      350     80  5.875  10/1/2005   8/1/2006   9/1/2035  1,858.23   7/1/2006  380,000.00
 59182931  Primary    SFR             360      351     80   6.25  11/1/2005   7/1/2006  10/1/2035    658.29   6/1/2006  126,400.00
 59186643  Secondary  SFR             360      352   52.7      6  12/1/2005   7/1/2006  11/1/2035  1,317.50   6/1/2006  263,500.00
 59219477  Secondary  SFR             360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035    620.08   6/1/2006  156,655.00
 59263731  Primary    SFR             360      352  44.03  5.875  12/1/2005   8/1/2006  11/1/2035  1,614.90   7/1/2006  273,000.00
 59301689  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035     743.5   6/1/2006  152,000.00
 59315598  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036  1,424.57   7/1/2006  292,000.00
 59315994  Primary    Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  1,429.17   6/1/2006  280,000.00
 59341255  Investor   SFR             360      351     80   6.25  11/1/2005   7/1/2006  10/1/2035  1,809.07   6/1/2006  348,000.00
 59344705  Primary    SFR             360      351     70  5.875  11/1/2005   7/1/2006  10/1/2035  2,265.00   6/1/2006  382,900.00
 59348409  Primary    2-Family        360      351     75  5.875  11/1/2005   7/1/2006  10/1/2035  1,872.66   6/1/2006  382,500.00
 59382366  Secondary  SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,077.08   6/1/2006  220,000.00
 59407304  Primary    SFR             360      352  74.47  5.875  12/1/2005   8/1/2006  11/1/2035    856.77   7/1/2006  175,000.00
 59412155  Primary    SFR             360      352     95  6.125  12/1/2005   8/1/2006  11/1/2035    787.96   7/1/2006  154,375.00
 59421065  Primary    SFR             360      351  28.33  5.875  11/1/2005   8/1/2006  10/1/2035  2,011.23   7/1/2006  340,000.00
 59424804  Primary    SFR             360      351  84.98  6.125  11/1/2005   7/1/2006  10/1/2035  1,062.36   6/1/2006  208,200.00
 59458109  Investor   SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,803.62   6/1/2006  368,400.00
 59486969  Primary    SFR             360      351  62.07  5.875  11/1/2005   7/1/2006  10/1/2035  1,321.87   6/1/2006  270,000.00
 59489468  Investor   SFR             360      351  74.07  6.125  11/1/2005   7/1/2006  10/1/2035  1,020.83   6/1/2006  200,000.00
 59515064  Primary    SFR             360      351  54.34  5.875  11/1/2005   7/1/2006  10/1/2035  1,902.95   6/1/2006  394,000.00
 59542126  Secondary  Condo - High    360      351     95  5.875  11/1/2005   7/1/2006  10/1/2035  1,613.91   6/1/2006  329,650.00
 59552976  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  2,084.86   6/1/2006  408,462.00
 59564088  Primary    SFR             360      352  58.82      6  12/1/2005   7/1/2006  11/1/2035  1,500.00   6/1/2006  300,000.00
 59576132  Secondary  SFR             360      352  42.31      6  12/1/2005   7/1/2006  11/1/2035  1,231.12   6/1/2006  253,000.00
 59609412  Primary    SFR             360      351  84.21  5.875  11/1/2005   7/1/2006  10/1/2035  2,366.15   6/1/2006  400,000.00
 59610089  Primary    Condo - High    360      353  69.17  5.875   1/1/2006   8/1/2006  12/1/2035  2,031.77   7/1/2006  415,000.00
 59610618  Primary    SFR             360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035  1,668.14   6/1/2006  314,400.00
 59614248  Investor   2-Family        360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,468.75   6/1/2006  300,000.00
 59650127  Primary    SFR             360      352  73.73      6  12/1/2005   7/1/2006  11/1/2035  1,375.00   6/1/2006  275,000.00
 59655969  Primary    SFR             360      352  57.32  5.875  12/1/2005   7/1/2006  11/1/2035  1,762.50   6/1/2006  360,000.00
 59688606  Primary    2-Family        360      351   89.9      6  11/1/2005   7/1/2006  10/1/2035  2,000.25   6/1/2006  400,050.00
 59692913  Primary    SFR             360      351   79.9  5.875  11/1/2005   7/1/2006  10/1/2035  1,927.72   6/1/2006  397,100.00
 59701276  Investor   Condo - Low     360      352  89.95  6.375  12/1/2005   7/1/2006  11/1/2035    936.59   6/1/2006  176,300.00
 59735811  Primary    SFR             360      352  78.17      6  12/1/2005   7/1/2006  11/1/2035  1,599.91   6/1/2006  320,500.00
 59738302  Primary    Condo - Low     360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,172.43   6/1/2006  229,760.00
 59797639  Primary    SFR             360      353  27.38      6   1/1/2006   7/1/2006  12/1/2035    573.65   6/1/2006  115,000.00
 59798066  Primary    SFR             360      352  68.84  5.875  12/1/2005   7/1/2006  11/1/2035  1,161.59   6/1/2006  237,500.00
 59801407  Investor   SFR             360      352     80  6.375  12/1/2005   7/1/2006  11/1/2035    972.82   6/1/2006  184,000.00
 59808022  Primary    SFR             360      351     80  6.125  11/1/2005   7/1/2006  10/1/2035  1,359.75   6/1/2006  266,400.00
 59813733  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035  1,645.00   7/1/2006  336,000.00
 59819839  Primary    Condo - High    360      358     90  5.875   6/1/2006   7/1/2006   5/1/2036  1,546.15   6/1/2006  315,810.00
 59833152  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,114.98   6/1/2006  227,740.00
 59844894  Primary    SFR             360      352  68.97  5.875  12/1/2005   8/1/2006  11/1/2035  1,468.75   7/1/2006  300,000.00
 59865097  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,535.33   6/1/2006  313,600.00
 59886945  Investor   2-Family        360      352  64.35  5.875  12/1/2005   7/1/2006  11/1/2035  2,445.82   6/1/2006  500,000.00
 59889022  Primary    Condo - High    360      352   74.6  5.875  12/1/2005   7/1/2006  11/1/2035  1,817.58   6/1/2006  373,000.00
 59889188  Primary    SFR             360      352  71.89      6  12/1/2005   7/1/2006  11/1/2035  1,707.50   6/1/2006  341,500.00
 59900753  Primary    SFR             360      352  79.01  5.875  12/1/2005   7/1/2006  11/1/2035  1,557.21   6/1/2006  320,000.00
 59915801  Secondary  Condo - Low     360      352  79.93  5.875  12/1/2005   7/1/2006  11/1/2035  1,523.58   6/1/2006  311,200.00
 59918318  Investor   SFR             360      352  64.98  6.125  12/1/2005   7/1/2006  11/1/2035  2,039.63   6/1/2006  399,600.00
 59930925  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035  1,895.29   7/1/2006  388,000.00
 59937151  Primary    SFR             360      352  68.24  5.875  12/1/2005   7/1/2006  11/1/2035  1,418.21   6/1/2006  290,000.00
 59946145  Primary    SFR             360      354  63.57  6.125   2/1/2006   7/1/2006   1/1/2036  2,092.71   6/1/2006  410,000.00
 59965137  Primary    SFR             360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035    766.88   6/1/2006  156,640.00
 60002987  Primary    SFR             360      352  56.74  6.375  12/1/2005   8/1/2006  11/1/2035  2,125.00   7/1/2006  400,000.00
 60011558  Secondary  SFR             360      352     75  5.875  12/1/2005   8/1/2006  11/1/2035  1,614.90   7/1/2006  273,000.00
 60012531  Secondary  Condo - Low     360      352  53.27  5.875  12/1/2005   7/1/2006  11/1/2035  1,391.89   6/1/2006  285,000.00
 60021003  Investor   Condo - Low     360      352   56.8  5.875  12/1/2005   7/1/2006  11/1/2035  1,042.81   6/1/2006  213,000.00
 60021938  Investor   Condo - Low     360      352   54.4  5.875  12/1/2005   7/1/2006  11/1/2035    998.75   6/1/2006  204,000.00
 60025053  Primary    SFR             360      354  79.86  6.125   2/1/2006   7/1/2006   1/1/2036  1,500.11   6/1/2006  293,900.00
 60030343  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,762.50   6/1/2006  360,000.00
 60038668  Primary    SFR             360      352  79.93   6.25  12/1/2005   7/1/2006  11/1/2035  1,161.46   6/1/2006  223,000.00
 60039351  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035    849.47   6/1/2006  173,600.00
 60056397  Primary    Condo - Low     360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035       539   7/1/2006  105,600.00
 60064045  Primary    SFR             360      352  86.52  5.875  12/1/2005   8/1/2006  11/1/2035  1,948.36   7/1/2006  398,000.00
 60088135  Primary    Condo - Low     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035    740.25   6/1/2006  151,200.00
 60092384  Investor   SFR             360      353     90   6.25   1/1/2006   7/1/2006  12/1/2035    679.62   6/1/2006  130,500.00
 60106945  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035  1,178.09   7/1/2006  240,631.00
 60116506  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,770.83   6/1/2006  340,000.00
 60122371  Primary    SFR             360      353  71.94  6.125   1/1/2006   7/1/2006  12/1/2035    899.38   6/1/2006  176,250.00
 60162583  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,852.00   6/1/2006  370,400.00
 60165289  Primary    SFR             360      352  56.54  5.875  12/1/2005   7/1/2006  11/1/2035  1,120.98   6/1/2006  229,000.00
 60186582  Primary    Condo - Low     360      352     80      6  12/1/2005   7/1/2006  11/1/2035     833.6   6/1/2006  166,720.00
 60192101  Primary    SFR             360      352  79.75      6  12/1/2005   8/1/2006  11/1/2035  1,575.00   7/1/2006  315,000.00
 60197225  Primary    SFR             360      354     75  6.375   2/1/2006   7/1/2006   1/1/2036  1,653.08   6/1/2006  311,250.00
 60214269  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,985.75   6/1/2006  405,600.00
 60228988  Primary    SFR             360      355  53.67      6   3/1/2006   7/1/2006   2/1/2036  1,610.00   6/1/2006  322,000.00
 60232204  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035     687.5   6/1/2006  132,000.00
 60234408  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,526.23   6/1/2006  312,000.00
 60238565  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,628.16   6/1/2006  328,000.00
 60249414  Primary    SFR             360      352     80   6.25  12/1/2005   7/1/2006  11/1/2035    687.24   6/1/2006  132,000.00
 60257847  Primary    SFR             360      352  74.51  5.875  12/1/2005   7/1/2006  11/1/2035  1,855.86   6/1/2006  380,000.00
 60260429  Primary    SFR             360      352  39.06  5.875  12/1/2005   8/1/2006  11/1/2035  1,835.94   7/1/2006  375,000.00
 60294337  Primary    SFR             360      352  69.33  6.125  12/1/2005   7/1/2006  11/1/2035  1,194.38   6/1/2006  234,000.00
 60314168  Primary    SFR             360      353  34.44  5.875   1/1/2006   7/1/2006  12/1/2035  1,382.58   6/1/2006  282,400.00
 60321411  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,320.00   6/1/2006  264,000.00
 60324225  Primary    SFR             360      352  93.87  6.375  12/1/2005   7/1/2006  11/1/2035  1,545.00   6/1/2006  291,000.00
 60325198  Primary    SFR             360      352  75.68      6  12/1/2005   7/1/2006  11/1/2035  1,532.50   6/1/2006  306,500.00
 60345824  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,791.67   6/1/2006  344,000.00
 60354974  Investor   Condo - Low     360      353  79.82  6.625   1/1/2006   7/1/2006  12/1/2035    993.75   6/1/2006  180,000.00
 60356433  Investor   Condo - Low     360      353  79.78   6.75   1/1/2006   7/1/2006  12/1/2035       810   6/1/2006  144,000.00
 60370863  Primary    SFR             360      355     80  5.875   3/1/2006   8/1/2006   2/1/2036  1,895.67   7/1/2006  388,000.00
 60376753  Investor   2-Family        360      354     90    6.5   2/1/2006   7/1/2006   1/1/2036    502.13   6/1/2006   92,700.00
 60376944  Investor   2-Family        360      354     90    6.5   2/1/2006   7/1/2006   1/1/2036    502.13   6/1/2006   92,700.00
 60377116  Investor   2-Family        360      354     90    6.5   2/1/2006   7/1/2006   1/1/2036    502.13   6/1/2006   92,700.00
 60377371  Investor   2-Family        360      354     90    6.5   2/1/2006   7/1/2006   1/1/2036    502.13   6/1/2006   92,700.00
 60409828  Primary    Condo - Low     360      352  36.36  6.125  12/1/2005   7/1/2006  11/1/2035  2,041.67   6/1/2006  400,000.00
 60411451  Primary    Condo - Low     360      353  68.85  6.125   1/1/2006   7/1/2006  12/1/2035  2,143.75   6/1/2006  420,000.00
 60414174  Primary    SFR             360      353  49.42  6.125   1/1/2006   7/1/2006  12/1/2035  1,524.74   6/1/2006  299,000.00
 60416898  Primary    SFR             360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035  2,021.24   6/1/2006  396,000.00
 60434388  Investor   3-Family        360      354  75.19   6.75   2/1/2006   7/1/2006   1/1/2036  1,653.75   6/1/2006  294,000.00
 60446564  Primary    SFR             360      352  76.09  6.375  12/1/2005   7/1/2006  11/1/2035  1,859.36   6/1/2006  350,000.00
 60450533  Primary    SFR             360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035    701.57   7/1/2006  144,000.00
 60451218  Primary    Condo - Low     360      353  68.86  6.375   1/1/2006   8/1/2006  12/1/2035  1,503.53   7/1/2006  241,000.00
 60452695  Primary    SFR             360      352     75  6.125  12/1/2005   7/1/2006  11/1/2035  2,067.19   6/1/2006  405,000.00
 60459815  Primary    SFR             360      353   37.5      6   1/1/2006   8/1/2006  12/1/2035       750   7/1/2006  150,000.00
 60473501  Primary    SFR             360      353  54.79  6.375   1/1/2006   7/1/2006  12/1/2035  2,118.63   6/1/2006  400,000.00
 60481173  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036  1,106.00   6/1/2006  221,200.00
 60488145  Primary    SFR             360      352  55.77  5.875  12/1/2005   7/1/2006  11/1/2035  1,761.03   6/1/2006  359,700.00
 60489002  Primary    SFR             360      354     80  6.875   2/1/2006   7/1/2006   1/1/2036    756.25   6/1/2006  132,000.00
 60489317  Primary    SFR             360      352     80      6  12/1/2005   7/1/2006  11/1/2035  1,920.00   6/1/2006  384,000.00
 60489705  Primary    SFR             360      352  36.36      6  12/1/2005   7/1/2006  11/1/2035    795.42   6/1/2006  160,000.00
 60497161  Secondary  SFR             360      353     90  6.375   1/1/2006   8/1/2006  12/1/2035     926.5   7/1/2006  174,600.00
 60501103  Secondary  Condo - High    360      352     80      6  12/1/2005   8/1/2006  11/1/2035  1,926.80   7/1/2006  385,360.00
 60502911  Primary    Condo - High    360      353  59.65  6.125   1/1/2006   7/1/2006  12/1/2035  1,032.94   6/1/2006  170,000.00
 60516028  Investor   Condo - Low     360      352     80  6.125  12/1/2005   7/1/2006  11/1/2035    918.71   6/1/2006  179,992.00
 60535168  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036    876.94   6/1/2006  175,388.00
 60558715  Secondary  SFR             360      354     75   6.25   2/1/2006   7/1/2006   1/1/2036    985.94   6/1/2006  189,300.00
 60560729  Secondary  SFR             360      353     70  6.125   1/1/2006   7/1/2006  12/1/2035  1,393.44   6/1/2006  273,000.00
 60561578  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,958.53   6/1/2006  392,000.00
 60561776  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,447.75   6/1/2006  296,000.00
 60564762  Primary    2-Family        360      353  45.36  6.125   1/1/2006   7/1/2006  12/1/2035  1,122.92   6/1/2006  220,000.00
 60581287  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035    860.42   6/1/2006  165,200.00
 60588068  Secondary  Condo - Low     360      353     95   6.25   1/1/2006   7/1/2006  12/1/2035  1,801.04   6/1/2006  345,800.00
 60595873  Primary    SFR             360      353  89.75  5.875   1/1/2006   8/1/2006  12/1/2035  1,755.57   7/1/2006  359,000.00
 60598356  Primary    SFR             360      354     80  5.875   2/1/2006   7/1/2006   1/1/2036  1,913.29   6/1/2006  390,800.00
 60602828  Primary    Condo - Low     360      352  74.15  6.125  12/1/2005   7/1/2006  11/1/2035    772.76   6/1/2006  152,000.00
 60618733  Primary    2-Family        360      355  79.93  6.125   3/1/2006   7/1/2006   2/1/2036  2,305.04   6/1/2006  451,600.00
 60644473  Primary    2-Family        360      353  37.04   6.25   1/1/2006   7/1/2006  12/1/2035  2,604.17   6/1/2006  500,000.00
 60647708  Primary    SFR             360      353  46.47      6   1/1/2006   7/1/2006  12/1/2035  2,368.22   6/1/2006  395,000.00
 60676103  Primary    SFR             360      353  94.91  6.125   1/1/2006   7/1/2006  12/1/2035    509.14   6/1/2006   99,750.00
 60680758  Primary    SFR             360      353  45.95      6   1/1/2006   7/1/2006  12/1/2035  1,332.50   6/1/2006  266,500.00
 60681012  Primary    SFR             360      353   62.5   6.25   1/1/2006   7/1/2006  12/1/2035  2,083.33   6/1/2006  400,000.00
 60681137  Primary    SFR             360      354  60.95  6.125   2/1/2006   8/1/2006   1/1/2036  1,633.33   7/1/2006  320,000.00
 60682093  Primary    SFR             360      352     80  6.125  12/1/2005   8/1/2006  11/1/2035    747.55   7/1/2006  148,000.00
 60682333  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,351.25   6/1/2006  276,000.00
 60683596  Investor   Condo - High    360      353  48.89  6.125   1/1/2006   7/1/2006  12/1/2035    560.07   6/1/2006  110,000.00
 60690252  Primary    SFR             360      352     80  5.875  12/1/2005   7/1/2006  11/1/2035  1,123.88   6/1/2006  229,558.00
 60691227  Primary    SFR             360      352  55.23      6  12/1/2005   8/1/2006  11/1/2035  1,925.00   7/1/2006  385,000.00
 60703444  Primary    Condo - Low     360      354     75  6.375   2/1/2006   7/1/2006   1/1/2036  1,862.70   6/1/2006  350,625.00
 60707254  Primary    Condo - Low     360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,401.19   6/1/2006  270,028.00
 60712577  Secondary  SFR             360      353     75  6.125   1/1/2006   7/1/2006  12/1/2035    861.33   6/1/2006  168,750.00
 60717634  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  2,083.33   6/1/2006  400,000.00
 60723434  Primary    SFR             360      353   70.1    6.5   1/1/2006   7/1/2006  12/1/2035  1,993.06   6/1/2006  368,000.00
 60732534  Secondary  Condo - Low     360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036    904.83   6/1/2006  170,320.00
 60736212  Primary    SFR             360      353   25.8  6.375   1/1/2006   7/1/2006  12/1/2035  1,110.49   6/1/2006  178,000.00
 60749942  Primary    Condo - Low     360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,856.49   6/1/2006  379,200.00
 60751492  Secondary  SFR             360      353  72.14   6.25   1/1/2006   7/1/2006  12/1/2035  1,052.08   6/1/2006  202,000.00
 60751815  Primary    SFR             360      354  79.89  6.125   2/1/2006   7/1/2006   1/1/2036  1,524.20   6/1/2006  298,640.00
 60753993  Primary    SFR             360      354  64.52  6.375   2/1/2006   7/1/2006   1/1/2036  2,125.00   6/1/2006  400,000.00
 60762499  Secondary  SFR             360      353  72.38   6.25   1/1/2006   7/1/2006  12/1/2035  1,979.17   6/1/2006  380,000.00
 60773934  Investor   4-Family        360      356  79.82   6.25   4/1/2006   8/1/2006   3/1/2036    914.49   7/1/2006  175,600.00
 60794914  Primary    SFR             360      353     80      6   1/1/2006   8/1/2006  12/1/2035  1,075.80   7/1/2006  215,160.00
 60798964  Primary    SFR             360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  1,708.33   7/1/2006  328,000.00
 60799038  Primary    SFR             360      354  42.06  6.375   2/1/2006   8/1/2006   1/1/2036  1,403.71   7/1/2006  225,000.00
 60805546  Secondary  Condo - Low     360      353  54.33      6   1/1/2006   8/1/2006  12/1/2035  1,724.57   7/1/2006  345,000.00
 60808466  Primary    SFR             360      354  79.91  6.375   2/1/2006   7/1/2006   1/1/2036  1,995.38   6/1/2006  375,600.00
 60816782  Primary    SFR             360      354     80  6.125   2/1/2006   8/1/2006   1/1/2036  1,735.42   7/1/2006  340,000.00
 60817343  Investor   SFR             360      353     90   6.75   1/1/2006   7/1/2006  12/1/2035    825.19   6/1/2006  146,700.00
 60818614  Investor   SFR             360      353     90   6.75   1/1/2006   7/1/2006  12/1/2035    835.31   6/1/2006  148,500.00
 60828407  Primary    SFR             360      353     56  5.875   1/1/2006   7/1/2006  12/1/2035  1,713.51   6/1/2006  350,000.00
 60829728  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,182.94   6/1/2006  231,760.00
 60829934  Primary    2-Family        360      353  49.01  6.125   1/1/2006   7/1/2006  12/1/2035  2,026.35   6/1/2006  397,000.00
 60837242  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,748.33   6/1/2006  336,000.00
 60841731  Investor   SFR             360      353     90   6.25   1/1/2006   7/1/2006  12/1/2035  1,526.32   6/1/2006  293,053.00
 60844636  Primary    SFR             360      353  60.25  5.875   1/1/2006   7/1/2006  12/1/2035    597.29   6/1/2006  122,300.00
 60854023  Primary    SFR             360      353  76.12      6   1/1/2006   7/1/2006  12/1/2035  1,274.87   6/1/2006  255,000.00
 60858917  Primary    SFR             360      353  76.74      6   1/1/2006   7/1/2006  12/1/2035  1,638.84   6/1/2006  330,000.00
 60870169  Primary    SFR             360      353  36.64      6   1/1/2006   7/1/2006  12/1/2035  1,007.50   6/1/2006  201,500.00
 60870441  Primary    SFR             360      353  68.55   6.25   1/1/2006   8/1/2006  12/1/2035  1,963.49   7/1/2006  377,000.00
 60873494  Primary    Condo - Low     360      353  78.23  6.125   1/1/2006   7/1/2006  12/1/2035  2,076.38   6/1/2006  406,800.00
 60877974  Primary    Condo - Low     360      354     80      6   2/1/2006   7/1/2006   1/1/2036       864   6/1/2006  172,800.00
 60893203  Primary    SFR             360      353  65.09  6.125   1/1/2006   7/1/2006  12/1/2035  2,175.25   6/1/2006  358,000.00
 60904976  Investor   SFR             360      354  56.03  6.125   2/1/2006   7/1/2006   1/1/2036  1,658.85   6/1/2006  325,000.00
 60913043  Primary    SFR             360      353     80    6.5   1/1/2006   7/1/2006  12/1/2035    788.67   6/1/2006  145,600.00
 60926391  Investor   SFR             360      353     90  6.625   1/1/2006   7/1/2006  12/1/2035    801.62   6/1/2006  145,800.00
 60927738  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036    717.56   6/1/2006  140,600.00
 60930088  Secondary  SFR             360      353  72.02  6.125   1/1/2006   7/1/2006  12/1/2035  2,113.64   6/1/2006  414,100.00
 60932274  Primary    SFR             360      353  52.16   6.25   1/1/2006   7/1/2006  12/1/2035  1,005.21   6/1/2006  193,000.00
 60945169  Investor   Condo - Low     360      353  79.99   6.25   1/1/2006   7/1/2006  12/1/2035    665.97   6/1/2006  127,900.00
 60951878  Primary    SFR             360      353  72.99  6.125   1/1/2006   7/1/2006  12/1/2035  2,003.50   6/1/2006  400,000.00
 60962669  Secondary  Condo - Low     360      353  73.12      6   1/1/2006   7/1/2006  12/1/2035  2,038.47   6/1/2006  340,000.00
 60965563  Primary    Condo - Low     360      354  74.24      6   2/1/2006   7/1/2006   1/1/2036  1,223.25   6/1/2006  245,000.00
 60967387  Primary    Condo - Low     360      353     80      6   1/1/2006   7/1/2006  12/1/2035    676.29   6/1/2006  112,800.00
 60975158  Investor   2-Family        360      354  67.53      6   2/1/2006   7/1/2006   1/1/2036    844.15   6/1/2006  168,830.00
 60980372  Secondary  SFR             360      353  40.61  5.875   1/1/2006   7/1/2006  12/1/2035  1,302.29   6/1/2006  266,000.00
 61007621  Primary    SFR             360      353   89.4  5.875   1/1/2006   8/1/2006  12/1/2035  1,238.65   7/1/2006  253,000.00
 61008785  Investor   2-Family        360      353  51.61      6   1/1/2006   7/1/2006  12/1/2035       800   6/1/2006  160,000.00
 61009114  Investor   SFR             360      353  46.18  6.125   1/1/2006   7/1/2006  12/1/2035    400.15   6/1/2006   78,500.00
 61015616  Primary    SFR             360      353  77.32  5.875   1/1/2006   8/1/2006  12/1/2035  1,824.06   7/1/2006  375,000.00
 61017521  Primary    Condo - Low     360      353  77.32   6.25   1/1/2006   7/1/2006  12/1/2035  1,558.04   6/1/2006  300,000.00
 61022463  Investor   SFR             360      354     90  6.625   2/1/2006   7/1/2006   1/1/2036  1,565.16   6/1/2006  283,500.00
 61028387  Secondary  SFR             360      354  27.43   6.25   2/1/2006   7/1/2006   1/1/2036     987.5   6/1/2006  192,000.00
 61056065  Secondary  SFR             360      354  64.94    6.5   2/1/2006   7/1/2006   1/1/2036  1,987.54   6/1/2006  367,250.00
 61060372  Primary    SFR             360      354  74.77  6.125   2/1/2006   7/1/2006   1/1/2036  2,430.44   6/1/2006  400,000.00
 61062022  Primary    Condo - Low     360      354  65.85   6.25   2/1/2006   7/1/2006   1/1/2036  1,406.25   6/1/2006  270,000.00
 61078663  Primary    SFR             360      353     70  6.125   1/1/2006   8/1/2006  12/1/2035  1,275.98   7/1/2006  210,000.00
 61083267  Investor   SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,291.67   6/1/2006  248,000.00
 61098984  Primary    SFR             360      353   71.2  6.375   1/1/2006   7/1/2006  12/1/2035  1,134.75   6/1/2006  213,600.00
 61099065  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035    783.33   6/1/2006  160,000.00
 61105508  Investor   SFR             360      353     90  6.625   1/1/2006   7/1/2006  12/1/2035    800.91   6/1/2006  145,070.00
 61108726  Primary    SFR             360      354     80      6   2/1/2006   7/1/2006   1/1/2036       836   6/1/2006  167,200.00
 61110888  Primary    SFR             360      354  40.14  5.875   2/1/2006   7/1/2006   1/1/2036  1,982.78   6/1/2006  405,000.00
 61115192  Primary    Condo - Low     360      353  72.18  6.125   1/1/2006   7/1/2006  12/1/2035    928.45   6/1/2006  181,900.00
 61123121  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,846.67   6/1/2006  354,800.00
 61143111  Primary    SFR             360      353     80  6.125   1/1/2006   7/1/2006  12/1/2035  1,073.92   6/1/2006  210,400.00
 61150355  Primary    SFR             360      353     80  6.375   1/1/2006   8/1/2006  12/1/2035  1,083.63   7/1/2006  204,000.00
 61154068  Primary    SFR             360      354     75  6.375   2/1/2006   7/1/2006   1/1/2036  1,992.19   6/1/2006  375,000.00
 61154464  Primary    Condo - Low     360      353     80  6.375   1/1/2006   7/1/2006  12/1/2035       850   6/1/2006  160,000.00
 61156741  Primary    SFR             360      353  20.39  6.125   1/1/2006   7/1/2006  12/1/2035  1,579.79   6/1/2006  260,000.00
 61169124  Primary    SFR             360      354  78.03  6.125   2/1/2006   7/1/2006   1/1/2036  1,214.79   6/1/2006  238,000.00
 61175386  Primary    Condo - Low     360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036    709.33   6/1/2006  133,520.00
 61186284  Primary    SFR             360      353  79.99  6.125   1/1/2006   7/1/2006  12/1/2035  1,473.10   6/1/2006  288,607.00
 61189809  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,270.75   6/1/2006  239,200.00
 61190914  Primary    Condo - Low     360      353     80   6.25   1/1/2006   8/1/2006  12/1/2035  1,875.00   7/1/2006  360,000.00
 61197604  Primary    Condo - Low     360      355  74.63  6.125   3/1/2006   7/1/2006   2/1/2036  1,276.04   6/1/2006  250,000.00
 61224606  Primary    SFR             360      354  64.17      6   2/1/2006   7/1/2006   1/1/2036  1,925.00   6/1/2006  385,000.00
 61226841  Primary    SFR             360      354     75  6.375   2/1/2006   7/1/2006   1/1/2036  2,222.54   6/1/2006  356,250.00
 61229027  Primary    SFR             360      354  42.38  6.625   2/1/2006   8/1/2006   1/1/2036  1,871.56   7/1/2006  339,000.00
 61229373  Investor   SFR             360      354     80   6.75   2/1/2006   8/1/2006   1/1/2036     561.8   7/1/2006  100,000.00
 61246039  Primary    SFR             360      354  67.29   6.25   2/1/2006   7/1/2006   1/1/2036  2,067.71   6/1/2006  397,000.00
 61263547  Primary    SFR             360      354     75  6.125   2/1/2006   7/1/2006   1/1/2036  1,397.27   6/1/2006  273,750.00
 61264446  Primary    SFR             360      353  72.73  6.375   1/1/2006   7/1/2006  12/1/2035  1,687.32   6/1/2006  320,000.00
 61265062  Primary    SFR             360      354  62.31      6   2/1/2006   7/1/2006   1/1/2036  2,000.00   6/1/2006  405,000.00
 61279287  Primary    SFR             360      353  88.46    6.5   1/1/2006   7/1/2006  12/1/2035  1,868.75   6/1/2006  345,000.00
 61284485  Primary    SFR             360      354     77  6.125   2/1/2006   7/1/2006   1/1/2036  1,960.87   6/1/2006  385,000.00
 61293197  Primary    SFR             360      354     80  5.875   2/1/2006   8/1/2006   1/1/2036    744.17   7/1/2006  152,000.00
 61294997  Primary    SFR             360      353     80      6   1/1/2006   7/1/2006  12/1/2035  1,410.00   6/1/2006  282,000.00
 61295689  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,256.65   7/1/2006  246,200.00
 61303822  Secondary  SFR             360      353  33.33  6.875   1/1/2006   7/1/2006  12/1/2035    328.46   6/1/2006   50,000.00
 61318119  Primary    Condo - Low     360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,190.00   6/1/2006  224,000.00
 61335287  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,530.00   6/1/2006  288,000.00
 61338497  Primary    SFR             360      354     80  6.375   2/1/2006   8/1/2006   1/1/2036  1,508.75   7/1/2006  284,000.00
 61352779  Secondary  SFR             360      354  45.45   6.25   2/1/2006   7/1/2006   1/1/2036    902.64   6/1/2006  175,000.00
 61363206  Primary    SFR             360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,614.98   6/1/2006  310,076.00
 61364949  Investor   SFR             360      355   79.9   6.25   3/1/2006   7/1/2006   2/1/2036  1,312.50   6/1/2006  252,000.00
 61370698  Primary    SFR             360      353     80  5.875   1/1/2006   8/1/2006  12/1/2035  1,468.75   7/1/2006  300,000.00
 61381315  Primary    SFR             360      353  47.02  6.375   1/1/2006   7/1/2006  12/1/2035    558.22   6/1/2006  110,500.00
 61395604  Primary    2-Family        360      354  73.79    6.5   2/1/2006   8/1/2006   1/1/2036  2,797.71   7/1/2006  516,500.00
 61418315  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,032.75   6/1/2006  194,400.00
 61424826  Primary    2-Family        360      354  55.84  5.875   2/1/2006   7/1/2006   1/1/2036  1,591.09   6/1/2006  325,000.00
 61453247  Primary    Condo - Low     360      354  55.26  6.375   2/1/2006   7/1/2006   1/1/2036  1,981.56   6/1/2006  373,000.00
 61462172  Primary    Condo - Low     360      354     80   6.25   2/1/2006   7/1/2006   1/1/2036  1,333.33   6/1/2006  256,000.00
 61491346  Secondary  Condo - Low     360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,638.73   6/1/2006  314,636.00
 61518353  Investor   Condo - Low     360      353  89.99  6.875   1/1/2006   7/1/2006  12/1/2035  1,140.90   6/1/2006  199,139.00
 61537148  Primary    Condo - Low     360      355  79.98   6.25   3/1/2006   7/1/2006   2/1/2036    903.12   6/1/2006  173,400.00
 61565271  Primary    SFR             360      354  69.15  6.375   2/1/2006   7/1/2006   1/1/2036  1,726.56   6/1/2006  325,000.00
 61565461  Primary    SFR             360      353     80   6.25   1/1/2006   7/1/2006  12/1/2035  1,311.46   6/1/2006  252,000.00
 61565875  Primary    SFR             360      354     80   6.25   2/1/2006   8/1/2006   1/1/2036  1,872.55   7/1/2006  360,000.00
 61595765  Primary    SFR             360      354  79.02   6.75   2/1/2006   8/1/2006   1/1/2036  1,093.50   7/1/2006  194,400.00
 61607388  Primary    SFR             360      355  53.57  6.125   3/1/2006   7/1/2006   2/1/2036  1,822.83   6/1/2006  300,000.00
 61607396  Primary    SFR             360      354     80  6.125   2/1/2006   7/1/2006   1/1/2036  2,102.92   6/1/2006  412,000.00
 61608709  Primary    SFR             360      355  14.93  6.625   3/1/2006   7/1/2006   2/1/2036    640.31   6/1/2006  100,000.00
 61616595  Primary    SFR             360      353     80  6.125   1/1/2006   8/1/2006  12/1/2035  1,501.07   7/1/2006  295,200.00
 61621413  Secondary  Condo - Low     360      354  43.41      6   2/1/2006   7/1/2006   1/1/2036  1,005.00   6/1/2006  201,000.00
 61623559  Primary    SFR             360      354     80  6.375   2/1/2006   8/1/2006   1/1/2036     654.5   7/1/2006  123,200.00
 61638086  Investor   4-Family        360      355     80  6.625   3/1/2006   7/1/2006   2/1/2036  3,524.50   6/1/2006  638,400.00
 61653457  Primary    SFR             360      354  56.67  6.375   2/1/2006   7/1/2006   1/1/2036    903.13   6/1/2006  170,000.00
 61659306  Primary    SFR             360      354     80  6.375   2/1/2006   7/1/2006   1/1/2036  1,878.44   6/1/2006  353,600.00
 61661807  Primary    SFR             360      355     75   6.25   3/1/2006   7/1/2006   2/1/2036    777.08   6/1/2006  150,000.00
 61668885  Secondary  Condo - Low     360      354   22.9   6.25   2/1/2006   8/1/2006   1/1/2036  1,640.62   7/1/2006  315,000.00
 61671244  Primary    SFR             360      355  79.31      6   3/1/2006   8/1/2006   2/1/2036  1,150.00   7/1/2006  230,000.00
 61697389  Investor   SFR             360      354  74.72  6.125   2/1/2006   7/1/2006   1/1/2036  1,006.80   6/1/2006  197,250.00
 61704912  Primary    SFR             360      355     80   6.25   3/1/2006   8/1/2006   2/1/2036  1,559.60   7/1/2006  300,000.00
 61708855  Primary    Condo - Low     360      355  78.88  6.125   3/1/2006   8/1/2006   2/1/2036  1,625.68   7/1/2006  323,000.00
143035442  Secondary  Condo - Low     360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035  1,276.83   6/1/2006  260,800.00
143457596  Primary    SFR             360      347  68.21      6   7/1/2005   8/1/2006   6/1/2035  2,290.29   7/1/2006  382,000.00
143631224  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035  1,370.83   7/1/2006  280,000.00
143658433  Primary    SFR             360      348     80      6   8/1/2005   8/1/2006   7/1/2035  2,027.33   7/1/2006  405,550.00
143661494  Primary    Condo - High    360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035    920.42   6/1/2006  188,000.00
143717452  Secondary  SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035    554.21   7/1/2006  113,200.00
143776979  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035  1,498.12   6/1/2006  306,000.00
143792281  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035  2,080.00   6/1/2006  416,000.00
143812311  Primary    Condo - Low     360      349     80  5.875   9/1/2005   8/1/2006   8/1/2035  1,574.01   7/1/2006  321,600.00
144018769  Secondary  Condo - Low     360      349     75      6   9/1/2005   8/1/2006   8/1/2035    887.66   7/1/2006  177,675.00
144094885  Primary    SFR             360      347     80  5.875   7/1/2005   8/1/2006   6/1/2035  1,446.49   7/1/2006  296,000.00
144172491  Primary    Condo - Low     360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035    974.86   6/1/2006  199,120.00
144253754  Primary    SFR             360      347  63.85  5.875   7/1/2005   7/1/2006   6/1/2035  2,031.27   6/1/2006  415,000.00
144283983  Primary    SFR             360      355     80   6.25   3/1/2006   7/1/2006   2/1/2036  1,875.00   6/1/2006  360,000.00
144387917  Primary    SFR             360      347  77.71  5.875   7/1/2005   7/1/2006   6/1/2035  1,854.98   6/1/2006  380,000.00
144388303  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035  1,092.91   6/1/2006  223,920.00
144399524  Primary    SFR             360      347  54.47  5.875   7/1/2005   7/1/2006   6/1/2035  1,009.52   6/1/2006  207,000.00
144416484  Secondary  SFR             360      347     75      6   7/1/2005   7/1/2006   6/1/2035    753.75   6/1/2006  150,750.00
144466992  Primary    SFR             360      347  61.84  5.875   7/1/2005   7/1/2006   6/1/2035  1,150.52   6/1/2006  235,000.00
144496783  Secondary  SFR             360      347  79.56  5.875   7/1/2005   8/1/2006   6/1/2035    672.02   7/1/2006  144,000.00
144506029  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035    497.57   6/1/2006  101,725.00
144516234  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035  1,644.69   6/1/2006  336,000.00
144522513  Primary    SFR             360      351  74.15  5.875  11/1/2005   8/1/2006  10/1/2035  1,756.38   7/1/2006  359,650.00
144570579  Primary    SFR             360      347  62.19  5.875   7/1/2005   7/1/2006   6/1/2035  1,610.73   6/1/2006  329,000.00
144571817  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035  1,279.63   6/1/2006  256,000.00
144574993  Primary    SFR             360      348     80  5.875   8/1/2005   9/1/2006   7/1/2035  1,174.17   8/1/2006  240,000.00
144585619  Primary    SFR             360      347     80      6   7/1/2005   7/1/2006   6/1/2035  1,540.64   6/1/2006  308,800.00
144591609  Primary    SFR             360      347  70.71  5.875   7/1/2005   7/1/2006   6/1/2035  1,905.70   6/1/2006  396,000.00
144603016  Primary    SFR             360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035    998.75   7/1/2006  204,000.00
144603818  Primary    2-Family        360      347  84.91      6   7/1/2005   7/1/2006   6/1/2035  1,124.72   6/1/2006  225,000.00
144609187  Primary    SFR             360      347     70  5.875   7/1/2005   7/1/2006   6/1/2035  1,935.32   6/1/2006  399,000.00
144615911  Primary    Condo - Low     360      348  77.89  5.875   8/1/2005   7/1/2006   7/1/2035  1,160.76   6/1/2006  239,248.00
144626223  Primary    SFR             360      347  60.75  5.875   7/1/2005   7/1/2006   6/1/2035  1,591.15   6/1/2006  325,000.00
144628401  Secondary  SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  1,081.55   6/1/2006  228,000.00
144641131  Primary    SFR             360      347  71.43      6   7/1/2005   7/1/2006   6/1/2035  1,995.48   6/1/2006  400,000.00
144657145  Primary    SFR             360      348  30.89  5.875   8/1/2005   7/1/2006   7/1/2035     653.1   6/1/2006  135,000.00
144679123  Secondary  Condo - Low     360      348     80      6   8/1/2005   7/1/2006   7/1/2035    715.33   6/1/2006  143,920.00
144699444  Secondary  Condo - Low     360      347  29.98  6.125   7/1/2005   8/1/2006   6/1/2035    611.99   7/1/2006  119,900.00
144704947  Primary    SFR             360      348  74.23  5.875   8/1/2005   7/1/2006   7/1/2035  2,296.35   6/1/2006  388,200.00
144706447  Primary    SFR             360      348     80      6   8/1/2005   7/1/2006   7/1/2035  1,800.00   6/1/2006  360,000.00
144707262  Primary    SFR             360      353     80  5.875   1/1/2006   7/1/2006  12/1/2035  1,602.07   6/1/2006  327,232.00
144723053  Secondary  SFR             360      349     95  5.875   9/1/2005   8/1/2006   8/1/2035    186.04   7/1/2006   38,000.00
144754298  Primary    SFR             360      348  74.23  5.875   8/1/2005   7/1/2006   7/1/2035  1,762.01   6/1/2006  360,000.00
144760915  Primary    SFR             360      348     80      6   8/1/2005   8/1/2006   7/1/2035    301.96   7/1/2006  110,400.00
144763729  Primary    SFR             360      350     95      6  10/1/2005   8/1/2006   9/1/2035  1,270.51   7/1/2006  254,125.00
144778008  Primary    SFR             360      347     80  5.875   7/1/2005   7/1/2006   6/1/2035  1,351.25   6/1/2006  276,000.00
144782521  Primary    SFR             360      348  73.64  5.875   8/1/2005   7/1/2006   7/1/2035  1,965.97   6/1/2006  405,000.00
144824414  Primary    SFR             360      349     95  5.875   9/1/2005   7/1/2006   8/1/2035  2,247.29   6/1/2006  379,905.00
144842598  Primary    SFR             360      348  63.33  5.875   8/1/2005   7/1/2006   7/1/2035  1,860.42   6/1/2006  380,000.00
144844024  Primary    SFR             360      347  78.57  5.875   7/1/2005   8/1/2006   6/1/2035  1,077.08   7/1/2006  220,000.00
144850575  Primary    SFR             360      347  54.86  5.875   7/1/2005   8/1/2006   6/1/2035  1,926.89   7/1/2006  395,000.00
144873742  Primary    PUD Detached    360      349  79.99  5.875   9/1/2005   8/1/2006   8/1/2035  1,873.88   7/1/2006  382,750.00
144916798  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035  2,014.14   6/1/2006  412,500.00
144954245  Primary    Condo - Low     360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035    699.56   6/1/2006  144,000.00
144976131  Primary    SFR             360      348  70.59  5.875   8/1/2005   8/1/2006   7/1/2035     582.6   7/1/2006  120,000.00
145006045  Primary    Condo - Low     360      348     80      6   8/1/2005   8/1/2006   7/1/2035  1,457.20   7/1/2006  291,920.00
145048443  Primary    SFR             360      348   62.5  5.875   8/1/2005   7/1/2006   7/1/2035  1,958.33   6/1/2006  400,000.00
145077095  Secondary  SFR             360      348  78.87  5.875   8/1/2005   8/1/2006   7/1/2035  1,197.03   7/1/2006  244,500.00
145101069  Primary    SFR             360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035  1,762.50   7/1/2006  360,000.00
145104261  Primary    Condo - Low     360      349  72.97  5.875   9/1/2005   8/1/2006   8/1/2035  1,321.87   7/1/2006  270,000.00
145153979  Primary    SFR             360      348   79.2  5.875   8/1/2005   7/1/2006   7/1/2035  1,938.75   6/1/2006  396,000.00
145178083  Primary    SFR             360      349  63.91  5.875   9/1/2005   7/1/2006   8/1/2035  1,360.70   6/1/2006  278,000.00
145180444  Primary    Condo - Low     360      348  79.79  5.875   8/1/2005   7/1/2006   7/1/2035  2,241.93   6/1/2006  379,000.00
145201836  Secondary  Condo - Low     360      348  68.93  5.875   8/1/2005   7/1/2006   7/1/2035  1,738.02   6/1/2006  355,000.00
145203659  Primary    SFR             360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035    861.67   7/1/2006  176,000.00
145218269  Primary    Cooperative     360      351     80  5.875  11/1/2005   7/1/2006  10/1/2035  1,576.46   6/1/2006  322,000.00
145313987  Primary    SFR             360      348     80  5.875   8/1/2005   7/1/2006   7/1/2035  1,895.67   6/1/2006  387,200.00
145331864  Primary    SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035  1,872.66   6/1/2006  382,500.00
145358008  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,116.25   6/1/2006  228,000.00
145363297  Primary    SFR             360      349     80      6   9/1/2005   7/1/2006   8/1/2035  1,007.25   6/1/2006  168,000.00
145368387  Primary    Condo - Low     360      349  72.73      6   9/1/2005   7/1/2006   8/1/2035  2,000.00   6/1/2006  400,000.00
145380846  Primary    SFR             360      349  74.48      6   9/1/2005   7/1/2006   8/1/2035     942.5   6/1/2006  188,800.00
145383386  Secondary  SFR             360      348     70  5.875   8/1/2005   7/1/2006   7/1/2035  1,019.45   6/1/2006  210,000.00
145384905  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035  1,245.50   6/1/2006  254,400.00
145387304  Primary    SFR             360      348     80  5.875   8/1/2005   8/1/2006   7/1/2035    698.73   7/1/2006  142,720.00
145396412  Primary    SFR             360      348     80      6   8/1/2005   8/1/2006   7/1/2035    787.68   7/1/2006  157,600.00
145400255  Primary    SFR             360      350     75  6.125  10/1/2005   7/1/2006   9/1/2035  2,392.47   6/1/2006  393,750.00
145404927  Primary    Cooperative     360      356     75      6   4/1/2006   7/1/2006   3/1/2036  1,293.75   6/1/2006  258,750.00
145437414  Primary    Condo - Low     360      349  79.12  5.875   9/1/2005   7/1/2006   8/1/2035  1,762.50   6/1/2006  360,000.00
145461372  Secondary  SFR             360      348     75  5.875   8/1/2005   7/1/2006   7/1/2035  1,141.93   6/1/2006  233,250.00
145462495  Primary    Condo - Low     360      354     80  6.125   2/1/2006   8/1/2006   1/1/2036  2,187.40   7/1/2006  360,000.00
145486932  Primary    SFR             360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  2,318.83   6/1/2006  392,000.00
145501565  Primary    Condo - Low     360      350     80  5.875  10/1/2005   7/1/2006   9/1/2035  1,468.75   6/1/2006  300,000.00
145512125  Primary    SFR             360      349     80      6   9/1/2005   8/1/2006   8/1/2035  2,040.00   7/1/2006  408,000.00
145521084  Primary    SFR             360      349  44.25  5.875   9/1/2005   7/1/2006   8/1/2035  1,223.96   6/1/2006  250,000.00
145524096  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035    687.37   6/1/2006  140,400.00
145548384  Primary    SFR             360      348  40.83  5.875   8/1/2005   7/1/2006   7/1/2035  1,493.23   6/1/2006  305,000.00
145549689  Primary    SFR             360      349     80  5.875   9/1/2005   7/1/2006   8/1/2035    742.44   6/1/2006  151,648.00
145560017  Primary    Condo - Low     360      352     80  5.875  12/1/2005   8/1/2006  11/1/2035  1,860.42   7/1/2006  380,000.00
145567657  Primary    SFR             360      348   73.4  5.875   8/1/2005   7/1/2006   7/1/2035  1,896.40   6/1/2006  389,000.00
145574307  Primary    2-Family        360      350  73.44   6.25  10/1/2005   7/1/2006   9/1/2035  2,447.66   6/1/2006  470,000.00
145575262  Primary    SFR             360      350   79.9   6.25  10/1/2005   7/1/2006   9/1/2035  1,718.61   6/1/2006  330,000.00
145592705  Primary    SFR             360      348     95  5.875   8/1/2005   7/1/2006   7/1/2035    771.81   6/1/2006  157,700.00
145616199  Primary    Condo - Low     360      349  69.24  5.875   9/1/2005   7/1/2006   8/1/2035  1,559.32   6/1/2006  318,500.00
145653309  Primary    SFR             360      349  73.24  5.875   9/1/2005   7/1/2006   8/1/2035  1,463.34   6/1/2006  301,000.00
 48578736  Primary    SFR             360      355  52.93  5.875   3/1/2006   8/1/2006   2/1/2036    751.34   7/1/2006  153,500.00
 52263217  Primary    SFR             360      359  76.57   5.75   7/1/2006   7/1/2006   6/1/2036  1,998.13   7/1/2006  417,000.00
 54058557  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    837.08   6/1/2006  164,000.00
 54222187  Primary    SFR             360      358  78.02  5.625   6/1/2006   8/1/2006   5/1/2036  2,360.19   7/1/2006  410,000.00
 54349519  Primary    SFR             360      358  66.13   5.75   6/1/2006   7/1/2006   5/1/2036  1,779.90   6/1/2006  305,000.00
 54659644  Primary    Condo - Low     360      358  94.82    5.5   6/1/2006   8/1/2006   5/1/2036    930.36   7/1/2006  203,300.00
 54666581  Primary    SFR             360      358  68.69   5.75   6/1/2006   7/1/2006   5/1/2036  2,433.50   6/1/2006  417,000.00
 55003024  Primary    SFR             360      358     95  6.375   6/1/2006   7/1/2006   5/1/2036  1,301.06   6/1/2006  245,005.00
 56485535  Investor   Condo - Low     360      358     90  6.875   6/1/2006   7/1/2006   5/1/2036  1,106.80   6/1/2006  193,187.00
 56529936  Secondary  Condo - High    360      358     80  5.375   6/1/2006   7/1/2006   5/1/2036  2,105.49   6/1/2006  376,000.00
 57435869  Primary    SFR             360      357     80   5.75   5/1/2006   8/1/2006   4/1/2036  2,242.21   7/1/2006  384,221.00
 57919672  Secondary  Condo - Low     360      358  74.99  5.875   6/1/2006   7/1/2006   5/1/2036  1,101.07   6/1/2006  224,900.00
 61114443  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,449.46   6/1/2006  272,840.00
 61357661  Primary    Condo - Low     360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036  1,125.83   7/1/2006  203,924.00
 61400842  Primary    SFR             360      357     95  6.625   5/1/2006   8/1/2006   4/1/2036  1,826.16   7/1/2006  332,500.00
 61488557  Primary    Condo - Low     360      357  79.84  6.375   5/1/2006   7/1/2006   4/1/2036  1,399.34   6/1/2006  263,405.00
 61708624  Primary    Condo - Low     360      356     80   6.25   4/1/2006   7/1/2006   3/1/2036  1,870.83   6/1/2006  359,200.00
 62036231  Primary    SFR             360      358  79.43  6.375   6/1/2006   7/1/2006   5/1/2036    718.21   6/1/2006  135,192.00
 62050109  Investor   Condo - Low     360      358     90   6.75   6/1/2006   8/1/2006   5/1/2036     848.3   7/1/2006  150,808.00
 62101142  Secondary  Condo - Low     360      358     95  6.375   6/1/2006   8/1/2006   5/1/2036    680.82   7/1/2006  128,155.00
 62548649  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    800.11   6/1/2006  150,608.00
 62676044  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,166.04   6/1/2006  216,000.00
 62725775  Primary    Condo - Low     360      358  73.41   6.25   6/1/2006   8/1/2006   5/1/2036  1,665.58   7/1/2006  320,000.00
 62747282  Primary    Condo - Low     360      358     95  6.375   6/1/2006   7/1/2006   5/1/2036  1,311.68   6/1/2006  246,905.00
 62803101  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,069.83   6/1/2006  209,600.00
 62887617  Secondary  Condo - Low     360      357  79.96   6.25   5/1/2006   8/1/2006   4/1/2036  2,093.44   7/1/2006  340,000.00
 62938576  Primary    Condo - Low     360      357     75  6.375   5/1/2006   8/1/2006   4/1/2036  1,753.13   7/1/2006  330,000.00
 63037857  Investor   SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036       945   6/1/2006  168,000.00
 63048615  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,568.25   6/1/2006  295,200.00
 63079784  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,391.88   6/1/2006  262,000.00
 63098446  Primary    SFR             360      359     80   6.75   7/1/2006   8/1/2006   6/1/2036  2,127.28   7/1/2006  378,183.00
 63131684  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,166.67   6/1/2006  224,000.00
 63138952  Primary    SFR             360      357  44.49  6.125   5/1/2006   7/1/2006   4/1/2036  1,669.06   6/1/2006  327,000.00
 63144265  Primary    Condo - Low     360      357  78.94  6.375   5/1/2006   7/1/2006   4/1/2036  1,970.94   6/1/2006  371,000.00
 63159214  Investor   Condo - Low     360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  1,745.79   6/1/2006  304,720.00
 63211056  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,896.71   6/1/2006  371,600.00
 63223218  Primary    2-Family        360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  2,443.75   6/1/2006  460,000.00
 63248694  Secondary  Condo - Low     360      356  69.56      6   4/1/2006   7/1/2006   3/1/2036  1,105.97   6/1/2006  221,193.00
 63269872  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,279.68   7/1/2006  240,880.00
 63274195  Primary    SFR             360      358   57.2  6.125   6/1/2006   7/1/2006   5/1/2036  1,459.79   6/1/2006  286,000.00
 63278543  Primary    SFR             360      358  53.33  6.125   6/1/2006   7/1/2006   5/1/2036  2,041.67   6/1/2006  400,000.00
 63405096  Primary    SFR             360      357   75.2   6.25   5/1/2006   7/1/2006   4/1/2036  1,468.75   6/1/2006  282,000.00
 63411904  Primary    SFR             360      357     80  6.125   5/1/2006   8/1/2006   4/1/2036  1,020.57   7/1/2006  200,000.00
 63438378  Primary    SFR             360      357     95    6.5   5/1/2006   7/1/2006   4/1/2036  1,605.50   6/1/2006  296,400.00
 63463368  Primary    SFR             360      358   26.6  6.375   6/1/2006   7/1/2006   5/1/2036    779.84   6/1/2006  125,000.00
 63488811  Primary    2-Family        360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  2,705.25   7/1/2006  428,000.00
 63504963  Primary    Condo - Low     360      357   30.1   6.75   5/1/2006   7/1/2006   4/1/2036  1,125.00   6/1/2006  200,000.00
 63506422  Secondary  SFR             360      358     70  6.375   6/1/2006   7/1/2006   5/1/2036  2,351.68   6/1/2006  376,950.00
 63549679  Investor   4-Family        360      358  78.36  6.875   6/1/2006   7/1/2006   5/1/2036  2,733.96   6/1/2006  478,000.00
 63552079  Primary    Condo - Low     360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036    778.71   6/1/2006  135,920.00
 63564207  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036    833.33   6/1/2006  160,000.00
 63590368  Primary    SFR             360      359   62.5    6.5   7/1/2006   8/1/2006   6/1/2036  1,895.83   7/1/2006  350,000.00
 63590426  Primary    SFR             360      358     90   6.75   6/1/2006   7/1/2006   5/1/2036  1,518.75   6/1/2006  270,000.00
 63644256  Investor   Condo - Low     360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036    640.29   6/1/2006  111,760.00
 63676316  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,425.96   6/1/2006  273,784.00
 63689434  Secondary  SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  2,098.99   6/1/2006  396,000.00
 63696496  Primary    Condo - Low     360      358     85      6   6/1/2006   7/1/2006   5/1/2036  1,508.75   6/1/2006  301,750.00
 63700967  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036  1,113.50   7/1/2006  209,600.00
 63728919  Secondary  Condo - Low     360      358  53.85   6.25   6/1/2006   7/1/2006   5/1/2036  2,155.01   6/1/2006  350,000.00
 63738058  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    898.33   6/1/2006  176,000.00
 63747125  Primary    SFR             360      357     80  6.125   5/1/2006   8/1/2006   4/1/2036  1,197.78   7/1/2006  234,668.00
 63749378  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  2,253.33   6/1/2006  416,000.00
 63762041  Secondary  SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  2,203.45   6/1/2006  440,800.00
 63763932  Primary    SFR             360      358  93.15  6.375   6/1/2006   9/1/2006   5/1/2036  1,223.36   8/1/2006  231,000.00
 63766802  Primary    SFR             360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036  1,260.38   6/1/2006  220,000.00
 63805642  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,593.74   6/1/2006  300,080.00
 63816565  Secondary  Condo - Low     360      358     75    6.5   6/1/2006   7/1/2006   5/1/2036     948.1   6/1/2006  150,000.00
 63821631  Primary    Condo - Low     360      357  61.29   6.25   5/1/2006   8/1/2006   4/1/2036  1,484.37   7/1/2006  285,000.00
 63829071  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,102.46   7/1/2006  212,000.00
 63838437  Investor   4-Family        360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  2,605.83   6/1/2006  472,000.00
 63842959  Primary    Condo - High    360      357  77.16   6.25   5/1/2006   7/1/2006   4/1/2036  1,808.46   6/1/2006  347,225.00
 63848147  Primary    Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036    560.47   6/1/2006  101,520.00
 63860134  Secondary  SFR             360      358  70.23   6.75   6/1/2006   8/1/2006   5/1/2036  1,277.74   7/1/2006  197,000.00
 63871032  Primary    SFR             360      359     80    6.5   7/1/2006   7/1/2006   6/1/2036    769.17   7/1/2006  142,000.00
 63871693  Primary    SFR             360      358  77.94   6.25   6/1/2006   7/1/2006   5/1/2036  2,171.73   6/1/2006  417,000.00
 63875702  Primary    SFR             360      358  75.49   6.25   6/1/2006   7/1/2006   5/1/2036  2,004.17   6/1/2006  385,000.00
 63883102  Investor   SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,700.00   6/1/2006  320,000.00
 63888549  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  1,451.13   7/1/2006  268,000.00
 63926521  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  2,050.17   6/1/2006  401,666.00
 63933287  Primary    SFR             360      357  89.88    6.5   5/1/2006   7/1/2006   4/1/2036  2,020.42   6/1/2006  373,000.00
 63937775  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,516.67   6/1/2006  280,000.00
 63943583  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036    953.33   6/1/2006  176,000.00
 63957997  Primary    SFR             360      358  63.72    6.5   6/1/2006   8/1/2006   5/1/2036  1,944.99   7/1/2006  360,000.00
 63964647  Secondary  Condo - Low     360      358  61.76   6.25   6/1/2006   7/1/2006   5/1/2036  1,640.62   6/1/2006  315,000.00
 63970206  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,742.08   6/1/2006  327,920.00
 63970719  Primary    SFR             360      358     75    6.5   6/1/2006   8/1/2006   5/1/2036  2,131.73   7/1/2006  393,750.00
 63983092  Primary    SFR             360      358  76.81   6.25   6/1/2006   8/1/2006   5/1/2036  1,379.88   7/1/2006  265,000.00
 64017916  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  2,058.33   6/1/2006  380,000.00
 64034499  Primary    SFR             360      358  72.73   6.75   6/1/2006   8/1/2006   5/1/2036  2,250.00   7/1/2006  400,000.00
 64035868  Primary    SFR             360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036  2,205.00   6/1/2006  392,000.00
 64036601  Primary    SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  1,787.50   6/1/2006  312,000.00
 64049646  Primary    SFR             360      358  89.81  6.875   6/1/2006   7/1/2006   5/1/2036  1,367.55   6/1/2006  238,900.00
 64056484  Investor   SFR             360      358  63.73  6.625   6/1/2006   7/1/2006   5/1/2036  1,794.27   6/1/2006  325,000.00
 64080229  Primary    Condo - High    360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  2,040.00   6/1/2006  384,000.00
 64095011  Primary    Condo - Low     360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036    511.33   7/1/2006   94,400.00
 64108475  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,168.33   6/1/2006  219,920.00
 64112014  Primary    SFR             360      357     95    6.5   5/1/2006   7/1/2006   4/1/2036  1,697.58   6/1/2006  313,400.00
 64121783  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,871.44   6/1/2006  308,000.00
 64129752  Secondary  Condo - Low     360      358     95  6.375   6/1/2006   8/1/2006   5/1/2036  1,311.38   7/1/2006  246,848.00
 64145212  Primary    SFR             360      358     90   6.75   6/1/2006   8/1/2006   5/1/2036    900.86   7/1/2006  160,200.00
 64161334  Primary    Condo - High    360      357     57  5.875   5/1/2006   7/1/2006   4/1/2036    845.51   6/1/2006  172,700.00
 64162704  Primary    2-Family        360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  2,462.87   7/1/2006  400,000.00
 64169808  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,020.83   6/1/2006  196,000.00
 64170111  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036    829.19   6/1/2006  156,082.00
 64180755  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,729.34   6/1/2006  273,600.00
 64185705  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,243.23   6/1/2006  229,520.00
 64187362  Primary    SFR             360      358     72   6.25   6/1/2006   7/1/2006   5/1/2036  1,312.50   6/1/2006  252,000.00
 64189293  Primary    Condo - Low     360      358     95   6.75   6/1/2006   8/1/2006   5/1/2036  1,618.62   7/1/2006  287,755.00
 64192362  Secondary  SFR             360      358     78  6.375   6/1/2006   7/1/2006   5/1/2036  1,450.31   6/1/2006  273,000.00
 64194897  Secondary  Condo - High    360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036    494.55   6/1/2006   87,920.00
 64198666  Primary    Condo - Low     360      357     95   6.25   5/1/2006   7/1/2006   4/1/2036    677.37   6/1/2006  130,055.00
 64210644  Secondary  SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  1,487.80   6/1/2006  260,000.00
 64210735  Primary    Condo - Low     360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036    678.29   6/1/2006  118,392.00
 64216641  Secondary  SFR             360      358     75   6.75   6/1/2006   7/1/2006   5/1/2036    603.28   6/1/2006  107,250.00
 64222441  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  2,166.67   6/1/2006  400,000.00
 64227853  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036    755.83   6/1/2006  145,120.00
 64239056  Primary    SFR             360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036  1,794.23   7/1/2006  374,448.00
 64245251  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,332.08   6/1/2006  255,760.00
 64249154  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036    665.38   6/1/2006  118,320.00
 64255169  Secondary  Condo - Low     360      357  78.51    6.5   5/1/2006   7/1/2006   4/1/2036     644.9   6/1/2006  119,058.95
 64257223  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036  1,229.40   7/1/2006  192,000.00
 64262124  Primary    Condo - High    360      358  79.59   6.25   6/1/2006   7/1/2006   5/1/2036    507.81   6/1/2006   97,500.00
 64266737  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    808.54   6/1/2006  129,600.00
 64266976  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,806.25   6/1/2006  340,000.00
 64270358  Secondary  SFR             360      358  51.28  6.625   6/1/2006   8/1/2006   5/1/2036  1,656.25   7/1/2006  300,000.00
 64273865  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036    978.29   6/1/2006  177,200.00
 64280738  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,950.00   6/1/2006  360,000.00
 64290455  Investor   SFR             360      358     80  7.125   6/1/2006   8/1/2006   5/1/2036       912   7/1/2006  153,600.00
 64293855  Primary    Condo - Low     360      358  78.62  6.375   6/1/2006   7/1/2006   5/1/2036    976.97   6/1/2006  183,900.00
 64295983  Secondary  Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036    571.57   6/1/2006  105,520.00
 64310055  Secondary  Condo - Low     360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036     809.9   7/1/2006  149,520.00
 64312291  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036  1,658.77   7/1/2006  300,760.00
 64324635  Secondary  Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,145.83   6/1/2006  220,000.00
 64325459  Primary    Condo - Low     360      358  77.46    6.5   6/1/2006   7/1/2006   5/1/2036  1,191.67   6/1/2006  220,000.00
 64328628  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,100.75   6/1/2006  207,200.00
 64339815  Primary    Condo - High    360      358  79.99   6.25   6/1/2006   7/1/2006   5/1/2036    791.15   6/1/2006  151,900.00
 64340151  Primary    Condo - Low     360      358  54.91  6.375   6/1/2006   8/1/2006   5/1/2036    770.31   7/1/2006  151,000.00
 64340375  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036    972.75   6/1/2006  190,580.00
 64348436  Primary    SFR             360      358  65.46    6.5   6/1/2006   7/1/2006   5/1/2036     957.4   6/1/2006  176,750.00
 64354095  Primary    SFR             360      359     80    6.5   7/1/2006   7/1/2006   6/1/2036  1,906.67   7/1/2006  352,000.00
 64369192  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  2,058.33   6/1/2006  380,000.00
 64369531  Secondary  SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036    875.42   6/1/2006  168,080.00
 64374077  Primary    SFR             360      359     80  6.375   7/1/2006   7/1/2006   6/1/2036  1,848.75   7/1/2006  348,000.00
 64375314  Secondary  SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    828.74   6/1/2006  156,000.00
 64377765  Primary    Condo - Low     360      357  79.98   6.75   5/1/2006   7/1/2006   4/1/2036  1,384.88   6/1/2006  246,200.00
 64381411  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,239.33   6/1/2006  228,800.00
 64382005  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,409.37   6/1/2006  271,200.00
 64394117  Primary    Condo - High    360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036    829.83   6/1/2006  153,200.00
 64401698  Primary    Condo - Low     360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036    618.29   6/1/2006  107,920.00
 64405707  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  2,143.06   7/1/2006  404,400.00
 64406184  Investor   4-Family        360      358  73.91   6.75   6/1/2006   7/1/2006   5/1/2036    956.25   6/1/2006  170,000.00
 64406234  Primary    Condo - High    360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,653.75   6/1/2006  324,000.00
 64408016  Primary    SFR             360      357  32.97    6.5   5/1/2006   7/1/2006   4/1/2036  1,625.00   6/1/2006  300,000.00
 64408826  Investor   4-Family        360      358  73.91   6.75   6/1/2006   7/1/2006   5/1/2036    956.25   6/1/2006  170,000.00
 64422421  Primary    SFR             360      358  73.33   6.25   6/1/2006   8/1/2006   5/1/2036  1,432.29   7/1/2006  275,000.00
 64428956  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,394.00   6/1/2006  262,400.00
 64432313  Primary    SFR             360      358  77.11    6.5   6/1/2006   7/1/2006   5/1/2036  1,733.33   6/1/2006  320,000.00
 64454002  Primary    Condo - Low     360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    518.37   7/1/2006   97,600.00
 64457781  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  1,011.83   7/1/2006  186,800.00
 64463896  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,646.67   6/1/2006  304,000.00
 64471964  Primary    SFR             360      358  79.27    6.5   6/1/2006   7/1/2006   5/1/2036  2,000.92   6/1/2006  369,400.00
 64478936  Primary    SFR             360      358  76.19  6.625   6/1/2006   7/1/2006   5/1/2036  2,208.33   6/1/2006  400,000.00
 64480841  Primary    2-Family        360      358   60.5   6.25   6/1/2006   9/1/2006   5/1/2036  2,473.02   8/1/2006  484,000.00
 64489727  Primary    SFR             360      358  76.09    6.5   6/1/2006   8/1/2006   5/1/2036  1,895.83   7/1/2006  350,000.00
 64494354  Secondary  Condo - Low     360      358     80  6.875   6/1/2006   8/1/2006   5/1/2036    623.29   7/1/2006  108,792.00
 64499742  Primary    SFR             360      358  70.58    6.5   6/1/2006   7/1/2006   5/1/2036  1,987.92   6/1/2006  367,000.00
 64503394  Primary    Condo - Low     360      359     80  5.875   7/1/2006   7/1/2006   6/1/2036  1,184.79   7/1/2006  242,000.00
 64505506  Secondary  Condo - Low     360      358     80   5.75   6/1/2006   9/1/2006   5/1/2036  1,078.05   8/1/2006  224,984.00
 64514094  Primary    Condo - Low     360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036    751.21   6/1/2006  131,120.00
 64523947  Primary    SFR             360      358  24.34  6.625   6/1/2006   7/1/2006   5/1/2036  1,021.35   6/1/2006  185,000.00
 64525579  Secondary  Condo - Low     360      358   56.6  6.375   6/1/2006   7/1/2006   5/1/2036  1,871.61   6/1/2006  300,000.00
 64526726  Primary    SFR             360      358  79.95  6.625   6/1/2006   7/1/2006   5/1/2036  2,075.83   6/1/2006  376,000.00
 64534118  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,357.92   6/1/2006  260,720.00
 64535701  Primary    SFR             360      358  55.05  6.375   6/1/2006   7/1/2006   5/1/2036  1,360.00   6/1/2006  256,000.00
 64543911  Primary    SFR             360      358     95   6.75   6/1/2006   8/1/2006   5/1/2036    639.47   7/1/2006  113,715.00
 64569882  Primary    SFR             360      358  68.18   6.75   6/1/2006   7/1/2006   5/1/2036  1,687.45   6/1/2006  300,000.00
 64577828  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,133.77   6/1/2006  213,416.00
 64585789  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,122.92   6/1/2006  220,000.00
 64586985  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,553.38   6/1/2006  292,400.00
 64591654  Primary    SFR             360      358     70  6.375   6/1/2006   8/1/2006   5/1/2036  1,877.71   7/1/2006  353,500.00
 64591779  Investor   SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  1,054.17   6/1/2006  184,000.00
 64622541  Primary    Condo - Low     360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,188.25   6/1/2006  232,800.00
 64623663  Secondary  Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,020.92   6/1/2006  161,520.00
 64627821  Investor   SFR             360      358     70   6.75   6/1/2006   8/1/2006   5/1/2036  1,003.39   7/1/2006  178,430.00
 64646888  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,256.67   6/1/2006  232,000.00
 64652019  Investor   2-Family        360      358  57.97    6.5   6/1/2006   7/1/2006   5/1/2036  2,166.67   6/1/2006  400,000.00
 64655103  Primary    SFR             360      358  69.17    6.5   6/1/2006   7/1/2006   5/1/2036  2,247.92   6/1/2006  415,000.00
 64656879  Primary    Condo - Low     360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036    737.55   6/1/2006  131,120.00
 64665466  Primary    SFR             360      358  50.62    6.5   6/1/2006   7/1/2006   5/1/2036  1,548.63   6/1/2006  286,000.00
 64677396  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,236.22   6/1/2006  223,920.00
 64682321  Secondary  SFR             360      358     70  6.625   6/1/2006   7/1/2006   5/1/2036    792.24   6/1/2006  143,500.00
 64685787  Primary    Condo - Low     360      358     78  6.625   6/1/2006   8/1/2006   5/1/2036  1,323.96   7/1/2006  239,811.00
 64691546  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  2,210.00   6/1/2006  416,000.00
 64698392  Primary    Condo - Low     360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036    661.05   6/1/2006  117,520.00
 64725583  Primary    Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036    816.64   6/1/2006  147,920.00
 64759293  Primary    SFR             360      358     95    6.5   6/1/2006   9/1/2006   5/1/2036    577.15   8/1/2006  107,350.00
 64789902  Primary    Condo - Low     360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036    841.25   7/1/2006  161,520.00
 64792849  Primary    SFR             360      359  79.79   6.75   7/1/2006   8/1/2006   6/1/2036    843.75   7/1/2006  150,000.00
 64794704  Primary    Condo - Low     360      358     95  6.875   6/1/2006   7/1/2006   5/1/2036  1,065.14   6/1/2006  185,915.00
 64815517  Primary    Condo - Low     360      358     75  6.375   6/1/2006   7/1/2006   5/1/2036  1,832.81   6/1/2006  345,000.00
 64815749  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,562.50   6/1/2006  300,000.00
 64830698  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,093.21   6/1/2006  209,897.00
 64845175  Secondary  SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,121.21   6/1/2006  175,104.00
 64848682  Primary    SFR             360      358  72.82    6.5   6/1/2006   7/1/2006   5/1/2036  2,031.25   6/1/2006  375,000.00
 64849524  Primary    SFR             360      358     80   6.25   6/1/2006   9/1/2006   5/1/2036  1,354.58   8/1/2006  220,000.00
 64850902  Primary    SFR             360      358   37.5    6.5   6/1/2006   7/1/2006   5/1/2036  1,218.75   6/1/2006  225,000.00
 64859986  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,896.56   6/1/2006  304,000.00
 64868052  Primary    SFR             360      359     80   6.25   7/1/2006   7/1/2006   6/1/2036  1,133.33   7/1/2006  217,600.00
 64902471  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  2,002.05   6/1/2006  355,920.00
 64911811  Primary    SFR             360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  2,351.25   6/1/2006  410,400.00
 64950181  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,682.33   6/1/2006  329,600.00
 64952989  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  2,017.84   6/1/2006  395,332.00
 64953565  Primary    SFR             360      358  74.74  6.875   6/1/2006   8/1/2006   5/1/2036  2,332.10   7/1/2006  355,000.00
 64960339  Primary    Condo - Low     360      358  79.64   5.75   6/1/2006   8/1/2006   5/1/2036    762.83   7/1/2006  159,200.00
 64975006  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036       864   6/1/2006  153,600.00
 65013294  Primary    SFR             360      359     80  6.125   7/1/2006   8/1/2006   6/1/2036  1,204.58   7/1/2006  236,000.00
 65022352  Primary    SFR             360      358  79.99  6.375   6/1/2006   7/1/2006   5/1/2036  1,495.47   6/1/2006  281,500.00
 65029753  Secondary  SFR             360      359     80  6.625   7/1/2006   8/1/2006   6/1/2036  2,208.33   7/1/2006  400,000.00
 65083628  Primary    Condo - High    360      358     80      6   6/1/2006   7/1/2006   5/1/2036    922.82   6/1/2006  184,588.00
 65116758  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036    879.75   7/1/2006  165,600.00
 65159469  Primary    SFR             360      358  78.72  6.375   6/1/2006   7/1/2006   5/1/2036  1,965.09   6/1/2006  369,900.00
 65320921  Primary    Condo - Low     360      359     80      7   7/1/2006   8/1/2006   6/1/2036       658   7/1/2006  112,800.00
146187711  Primary    SFR             360      358  94.99  4.875   6/1/2006   7/1/2006   5/1/2036  1,357.89   6/1/2006  334,750.00
146532981  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036       954   7/1/2006  172,800.00
147160857  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,204.17   6/1/2006  231,200.00
147286611  Primary    Condo - Low     360      358  79.99  6.125   6/1/2006   8/1/2006   5/1/2036  1,923.25   7/1/2006  376,800.00
149122251  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,377.00   6/1/2006  259,200.00
149386468  Primary    Cooperative     360      357  63.24  6.125   5/1/2006   7/1/2006   4/1/2036  2,041.67   6/1/2006  400,000.00
149445793  Primary    SFR             360      358  70.74  6.125   6/1/2006   8/1/2006   5/1/2036  1,010.63   7/1/2006  198,000.00
149866675  Secondary  Condo - Low     360      359     80   6.75   7/1/2006   8/1/2006   6/1/2036    697.46   7/1/2006  123,992.00
150147536  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  2,166.67   6/1/2006  416,000.00
150334522  Primary    SFR             360      357     80   5.75   5/1/2006   7/1/2006   4/1/2036    899.88   6/1/2006  188,000.00
150390086  Primary    SFR             360      355     80    6.5   3/1/2006   8/1/2006   2/1/2036  1,733.33   7/1/2006  320,000.00
150446524  Primary    SFR             360      357  30.89    5.5   5/1/2006   7/1/2006   4/1/2036    870.83   6/1/2006  190,000.00
150473643  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,581.67   6/1/2006  292,000.00
150480499  Primary    SFR             360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036  1,530.00   6/1/2006  272,000.00
150545697  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,062.07   6/1/2006  203,920.00
150552636  Primary    SFR             360      356     80  6.125   4/1/2006   7/1/2006   3/1/2036    698.25   6/1/2006  136,800.00
150563419  Investor   SFR             360      356  59.83    6.5   4/1/2006   7/1/2006   3/1/2036  1,944.06   6/1/2006  359,000.00
150592764  Secondary  Condo - Low     360      358     95  6.875   6/1/2006   8/1/2006   5/1/2036  1,060.78   7/1/2006  185,155.00
150662062  Primary    SFR             360      358     75    6.5   6/1/2006   7/1/2006   5/1/2036  1,401.56   6/1/2006  258,750.00
150662377  Primary    SFR             360      358  75.44  6.125   6/1/2006   8/1/2006   5/1/2036  1,732.86   7/1/2006  339,500.00
150672699  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036    843.75   6/1/2006  150,000.00
150705051  Primary    Condo - Low     360      359  67.11  6.125   7/1/2006   7/1/2006   6/1/2036  1,541.46   7/1/2006  302,000.00
150719474  Investor   Condo - Low     360      358     75   6.25   6/1/2006   7/1/2006   5/1/2036  1,709.94   6/1/2006  328,312.00
150768877  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,555.67   6/1/2006  287,200.00
150773893  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036     562.5   7/1/2006  108,000.00
150782167  Primary    SFR             360      356     80  6.375   4/1/2006   7/1/2006   3/1/2036    700.56   6/1/2006  132,000.00
150801074  Primary    SFR             360      357     80      6   5/1/2006   7/1/2006   4/1/2036  1,263.00   6/1/2006  252,600.00
150807683  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036    817.08   6/1/2006  148,000.00
150824902  Primary    Condo - Low     360      357     80    6.5   5/1/2006   9/1/2006   4/1/2036  2,231.67   8/1/2006  412,000.00
150830859  Primary    SFR             360      357  59.67   6.25   5/1/2006   8/1/2006   4/1/2036  1,701.59   7/1/2006  327,000.00
150841583  Secondary  SFR             360      357     90   6.75   5/1/2006   7/1/2006   4/1/2036    599.91   6/1/2006  106,650.00
150855641  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  1,414.60   6/1/2006  251,485.00
150863686  Primary    Condo - Low     360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036    886.65   7/1/2006  160,800.00
150867133  Primary    Condo - High    360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036  1,373.14   7/1/2006  248,720.00
150871135  Primary    SFR             360      357     80  5.875   5/1/2006   7/1/2006   4/1/2036  1,620.52   6/1/2006  332,000.00
150872141  Primary    SFR             360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036  1,211.93   7/1/2006  228,127.00
150877884  Primary    SFR             360      358     80      6   6/1/2006   8/1/2006   5/1/2036  1,680.00   7/1/2006  336,000.00
150880425  Primary    SFR             360      357  78.93  6.125   5/1/2006   7/1/2006   4/1/2036  1,281.15   6/1/2006  251,000.00
150885051  Primary    SFR             360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036    736.23   7/1/2006  135,920.00
150890002  Primary    SFR             360      357  78.38  6.125   5/1/2006   7/1/2006   4/1/2036  2,072.29   6/1/2006  406,000.00
150903128  Primary    Condo - Low     360      358  79.86  6.375   6/1/2006   7/1/2006   5/1/2036  1,789.84   6/1/2006  337,000.00
150914935  Primary    SFR             360      357  70.66  6.375   5/1/2006   8/1/2006   4/1/2036  1,190.00   7/1/2006  224,000.00
150937936  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    531.25   6/1/2006  100,000.00
150938173  Investor   SFR             360      356  72.22   6.25   4/1/2006   8/1/2006   3/1/2036  1,286.46   7/1/2006  247,000.00
150938801  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,851.79   6/1/2006  362,800.00
150950277  Primary    Cooperative     360      358   79.7  6.625   6/1/2006   7/1/2006   5/1/2036  1,188.08   6/1/2006  215,200.00
150963262  Investor   Condo - Low     360      358     90  6.875   6/1/2006   7/1/2006   5/1/2036    742.45   6/1/2006  129,591.00
150964963  Primary    SFR             360      357  56.49  6.125   5/1/2006   7/1/2006   4/1/2036  1,388.33   6/1/2006  272,000.00
150975019  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,392.42   6/1/2006  272,800.00
150984169  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  2,317.50   6/1/2006  412,000.00
150989564  Primary    SFR             360      357  72.74  6.625   5/1/2006   7/1/2006   4/1/2036  2,208.33   6/1/2006  400,000.00
150994317  Secondary  Condo - Low     360      357     80  6.375   5/1/2006   8/1/2006   4/1/2036  1,296.25   7/1/2006  244,000.00
151001971  Secondary  Condo - Low     360      357  74.79   6.75   5/1/2006   7/1/2006   4/1/2036  1,535.62   6/1/2006  273,000.00
151003464  Primary    SFR             360      357  79.98  6.875   5/1/2006   7/1/2006   4/1/2036  1,044.71   6/1/2006  182,350.00
151010287  Investor   SFR             360      358  38.17    6.5   6/1/2006   8/1/2006   5/1/2036    467.38   7/1/2006   87,800.00
151011541  Primary    SFR             360      357     75      6   5/1/2006   7/1/2006   4/1/2036  1,998.75   6/1/2006  399,750.00
151018603  Investor   SFR             360      356     90  6.875   4/1/2006   7/1/2006   3/1/2036  1,030.35   6/1/2006  179,843.00
151024551  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,637.37   7/1/2006  314,400.00
151025681  Secondary  SFR             360      357  71.98  6.875   5/1/2006   7/1/2006   4/1/2036    802.38   6/1/2006  140,051.00
151029006  Investor   PUD Detached    360      356     90      7   4/1/2006   7/1/2006   3/1/2036     892.5   6/1/2006  153,000.00
151030764  Primary    SFR             360      357  76.59    6.5   5/1/2006   8/1/2006   4/1/2036  1,887.71   7/1/2006  348,500.00
151047594  Secondary  Condo - Low     360      357     80   6.25   5/1/2006   8/1/2006   4/1/2036    844.27   7/1/2006  162,100.00
151049277  Investor   SFR             360      357  89.99  6.875   5/1/2006   7/1/2006   4/1/2036    551.15   6/1/2006   96,200.00
151057171  Primary    SFR             360      357     80  6.625   5/1/2006   7/1/2006   4/1/2036  1,002.58   6/1/2006  181,600.00
151060746  Primary    SFR             360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036  1,501.67   7/1/2006  272,000.00
151065539  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,687.50   6/1/2006  324,000.00
151065877  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,784.47   6/1/2006  335,900.00
151066354  Primary    Condo - High    360      359     80   6.25   7/1/2006   8/1/2006   6/1/2036    724.04   7/1/2006  139,016.00
151066875  Investor   SFR             360      358  84.09  6.625   6/1/2006   8/1/2006   5/1/2036  1,634.17   7/1/2006  296,000.00
151077401  Primary    SFR             360      357     80  5.875   5/1/2006   8/1/2006   4/1/2036  1,357.12   7/1/2006  277,200.00
151092806  Secondary  Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,384.94   6/1/2006  265,908.00
151098654  Investor   SFR             360      357     90  7.125   5/1/2006   7/1/2006   4/1/2036  1,870.31   6/1/2006  315,000.00
151100849  Primary    SFR             360      357     80    6.5   5/1/2006   8/1/2006   4/1/2036  1,724.67   7/1/2006  318,400.00
151104502  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    795.83   6/1/2006  152,800.00
151108651  Primary    SFR             360      357  69.31   6.75   5/1/2006   7/1/2006   4/1/2036  1,968.75   6/1/2006  350,000.00
151110921  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,812.50   6/1/2006  348,000.00
151114295  Primary    Condo - Low     360      357     80  6.625   5/1/2006   8/1/2006   4/1/2036  2,181.83   7/1/2006  395,200.00
151125135  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,232.50   6/1/2006  232,000.00
151127388  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  1,439.38   6/1/2006  282,000.00
151128444  Primary    SFR             360      357  48.27    6.5   5/1/2006   7/1/2006   4/1/2036    677.08   6/1/2006  125,500.00
151133881  Primary    SFR             360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  1,551.25   7/1/2006  292,000.00
151134855  Primary    SFR             360      357     75      7   5/1/2006   7/1/2006   4/1/2036    984.37   6/1/2006  168,750.00
151139516  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    515.14   6/1/2006   99,200.00
151143732  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  2,166.67   6/1/2006  416,000.00
151144631  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,014.63   6/1/2006  191,120.00
151148244  Primary    SFR             360      357     85  6.375   5/1/2006   7/1/2006   4/1/2036  1,313.59   6/1/2006  247,350.00
151157351  Primary    SFR             360      358     75    6.5   6/1/2006   8/1/2006   5/1/2036  1,949.73   7/1/2006  360,000.00
151166915  Primary    Condo - Low     360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,741.67   6/1/2006  334,400.00
151169893  Secondary  SFR             360      358  78.95    6.5   6/1/2006   7/1/2006   5/1/2036       975   6/1/2006  180,000.00
151170206  Primary    SFR             360      358  64.74   6.75   6/1/2006   7/1/2006   5/1/2036  1,729.69   6/1/2006  307,500.00
151170529  Secondary  SFR             360      357  74.46  6.875   5/1/2006   8/1/2006   4/1/2036  2,389.06   7/1/2006  417,000.00
151189701  Primary    SFR             360      359     80  5.875   7/1/2006   8/1/2006   6/1/2036    983.08   7/1/2006  200,800.00
151198082  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,848.75   6/1/2006  348,000.00
151209681  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,447.33   6/1/2006  267,200.00
151214145  Secondary  SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036     718.9   6/1/2006  132,720.00
151220746  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,270.83   7/1/2006  244,000.00
151225596  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,124.58   6/1/2006  215,920.00
151227766  Primary    Condo - High    360      359     80  6.375   7/1/2006   8/1/2006   6/1/2036  1,338.75   7/1/2006  252,000.00
151236197  Primary    SFR             360      357  79.99   6.25   5/1/2006   7/1/2006   4/1/2036  1,778.91   6/1/2006  341,550.00
151241254  Secondary  SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,508.20   6/1/2006  283,896.00
151246436  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,700.00   6/1/2006  326,400.00
151247921  Primary    SFR             360      357  79.67    6.5   5/1/2006   7/1/2006   4/1/2036  2,123.33   6/1/2006  392,000.00
151248044  Investor   2-Family        360      357     90      7   5/1/2006   7/1/2006   4/1/2036    771.52   6/1/2006  132,300.00
151248689  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  2,125.00   6/1/2006  400,000.00
151258654  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036    719.97   6/1/2006  128,000.00
151266434  Investor   Condo - Low     360      358     80   6.75   6/1/2006   8/1/2006   5/1/2036       765   7/1/2006  136,000.00
151289097  Primary    SFR             360      358   79.9   6.25   6/1/2006   8/1/2006   5/1/2036  1,628.54   7/1/2006  312,720.00
151301512  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,060.00   6/1/2006  192,000.00
151307576  Primary    SFR             360      358     80   6.75   6/1/2006   8/1/2006   5/1/2036  1,579.50   7/1/2006  280,800.00
151311453  Investor   Condo - Low     360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036    831.62   6/1/2006  147,842.00
151322377  Primary    SFR             360      358     80      7   6/1/2006   7/1/2006   5/1/2036  1,290.33   6/1/2006  221,200.00
151327038  Primary    SFR             360      358  74.77    6.5   6/1/2006   8/1/2006   5/1/2036  2,166.67   7/1/2006  400,000.00
151335684  Primary    Condo - Low     360      358     80    6.5   6/1/2006   9/1/2006   5/1/2036  1,278.33   8/1/2006  236,000.00
151337813  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036    824.83   6/1/2006  161,600.00
151338274  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036     715.5   7/1/2006  129,600.00
151338662  Investor   2-Family        360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036  1,126.25   7/1/2006  204,000.00
151341708  Primary    SFR             360      358  76.97   7.25   6/1/2006   7/1/2006   5/1/2036  2,301.88   6/1/2006  381,000.00
151344876  Primary    SFR             360      358  79.22   6.75   6/1/2006   7/1/2006   5/1/2036  1,479.37   6/1/2006  263,000.00
151358587  Primary    SFR             360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036  1,970.83   6/1/2006  344,000.00
151361813  Primary    SFR             360      357     72   6.75   5/1/2006   7/1/2006   4/1/2036  2,018.64   6/1/2006  360,000.00
151365673  Primary    SFR             360      357     80      7   5/1/2006   7/1/2006   4/1/2036  2,170.00   6/1/2006  372,000.00
151368982  Primary    SFR             360      358  73.81    6.5   6/1/2006   8/1/2006   5/1/2036  2,258.75   7/1/2006  417,000.00
151372711  Primary    Condo - Low     360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,187.50   6/1/2006  228,000.00
151372729  Primary    SFR             360      357     80    6.5   5/1/2006   7/1/2006   4/1/2036  1,798.33   6/1/2006  332,000.00
151376191  Primary    2-Family        360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,170.00   6/1/2006  216,000.00
151384252  Primary    Condo - Low     360      357     80      7   5/1/2006   7/1/2006   4/1/2036    816.67   6/1/2006  140,000.00
151389848  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036     913.9   6/1/2006  168,720.00
151390069  Primary    SFR             360      357  63.64   6.75   5/1/2006   7/1/2006   4/1/2036  1,811.25   6/1/2006  322,000.00
151390747  Primary    SFR             360      358     80  5.625   6/1/2006   9/1/2006   5/1/2036  1,776.56   8/1/2006  380,000.00
151393113  Primary    SFR             360      357     95  6.625   5/1/2006   7/1/2006   4/1/2036     906.8   6/1/2006  164,350.00
151413937  Primary    Condo - High    360      358  79.35  6.375   6/1/2006   8/1/2006   5/1/2036  1,346.85   7/1/2006  253,525.00
151414489  Primary    SFR             360      358     80      6   6/1/2006   7/1/2006   5/1/2036  2,060.00   6/1/2006  412,000.00
151414497  Primary    SFR             360      359     80   6.25   7/1/2006   8/1/2006   6/1/2036  1,437.50   7/1/2006  276,000.00
151418597  Primary    SFR             360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036  1,541.16   6/1/2006  290,400.00
151423274  Primary    SFR             360      358  50.08  5.875   6/1/2006   7/1/2006   5/1/2036  1,468.75   6/1/2006  300,000.00
151426251  Primary    SFR             360      357     80  6.125   5/1/2006   7/1/2006   4/1/2036  2,013.08   6/1/2006  394,400.00
151428539  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036  1,208.33   6/1/2006  232,000.00
151429784  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,912.50   7/1/2006  367,200.00
151432846  Primary    2-Family        360      358  88.87    6.5   6/1/2006   7/1/2006   5/1/2036  1,877.42   6/1/2006  346,600.00
151433125  Primary    SFR             360      358  55.71   6.75   6/1/2006   7/1/2006   5/1/2036  1,096.88   6/1/2006  195,000.00
151443918  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,754.12   6/1/2006  344,000.00
151444494  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,161.58   6/1/2006  210,400.00
151445723  Primary    Condo - Low     360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  2,025.00   6/1/2006  360,000.00
151453099  Investor   SFR             360      358     65   6.75   6/1/2006   7/1/2006   5/1/2036  1,151.72   6/1/2006  204,750.00
151458106  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,683.33   6/1/2006  304,905.00
151459138  Primary    SFR             360      358     80   6.25   6/1/2006   7/1/2006   5/1/2036  1,703.91   6/1/2006  327,200.00
151461829  Investor   Condo - Low     360      357     80   6.75   5/1/2006   7/1/2006   4/1/2036    584.86   6/1/2006  104,000.00
151464856  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  2,166.67   7/1/2006  400,000.00
151465697  Primary    SFR             360      358  76.25   6.75   6/1/2006   8/1/2006   5/1/2036  1,715.63   7/1/2006  305,000.00
151476975  Primary    SFR             360      357     80   6.25   5/1/2006   7/1/2006   4/1/2036    968.75   6/1/2006  186,000.00
151478609  Secondary  SFR             360      358  68.39   6.75   6/1/2006   7/1/2006   5/1/2036  2,149.62   6/1/2006  383,000.00
151484748  Primary    SFR             360      357  79.99  6.875   5/1/2006   8/1/2006   4/1/2036  1,418.26   7/1/2006  247,550.00
151490208  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,863.33   6/1/2006  344,000.00
151490554  Primary    SFR             360      358     80  5.875   6/1/2006   8/1/2006   5/1/2036  1,223.96   7/1/2006  250,000.00
151498888  Primary    SFR             360      357  44.17    6.5   5/1/2006   7/1/2006   4/1/2036  1,435.42   6/1/2006  265,000.00
151500949  Primary    SFR             360      357  51.08  6.125   5/1/2006   7/1/2006   4/1/2036  1,329.64   6/1/2006  260,500.00
151500964  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036  1,620.92   6/1/2006  293,600.00
151502564  Primary    SFR             360      358     80   5.75   6/1/2006   8/1/2006   5/1/2036  1,590.83   7/1/2006  332,000.00
151508751  Primary    SFR             360      358     80  6.125   6/1/2006   7/1/2006   5/1/2036  1,482.25   6/1/2006  290,400.00
151527603  Primary    SFR             360      358     80   5.75   6/1/2006   7/1/2006   5/1/2036  1,380.00   6/1/2006  288,000.00
151532314  Primary    Condo - Low     360      357     80  6.375   5/1/2006   7/1/2006   4/1/2036    815.58   6/1/2006  153,520.00
151532637  Primary    Condo - Low     360      358  78.95  6.875   6/1/2006   7/1/2006   5/1/2036  1,709.24   6/1/2006  300,000.00
151533676  Primary    SFR             360      358  77.16    6.5   6/1/2006   7/1/2006   5/1/2036  1,354.17   6/1/2006  250,000.00
151549201  Primary    SFR             360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  1,812.42   7/1/2006  334,800.00
151550621  Primary    SFR             360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036    993.75   6/1/2006  180,000.00
151562295  Primary    SFR             360      358     80   6.75   6/1/2006   8/1/2006   5/1/2036  1,552.50   7/1/2006  276,000.00
151573763  Primary    SFR             360      358   72.6  6.375   6/1/2006   7/1/2006   5/1/2036  2,111.72   6/1/2006  397,500.00
151578481  Primary    SFR             360      358   67.5    6.5   6/1/2006   7/1/2006   5/1/2036  2,193.75   6/1/2006  405,000.00
151579638  Primary    SFR             360      358  69.86  6.625   6/1/2006   7/1/2006   5/1/2036  1,407.81   6/1/2006  255,000.00
151580693  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036    677.89   7/1/2006  122,800.00
151583556  Primary    Condo - High    360      358  79.55   6.75   6/1/2006   7/1/2006   5/1/2036  2,188.13   6/1/2006  389,000.00
151586385  Primary    2-Family        360      357  87.57  6.625   5/1/2006   7/1/2006   4/1/2036  1,788.75   6/1/2006  324,000.00
151588373  Primary    SFR             360      358  79.85   6.25   6/1/2006   7/1/2006   5/1/2036  1,372.40   6/1/2006  263,500.00
151590163  Investor   PUD Detached    360      356     90      7   4/1/2006   7/1/2006   3/1/2036    895.13   6/1/2006  153,450.00
151623899  Primary    SFR             360      358  73.06    6.5   6/1/2006   7/1/2006   5/1/2036  1,068.46   6/1/2006  197,254.00
151626629  Primary    SFR             360      358     80   6.25   6/1/2006   8/1/2006   5/1/2036  1,916.67   7/1/2006  368,000.00
151629631  Primary    SFR             360      358  32.86  6.375   6/1/2006   7/1/2006   5/1/2036  1,221.88   6/1/2006  230,000.00
151631637  Primary    SFR             360      358     95    6.5   6/1/2006   7/1/2006   5/1/2036    761.58   6/1/2006  140,600.00
151637071  Primary    SFR             360      358  77.59  6.875   6/1/2006   7/1/2006   5/1/2036  1,289.00   6/1/2006  225,000.00
151639838  Primary    Condo - Low     360      358     80  6.375   6/1/2006   8/1/2006   5/1/2036  2,061.25   7/1/2006  388,000.00
151649928  Primary    SFR             360      357  79.98  5.375   5/1/2006   8/1/2006   4/1/2036    696.11   7/1/2006  155,600.00
151650934  Investor   SFR             360      357  55.68    6.5   5/1/2006   7/1/2006   4/1/2036  1,327.08   6/1/2006  245,000.00
151651221  Primary    SFR             360      358  73.21   6.75   6/1/2006   7/1/2006   5/1/2036  2,305.13   6/1/2006  410,000.00
151657301  Investor   SFR             360      358  19.53   6.75   6/1/2006   7/1/2006   5/1/2036    703.13   6/1/2006  125,000.00
151668514  Primary    Condo - Low     360      358     80    6.5   6/1/2006   8/1/2006   5/1/2036  1,204.67   7/1/2006  222,400.00
151673431  Primary    SFR             360      358  77.14  6.375   6/1/2006   8/1/2006   5/1/2036  1,944.65   7/1/2006  366,400.00
151677531  Primary    Condo - Low     360      358     80  6.625   6/1/2006   7/1/2006   5/1/2036    786.17   6/1/2006  142,400.00
151688181  Primary    2-Family        360      358  31.55    6.5   6/1/2006   7/1/2006   5/1/2036  1,435.42   6/1/2006  265,000.00
151695327  Primary    Condo - Low     360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,170.00   6/1/2006  216,000.00
151697059  Investor   Condo - Low     360      358   64.9    6.5   6/1/2006   7/1/2006   5/1/2036  1,001.27   6/1/2006  184,900.00
151699691  Primary    SFR             360      358  78.44    6.5   6/1/2006   7/1/2006   5/1/2036  1,635.83   6/1/2006  302,000.00
151707338  Primary    SFR             360      358     80      7   6/1/2006   8/1/2006   5/1/2036    886.08   7/1/2006  152,000.00
151708955  Primary    2-Family        360      358  41.58   6.75   6/1/2006   7/1/2006   5/1/2036  2,221.88   6/1/2006  395,000.00
151710449  Primary    PUD Detached    360      357     80  6.875   5/1/2006   7/1/2006   4/1/2036  2,016.67   6/1/2006  352,000.00
151715331  Primary    SFR             360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036  1,292.00   6/1/2006  243,200.00
151716552  Primary    SFR             360      358  74.58    6.5   6/1/2006   7/1/2006   5/1/2036    969.58   6/1/2006  179,000.00
151716644  Primary    SFR             360      358  59.77  6.375   6/1/2006   7/1/2006   5/1/2036  2,063.91   6/1/2006  388,500.00
151717584  Secondary  Condo - Low     360      358  79.21  6.625   6/1/2006   7/1/2006   5/1/2036  1,104.17   6/1/2006  200,000.00
151729324  Secondary  SFR             360      358  77.97  6.375   6/1/2006   7/1/2006   5/1/2036  1,221.88   6/1/2006  230,000.00
151736964  Primary    SFR             360      358  76.94  6.375   6/1/2006   7/1/2006   5/1/2036  1,334.50   6/1/2006  251,200.00
151740321  Primary    SFR             360      358  64.67  6.375   6/1/2006   7/1/2006   5/1/2036  2,061.25   6/1/2006  388,000.00
151758513  Primary    SFR             360      358     80    6.5   6/1/2006   7/1/2006   5/1/2036  1,846.00   6/1/2006  340,800.00
151762333  Investor   PUD Detached    360      358     90   7.25   6/1/2006   8/1/2006   5/1/2036  1,382.76   7/1/2006  228,870.00
151763265  Primary    Condo - Low     360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036  1,788.75   7/1/2006  324,000.00
151772829  Primary    SFR             360      358  77.08  6.625   6/1/2006   7/1/2006   5/1/2036  2,042.71   6/1/2006  370,000.00
151773546  Primary    Condo - Low     360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  1,168.75   6/1/2006  204,000.00
151774007  Primary    SFR             360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  2,232.38   6/1/2006  396,867.00
151778131  Secondary  Condo - High    360      358   61.6  6.625   6/1/2006   7/1/2006   5/1/2036  2,124.14   6/1/2006  385,000.00
151780517  Investor   3-Family        360      358     80  6.875   6/1/2006   7/1/2006   5/1/2036  3,368.75   6/1/2006  588,000.00
151781606  Primary    Condo - Low     360      358     95  6.375   6/1/2006   8/1/2006   5/1/2036    635.38   7/1/2006  119,600.00
151789716  Primary    SFR             360      358  76.49  6.625   6/1/2006   8/1/2006   5/1/2036  2,120.00   7/1/2006  384,000.00
151797958  Primary    Condo - High    360      358     90  7.125   6/1/2006   7/1/2006   5/1/2036  2,404.69   6/1/2006  405,000.00
151810934  Primary    Condo - Low     360      358  69.74  6.625   6/1/2006   7/1/2006   5/1/2036  1,463.02   6/1/2006  265,000.00
151823838  Primary    SFR             360      358  78.26  6.375   6/1/2006   7/1/2006   5/1/2036    956.25   6/1/2006  180,000.00
151837937  Primary    SFR             360      358  78.57  6.375   6/1/2006   8/1/2006   5/1/2036    956.25   7/1/2006  220,000.00
151848405  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    781.58   6/1/2006  147,120.00
151856085  Primary    SFR             360      358     80  5.625   6/1/2006   7/1/2006   5/1/2036  1,370.02   6/1/2006  292,400.00
151864212  Primary    SFR             360      358     80  6.875   6/1/2006   8/1/2006   5/1/2036    696.67   7/1/2006  121,600.00
151878287  Primary    SFR             360      358     82    6.5   6/1/2006   7/1/2006   5/1/2036  1,332.50   6/1/2006  246,000.00
151884079  Primary    Condo - Low     360      358     80      7   6/1/2006   7/1/2006   5/1/2036    751.05   6/1/2006  128,800.00
151904513  Primary    SFR             360      359     80  6.375   7/1/2006   8/1/2006   6/1/2036  2,203.63   7/1/2006  414,800.00
151911427  Primary    Condo - Low     360      359  72.65  6.625   7/1/2006   7/1/2006   6/1/2036  1,363.65   7/1/2006  247,000.00
151923661  Primary    Condo - Low     360      358     80  6.375   6/1/2006   7/1/2006   5/1/2036    786.25   6/1/2006  148,000.00
151925658  Primary    SFR             360      358  47.08  6.625   6/1/2006   8/1/2006   5/1/2036  1,468.37   7/1/2006  266,000.00
151930435  Investor   2-Family        360      358     80   6.75   6/1/2006   7/1/2006   5/1/2036  1,485.00   6/1/2006  264,000.00
151937679  Primary    SFR             360      358  75.72  6.375   6/1/2006   7/1/2006   5/1/2036    977.38   6/1/2006  184,000.00
151940491  Primary    SFR             360      358  59.91  6.125   6/1/2006   7/1/2006   5/1/2036  1,326.76   6/1/2006  260,000.00
151970548  Primary    SFR             360      358  83.33      7   6/1/2006   8/1/2006   5/1/2036  1,458.11   7/1/2006  250,000.00
151973286  Primary    Condo - Low     360      358  68.17  6.625   6/1/2006   7/1/2006   5/1/2036    903.21   6/1/2006  163,600.00
152006847  Investor   SFR             360      358  23.53      7   6/1/2006   8/1/2006   5/1/2036  1,166.67   7/1/2006  200,000.00
152019196  Primary    SFR             360      358     80  6.625   6/1/2006   8/1/2006   5/1/2036    876.71   7/1/2006  158,800.00
152044087  Primary    SFR             360      358  79.71  6.375   6/1/2006   7/1/2006   5/1/2036  1,371.95   6/1/2006  258,250.00
152074399  Primary    SFR             360      358  78.13   6.75   6/1/2006   8/1/2006   5/1/2036  1,757.25   7/1/2006  312,500.00
152133757  Primary    SFR             360      358  76.24  6.625   6/1/2006   7/1/2006   5/1/2036  1,692.14   6/1/2006  306,500.00
152147401  Primary    SFR             360      358  39.68  6.375   6/1/2006   7/1/2006   5/1/2036  1,328.13   6/1/2006  250,000.00
152171385  Primary    Condo - Low     360      358  77.92   6.25   6/1/2006   7/1/2006   5/1/2036  1,562.09   6/1/2006  300,000.00
152172441  Primary    SFR             360      358  94.98  6.375   6/1/2006   7/1/2006   5/1/2036  1,372.75   6/1/2006  258,400.00

LOANID     COBAL       PURPOSE   DOC          OAPPVAL       FRTRDATE   CEILING  FLOOR  CAPINT  MARGIN  INDEX     ODATE
---------------------------------------------------------------------------------------------------------------------------

145684916  165,597.07  Purchase  Full           207,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/25/2005
145685897  374,000.00  C/O Refi  Asset Only     665,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/5/2005
145700787  334,159.02  Purchase  AUS            418,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/29/2005
145721106  260,000.00  C/O Refi  AUS            325,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT    7/6/2005
145748943  116,000.00  C/O Refi  AUS            145,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/28/2005
145754081  408,930.45  C/O Refi  Asset Only     700,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/18/2005
145763504  379,900.00  C/O Refi  AUS            550,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/18/2005
145797999  407,794.50  C/O Refi  Asset Only     750,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/19/2005
145803847  368,000.00  C/O Refi  AUS            850,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/18/2005
145813028  219,936.61  Purchase  Full           275,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/15/2005
145879052  286,998.61  Purchase  AUS            360,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
145946653  300,000.00  C/O Refi  Full           745,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/13/2005
145946695  417,000.00  Purchase  AUS            542,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT   1/31/2006
145982187  133,204.50  Purchase  AUS            168,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/10/2005
146015748  275,000.00  Purchase  Asset Only     485,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/23/2005
146090972  316,863.16  C/O Refi  Asset Only     450,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/2/2005
146101183  394,599.30  C/O Refi  Asset Only     495,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/5/2005
146119136  307,777.00  Purchase  Asset Only     385,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/26/2005
146119144  165,000.00  C/O Refi  Full           211,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
146124714  164,000.00  R/T Refi  Full           210,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/8/2005
146130034  128,000.00  Purchase  AUS            162,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/19/2005
146139498  395,100.00  Purchase  Full           500,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/10/2005
146142245  402,164.04  R/T Refi  Full           505,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/8/2005
146166772  187,500.00  C/O Refi  Full           250,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/15/2005
146195367  400,000.00  Purchase  Asset Only     600,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/30/2005
146199252  311,960.00  Purchase  Full           394,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/29/2005
146204755  273,550.00  Purchase  Full           320,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/29/2005
146210588  223,945.17  C/O Refi  Full           305,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/9/2005
146211438  328,000.00  C/O Refi  AUS            635,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/29/2005
146212642  334,300.00  Purchase  AUS            430,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/28/2005
146246624  320,700.00  C/O Refi  Full           522,500.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/12/2005
146247309  311,100.00  C/O Refi  AUS            600,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/28/2005
146260773  288,000.00  Purchase  AUS            370,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/12/2005
146284633  400,279.22  C/O Refi  Asset Only     630,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/2/2005
146287784  135,000.00  C/O Refi  Asset Only     310,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/8/2005
146307855  395,098.00  C/O Refi  AUS            625,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/25/2005
146321567  204,922.34  C/O Refi  Asset Only     450,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/11/2005
146360573  212,000.00  C/O Refi  Asset Only     284,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/5/2005
146369657  180,000.00  C/O Refi  AUS            230,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/1/2005
146376405  230,000.00  C/O Refi  Asset Only     445,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/12/2005
146421359  112,005.00  Purchase  AUS            128,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/12/2005
146436332  377,300.00  R/T Refi  Asset Only     484,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/16/2005
146436555  382,900.00  R/T Refi  AUS            544,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/18/2005
146441423  217,754.33  Purchase  AUS            280,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/22/2005
146455944  382,199.00  C/O Refi  Asset Only     515,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/4/2005
146458641  361,375.90  Purchase  AUS            455,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/21/2005
146460977  388,000.00  Purchase  AUS          4,900,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/10/2005
146498183  225,000.00  Purchase  Asset Only     301,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT    9/6/2005
146508502  370,000.00  C/O Refi  Asset Only     525,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   8/29/2005
146525191  256,000.00  Purchase  Full           320,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/3/2005
146525233  110,650.00  C/O Refi  Full           127,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/26/2005
146532064  386,250.00  C/O Refi  AUS            515,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/16/2005
146551189  252,250.00  Purchase  Asset Only     275,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/13/2005
146558861  235,194.44  R/T Refi  AUS            550,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/16/2005
146560867  255,000.00  R/T Refi  Full           352,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/12/2005
146561881  352,000.00  Purchase  Asset Only     440,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/19/2005
146574009  339,598.82  C/O Refi  Full           435,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT    8/4/2005
146575121  399,999.92  C/O Refi  Asset Only     650,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/25/2005
146592001  400,000.00  C/O Refi  AUS            505,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/18/2005
146595418  258,934.00  Purchase  Full           325,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/29/2005
146604236  378,774.96  Purchase  AUS            483,500.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/28/2005
146628771  247,200.00  Purchase  AUS            313,000.00   4/1/2016   10.875   2.75       2    2.75  1 YR CMT   3/20/2006
146645825  204,250.00  Purchase  AUS            218,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/17/2005
146653928  620,000.00  Purchase  Asset Only     775,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/26/2005
146663497  404,000.00  Purchase  AUS            505,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/15/2005
146663687  399,000.00  C/O Refi  AUS            565,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/18/2005
146665633  369,999.46  C/O Refi  AUS            529,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/4/2005
146667159  406,597.97  C/O Refi  AUS            600,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/3/2005
146667878  104,500.00  Purchase  Asset Only     110,000.00  10/1/2015   11.375   2.75       2    2.75  1 YR CMT   9/26/2005
146679345  400,000.00  Purchase  AUS            500,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/24/2005
146682232  315,000.00  Purchase  AUS            415,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/9/2005
146683636  340,675.18  C/O Refi  Asset Only     430,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/9/2005
146684238  384,998.89  C/O Refi  AUS            725,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/15/2005
146684626  281,597.13  Purchase  Full           352,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/17/2005
146695408  380,000.00  C/O Refi  Full           505,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/5/2005
146719612  360,000.00  C/O Refi  AUS            625,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/10/2005
146721147  305,849.27  Purchase  Asset Only     382,500.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/8/2005
146721253  363,088.51  Purchase  AUS            485,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/22/2005
146722707  383,200.00  Purchase  Full           483,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/29/2005
146735055  206,400.00  C/O Refi  Asset Only     258,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/12/2005
146741798  400,000.00  C/O Refi  AUS            810,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/25/2005
146747415  140,000.00  Purchase  Full           179,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/18/2005
146771464  217,600.00  C/O Refi  AUS            272,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/17/2005
146793435  402,602.00  Purchase  AUS            507,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/7/2005
146793567  396,000.00  R/T Refi  AUS            500,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/7/2005
146815501  383,520.00  Purchase  AUS            480,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/28/2005
146829254  250,000.00  C/O Refi  Asset Only     503,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/26/2005
146850912  360,000.00  C/O Refi  Asset Only     550,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/18/2005
146851175  399,656.54  C/O Refi  Full           505,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/18/2005
146864483  359,650.00  C/O Refi  Asset Only     508,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/7/2005
146872403  390,400.00  Purchase  AUS            488,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/29/2005
146876388  600,000.00  Purchase  Full           925,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/24/2005
146881743  269,705.13  Purchase  Asset Only     585,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/30/2005
146884762  359,450.00  R/T Refi  AUS            456,300.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/5/2005
146885116  125,600.00  Purchase  Full           158,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/25/2005
146892161  240,000.00  C/O Refi  AUS            300,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/9/2005
146895891  223,300.00  C/O Refi  AUS            280,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT   10/7/2005
146916085  296,000.00  C/O Refi  Asset Only     370,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/24/2005
146917463  300,000.00  C/O Refi  AUS            405,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/17/2005
146917604  406,157.90  C/O Refi  AUS            550,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/21/2005
146922588  351,226.26  C/O Refi  Asset Only     505,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/11/2005
146927967  402,857.24  Purchase  AUS            510,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/19/2005
146939111  287,873.98  Purchase  Asset Only     366,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/31/2005
146943345  388,000.00  Purchase  Full           485,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/29/2005
146944566  332,000.00  C/O Refi  Full           415,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/9/2005
146988415  351,746.91  R/T Refi  Asset Only     753,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/27/2005
146993753  361,028.26  Purchase  Full           460,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/9/2005
146994439  180,000.00  C/O Refi  AUS            225,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/28/2005
146996806  294,995.03  C/O Refi  Asset Only     400,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/26/2005
147000483  336,000.00  Purchase  Full           420,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/14/2005
147003008  151,500.00  C/O Refi  Asset Only     202,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/27/2005
147011779  240,000.00  C/O Refi  Asset Only     320,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/12/2005
147012389  303,200.00  Purchase  AUS            380,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   9/29/2005
147014567  376,000.00  Purchase  Asset Only     475,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/26/2005
147015176  210,000.00  Purchase  AUS            412,500.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/12/2005
147016588  415,000.00  Purchase  Full           534,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/12/2005
147017446  369,909.43  R/T Refi  AUS            478,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/1/2005
147032635  391,897.63  Purchase  Asset Only     490,000.00   9/1/2015   11.375   2.75       2    2.75  1 YR CMT    9/2/2005
147069884  409,945.75  C/O Refi  Full           512,500.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/1/2005
147082457  417,000.00  R/T Refi  AUS            522,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
147088736  290,000.00  C/O Refi  AUS            409,500.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/7/2005
147091649  223,715.69  C/O Refi  AUS            290,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/9/2005
147099709  128,250.00  Purchase  Asset Only   1,350,000.00  10/1/2015     11.5   2.75       2    2.75  1 YR CMT   9/22/2005
147111116  247,442.93  Purchase  Full           310,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT    9/2/2005
147111934  234,833.23  Purchase  AUS            298,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/15/2005
147115513  300,000.00  C/O Refi  Asset Only     400,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/12/2005
147116032  225,000.00  Purchase  Full           260,000.00   9/1/2015   11.375   2.75       2    2.75  1 YR CMT   8/26/2005
147120315  382,000.00  Purchase  Full           485,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/29/2005
147122014  272,702.00  Purchase  AUS            341,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/16/2005
147125215  352,000.00  Purchase  Full           442,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/3/2005
147126866  407,550.17  C/O Refi  Asset Only     545,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/23/2005
147132591  330,996.90  R/T Refi  Full           450,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/23/2005
147136345  370,578.48  R/T Refi  Asset Only     500,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/6/2005
147151807  383,806.00  C/O Refi  AUS            480,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/6/2005
147168157  350,000.00  Purchase  AUS            485,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/29/2005
147173157  130,639.00  Purchase  Full           149,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/13/2005
147182083  396,000.00  Purchase  Full           505,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/15/2005
147185532  334,400.00  Purchase  AUS            418,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/15/2005
147192462  176,204.10  Purchase  Full           235,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT    9/6/2005
147192744  280,000.00  Purchase  Full           350,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/23/2005
147207906  124,973.96  R/T Refi  Asset Only     164,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT    9/7/2005
147213961  388,975.20  Purchase  AUS            410,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/18/2005
147225668  359,000.00  R/T Refi  Asset Only     500,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/8/2005
147228175  358,000.00  R/T Refi  Asset Only     602,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/2/2005
147228563  183,999.97  Purchase  Full           250,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/23/2005
147240097  379,000.00  C/O Refi  AUS            520,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/31/2005
147249114  252,435.38  C/O Refi  Full           390,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/13/2005
147253157  192,000.00  Purchase  AUS            240,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/21/2005
147257729  304,000.00  Purchase  Asset Only     320,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/20/2005
147258073  355,640.50  Purchase  Asset Only     682,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/8/2005
147260889  203,000.00  C/O Refi  AUS            575,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/12/2005
147263453  377,907.47  R/T Refi  AUS            535,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/15/2005
147265458  252,734.17  C/O Refi  Full           316,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/12/2005
147267546  407,979.66  R/T Refi  Asset Only     545,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/23/2005
147273924  410,000.00  C/O Refi  Asset Only   1,025,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/19/2005
147284111  392,000.00  C/O Refi  Full           490,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT   10/5/2005
147291991  216,400.00  R/T Refi  Asset Only     255,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT    9/8/2005
147300594  387,000.00  R/T Refi  Asset Only     510,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/4/2005
147311112  151,650.00  Purchase  Full           168,500.00  10/1/2015   11.375   2.75       2    2.75  1 YR CMT   9/21/2005
147321301  374,324.08  C/O Refi  AUS            500,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/4/2005
147321608  391,897.92  R/T Refi  Full           490,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/19/2005
147334866  415,000.00  R/T Refi  AUS            533,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/13/2005
147339063  368,000.00  R/T Refi  Asset Only     460,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/2/2005
147358436  250,000.00  C/O Refi  Asset Only     560,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/9/2005
147361455  404,000.00  C/O Refi  Asset Only     590,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/12/2005
147366066  172,000.00  C/O Refi  AUS            215,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/7/2005
147369359  250,000.00  C/O Refi  Asset Only     535,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/21/2005
147373757  282,379.75  C/O Refi  AUS            390,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
147379986  295,782.98  C/O Refi  Full           370,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
147380109  301,150.00  Purchase  Full           395,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/31/2005
147383996  383,103.96  C/O Refi  AUS            483,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/13/2005
147386536  210,391.00  Purchase  Full           264,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/30/2005
147389365  373,399.02  C/O Refi  Asset Only     500,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
147393425  314,732.47  C/O Refi  Asset Only     455,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
147393433  403,800.27  C/O Refi  Asset Only     510,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/13/2005
147394076  268,000.00  C/O Refi  Asset Only     335,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/30/2005
147410823  132,135.68  Purchase  Full           170,000.00   9/1/2015   11.375   2.75       2    2.75  1 YR CMT   8/29/2005
147421416  410,000.00  R/T Refi  Asset Only     980,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/12/2005
147437701  379,192.00  Purchase  AUS            474,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/21/2005
147439376  228,000.00  Purchase  Asset Only     285,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/3/2005
147443113  407,800.00  C/O Refi  Asset Only     631,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/30/2005
147453997  249,999.68  C/O Refi  AUS            350,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/12/2005
147454805  122,478.00  Purchase  Full           167,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/30/2005
147455075  389,045.90  C/O Refi  Asset Only     550,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/20/2005
147458822  323,920.69  Purchase  AUS            413,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/4/2005
147459168  359,650.00  R/T Refi  Asset Only     525,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/27/2005
147463558  264,000.00  C/O Refi  AUS            330,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/14/2005
147483408  385,554.54  C/O Refi  Asset Only     520,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/27/2005
147485809  186,320.00  Purchase  Full           233,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT   1/17/2006
147494603  207,383.06  R/T Refi  Full           285,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/5/2005
147507081  387,800.00  R/T Refi  Full           525,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/5/2005
147511083  142,400.00  Purchase  Asset Only     178,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/23/2005
147529275  407,000.00  R/T Refi  Asset Only     563,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/3/2005
147533194  380,000.00  R/T Refi  Asset Only     475,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/13/2005
147535041  290,000.00  C/O Refi  Asset Only     515,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/23/2005
147538151  140,880.00  Purchase  Full           177,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/20/2005
147561898  382,531.58  R/T Refi  Asset Only     480,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
147565022  132,789.95  Purchase  Full           166,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/27/2005
147576425  325,500.00  Purchase  Asset Only     419,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/6/2005
147582654  412,500.00  C/O Refi  AUS            580,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/10/2005
147590178  303,959.61  C/O Refi  AUS            380,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/24/2005
147604482  385,000.00  C/O Refi  AUS          1,070,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/3/2005
147610752   90,000.00  Purchase  AUS            169,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/30/2005
147613103  104,800.00  R/T Refi  Asset Only     131,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/28/2005
147639272  225,942.14  Purchase  AUS            340,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/21/2005
147644835  270,725.00  Purchase  Full           322,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/17/2005
147646368  203,973.24  R/T Refi  Asset Only     255,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/10/2005
147651632  355,750.58  C/O Refi  Asset Only     510,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/11/2005
147653349  199,672.48  C/O Refi  Asset Only     875,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/14/2005
147654487  339,656.55  Purchase  AUS            370,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/3/2005
147654925  375,000.00  C/O Refi  Full           630,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/23/2005
147670996  359,351.30  C/O Refi  AUS            650,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/28/2005
147672463  410,399.00  Purchase  Asset Only     513,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/21/2005
147682231  384,000.00  C/O Refi  Asset Only     480,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/11/2005
147691067  383,900.00  Purchase  Asset Only     480,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/21/2005
147691133  409,599.73  Purchase  AUS            555,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/30/2005
147692339  241,910.06  C/O Refi  Asset Only     303,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
147696827  406,000.00  Purchase  AUS            510,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/22/2005
147697155  375,000.00  C/O Refi  AUS            475,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/26/2005
147697627  231,200.00  Purchase  Full           305,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/7/2005
147697635  350,000.00  C/O Refi  Asset Only     720,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/17/2005
147698294  171,689.73  C/O Refi  Full           219,500.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/21/2005
147702716  376,348.24  C/O Refi  AUS            500,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/21/2005
147704019  404,692.94  R/T Refi  AUS            515,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/24/2005
147708853  148,388.64  Purchase  AUS            200,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/29/2005
147709034  414,400.00  C/O Refi  Asset Only     625,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT   10/5/2005
147712418  105,000.00  C/O Refi  Asset Only     150,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/3/2005
147714067  308,000.00  R/T Refi  Asset Only     395,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/19/2005
147723258  343,999.80  Purchase  Asset Only     430,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/21/2005
147729347  359,136.16  Purchase  AUS            450,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/25/2005
147738215  334,500.00  C/O Refi  Asset Only     446,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/26/2005
147739817  350,000.00  R/T Refi  AUS            550,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/11/2005
147741672   73,392.46  Purchase  Full           309,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/30/2005
147758189  239,920.00  Purchase  Full           300,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/27/2005
147759369  200,000.00  Purchase  AUS            250,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/8/2005
147767305  401,120.00  Purchase  AUS            560,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/6/2005
147799324  381,980.69  C/O Refi  AUS            500,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/14/2005
147810667  327,240.26  C/O Refi  Asset Only     500,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/26/2005
147815807  410,298.55  Purchase  AUS            515,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/27/2005
147827216  285,000.00  Purchase  Full           420,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/29/2005
147837389  159,920.00  Purchase  Full           297,000.00   2/1/2016   11.375   2.75       2    2.75  1 YR CMT   1/25/2006
147839997  504,000.00  C/O Refi  Full           630,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT   10/6/2005
147849624  340,000.00  C/O Refi  Asset Only     455,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT  10/27/2005
147850283  159,471.02  C/O Refi  Full           228,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/6/2005
147853469  250,000.00  C/O Refi  AUS            445,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/21/2005
147858963  400,000.00  C/O Refi  Asset Only     515,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/11/2005
147860233  393,747.00  Purchase  AUS            505,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT   10/6/2005
147879845  260,000.00  C/O Refi  AUS            355,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/11/2005
147888424  353,600.00  Purchase  Full           450,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/27/2005
147888721  277,200.00  C/O Refi  Full           396,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT  10/17/2005
147891162  350,000.00  C/O Refi  AUS            450,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/12/2005
147909162  257,600.00  Purchase  AUS            325,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/12/2005
147909568  315,000.00  C/O Refi  Full           420,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT  10/10/2005
147917181   59,875.00  C/O Refi  Asset Only      75,500.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT   10/7/2005
147943468  308,000.00  C/O Refi  Asset Only     385,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/19/2005
147953038  368,000.00  Purchase  AUS            465,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/20/2005
147963482  392,000.00  C/O Refi  AUS            515,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/6/2005
147980965  410,125.82  C/O Refi  AUS            577,500.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/28/2005
147989321  250,000.00  C/O Refi  Asset Only     700,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT   12/6/2005
147991509  414,308.37  R/T Refi  Asset Only     555,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/19/2005
147993604  193,550.00  Purchase  Asset Only     245,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/14/2005
147996078  239,000.00  C/O Refi  AUS            510,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/27/2005
147997563  408,000.00  R/T Refi  Full           605,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/30/2005
147999858  375,000.00  C/O Refi  Asset Only     500,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/17/2005
148005531  237,424.87  R/T Refi  Asset Only     306,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
148009269  400,000.00  C/O Refi  AUS            700,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/5/2005
148011901  300,000.00  C/O Refi  Asset Only     375,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/14/2005
148020597  380,000.00  C/O Refi  AUS            475,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/31/2005
148021306  344,922.31  C/O Refi  Asset Only     460,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/11/2005
148024987  190,000.00  C/O Refi  Full           238,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/7/2005
148031925  412,000.00  Purchase  Asset Only     515,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/24/2005
148033103  139,739.92  Purchase  AUS            185,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/14/2005
148035454  320,000.00  R/T Refi  Asset Only     400,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/27/2005
148041957  385,600.00  C/O Refi  AUS            482,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/20/2005
148042252  279,000.00  Purchase  AUS            350,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   12/5/2005
148042526  280,000.00  C/O Refi  AUS            350,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/24/2005
148047533  411,950.00  Purchase  AUS            515,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/20/2005
148052038  257,842.63  C/O Refi  Asset Only     470,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/26/2005
148052053  379,357.28  C/O Refi  Asset Only     470,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/11/2005
148065337  331,918.33  Purchase  Full           415,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/7/2005
148066145  249,600.00  C/O Refi  Asset Only     312,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/8/2005
148076581  151,849.39  Purchase  Full           190,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT   1/16/2006
148079171  287,994.59  C/O Refi  Asset Only     360,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
148081508  413,542.88  Purchase  AUS            555,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/7/2005
148084148  407,898.00  R/T Refi  AUS            685,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/18/2005
148084643  175,000.00  C/O Refi  AUS            405,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/28/2005
148085558  197,150.70  Purchase  Full           248,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/12/2005
148095342  216,000.00  C/O Refi  Full           278,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/14/2005
148097017  344,540.00  C/O Refi  AUS            460,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/7/2005
148097215   91,782.28  Purchase  Asset Only     115,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/11/2005
148098064  264,000.00  C/O Refi  AUS            330,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/19/2005
148100886  327,812.57  Purchase  Full           410,000.00   3/1/2016   11.125   2.75       2    2.75  1 YR CMT   2/13/2006
148102361  268,000.00  Purchase  Full           335,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/28/2005
148105083  400,000.00  Purchase  Full           507,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
148105141  365,008.00  Purchase  AUS            457,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/29/2005
148113673  400,000.00  C/O Refi  Asset Only     480,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/7/2005
148117864  393,500.00  C/O Refi  Asset Only     585,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/27/2005
148120363  171,957.90  Purchase  Full           228,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/27/2005
148122971  351,910.00  Purchase  AUS            443,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/28/2005
148126931  267,000.00  C/O Refi  AUS            540,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/7/2005
148128044  221,377.38  Purchase  Asset Only     319,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/10/2005
148136054  393,750.00  C/O Refi  Asset Only     538,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/25/2005
148141245  107,766.01  Purchase  Asset Only     135,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/1/2005
148146913  388,000.00  Purchase  AUS            485,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/2/2005
148164395  487,293.11  C/O Refi  Asset Only     610,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/15/2005
148164767  222,817.22  C/O Refi  AUS            290,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/8/2005
148171804   87,500.00  C/O Refi  Asset Only     130,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
148175326   76,459.25  C/O Refi  Asset Only      85,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/9/2005
148178015  226,399.98  C/O Refi  Asset Only     283,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/20/2005
148181654  320,000.00  C/O Refi  AUS            400,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/21/2005
148192792  403,992.00  Purchase  AUS            510,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/1/2005
148193394  405,000.00  C/O Refi  AUS            620,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/24/2005
148195928  288,750.00  R/T Refi  Asset Only     385,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/4/2005
148197569  196,707.70  Purchase  AUS            247,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/24/2005
148199458  350,000.00  C/O Refi  Asset Only     440,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/28/2005
148208937  399,000.00  C/O Refi  Full           550,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  10/31/2005
148209927  264,000.00  C/O Refi  Asset Only     330,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/26/2005
148211873  380,000.00  Purchase  Asset Only     485,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/13/2005
148212004  388,000.00  Purchase  AUS            485,000.00   2/1/2016   11.375   2.75       2    2.75  1 YR CMT   1/18/2006
148216187  408,000.00  C/O Refi  Full           715,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/15/2005
148225857  383,119.53  C/O Refi  Asset Only     790,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/28/2005
148226947  378,540.93  C/O Refi  Full           505,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT  11/18/2005
148227564  300,000.00  Purchase  AUS            500,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/2/2005
148229354  350,000.00  C/O Refi  Asset Only     470,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/2/2005
148229925  369,709.90  C/O Refi  AUS            645,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/26/2005
148234875  387,400.00  Purchase  AUS            500,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/26/2005
148236128  300,000.00  C/O Refi  Asset Only     950,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/1/2005
148243256  291,892.39  Purchase  Asset Only     315,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/5/2005
148243744  524,250.00  Purchase  Full           745,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/21/2005
148246366  306,000.00  Purchase  AUS            382,500.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/28/2005
148256779  255,303.16  C/O Refi  AUS            320,000.00  11/1/2015     11.5   2.75       2    2.75  1 YR CMT  10/27/2005
148257355  304,654.94  R/T Refi  AUS            405,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/25/2005
148261159  150,470.00  Purchase  Full           191,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/10/2005
148263791  405,000.00  R/T Refi  AUS            530,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/25/2005
148265366  281,368.83  Purchase  AUS            355,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/20/2005
148266711  238,970.00  Purchase  AUS            300,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/8/2005
148266869  281,472.72  Purchase  AUS            398,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/29/2005
148274293  400,000.00  C/O Refi  Asset Only     745,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/19/2005
148276603  245,200.00  Purchase  Full           315,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/24/2005
148284797  394,930.89  C/O Refi  AUS            555,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/31/2005
148285091  308,961.78  C/O Refi  Asset Only     590,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/4/2005
148291081  376,000.00  C/O Refi  Income Only    470,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/31/2005
148296676  168,000.00  Purchase  Full           210,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/18/2005
148296742  411,850.00  Purchase  AUS            515,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT   12/6/2005
148296759  367,000.00  C/O Refi  Full           420,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/22/2005
148311491  279,865.41  Purchase  Asset Only     350,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
148317951  408,000.00  C/O Refi  Asset Only     560,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/26/2005
148321227  396,967.25  C/O Refi  AUS            767,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/1/2005
148327232  640,000.00  R/T Refi  Asset Only     715,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/29/2005
148330673  350,310.57  Purchase  Asset Only     438,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
148342165  314,100.00  Purchase  Full           398,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/28/2005
148344963  378,258.20  C/O Refi  Asset Only     545,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  10/31/2005
148360498  350,000.00  C/O Refi  AUS            455,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/2/2005
148360712  327,999.33  R/T Refi  AUS            410,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/3/2005
148374408  274,997.48  Purchase  AUS            587,500.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/26/2005
148374499  378,880.42  R/T Refi  Asset Only     477,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/27/2005
148376684  375,300.00  C/O Refi  Full           470,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/15/2005
148390941  348,835.73  C/O Refi  AUS            441,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/22/2005
148393325  356,000.00  C/O Refi  Asset Only     445,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/15/2005
148398803  251,200.00  C/O Refi  Full           314,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/27/2005
148398936  393,600.00  Purchase  Full           493,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/31/2005
148404833  285,000.00  R/T Refi  Asset Only     535,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/1/2005
148407224  242,169.13  Purchase  Asset Only     305,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/4/2005
148419831  300,000.00  C/O Refi  AUS            600,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/7/2005
148427859  162,000.00  Purchase  Asset Only     180,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/7/2005
148433451  300,000.00  C/O Refi  Full           515,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/9/2005
148439664  252,217.55  Purchase  Full           325,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/2/2005
148439953  152,783.61  C/O Refi  Full           245,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/29/2005
148440282  380,000.00  Purchase  AUS            475,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/21/2005
148444755  344,000.00  Purchase  Asset Only     430,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/27/2005
148445083  359,650.00  C/O Refi  Asset Only     565,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/9/2005
148445414  309,999.16  C/O Refi  Asset Only     522,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/28/2005
148453418  312,874.82  C/O Refi  Asset Only     515,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/2/2005
148459241  400,800.00  Purchase  Full           505,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/10/2005
148461437  353,000.00  R/T Refi  AUS            710,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/28/2005
148464746  299,993.47  Purchase  Full           540,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/4/2005
148471063  257,866.64  Purchase  Full           324,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/28/2005
148479694  228,484.78  C/O Refi  Asset Only     295,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/7/2005
148483191   83,500.00  Purchase  Full           111,000.00  11/1/2015   11.875   2.75       2    2.75  1 YR CMT  10/13/2005
148485501  212,000.00  C/O Refi  Asset Only     265,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/26/2005
148488224  290,082.00  Purchase  Full           370,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/2/2005
148489131  398,000.00  C/O Refi  AUS            625,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/3/2005
148492796  379,904.21  C/O Refi  AUS            830,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/16/2005
148499551  384,000.00  C/O Refi  Asset Only     480,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/9/2005
148509128  280,000.00  C/O Refi  Asset Only     440,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/10/2005
148522923  286,755.12  R/T Refi  Asset Only     505,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/22/2005
148528482  268,000.00  Purchase  AUS            340,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/8/2005
148536683   98,400.00  C/O Refi  Income Only    150,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/8/2005
148540123  307,763.04  C/O Refi  AUS            440,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT   11/2/2005
148551211  306,000.00  C/O Refi  Asset Only     409,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/21/2005
148565146  388,996.94  Purchase  AUS            507,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/2/2005
148567449  416,000.00  Purchase  AUS            520,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
148568009  316,000.00  Purchase  AUS            425,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/15/2005
148569163  400,000.00  Purchase  AUS            530,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/22/2005
148570112  251,029.05  C/O Refi  Asset Only     335,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   12/1/2005
148570765  412,000.00  Purchase  AUS            515,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/7/2005
148578867  400,000.00  R/T Refi  AUS          1,835,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/8/2005
148581028  240,288.77  C/O Refi  AUS            520,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/14/2005
148589229  392,000.00  Purchase  Full           500,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/7/2005
148592405  159,402.99  C/O Refi  Full           200,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/25/2005
148595697  258,433.90  Purchase  AUS            450,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/28/2005
148596208  284,000.00  Purchase  Full           375,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/12/2005
148597735  398,000.00  C/O Refi  AUS            600,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/2/2005
148605223  407,091.84  Purchase  Asset Only     509,500.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/9/2005
148608391  164,500.00  R/T Refi  Full           235,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/12/2005
148612344  395,044.00  Purchase  AUS            495,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/16/2005
148615263  170,000.00  Purchase  Asset Only     226,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/16/2005
148629603  372,900.92  C/O Refi  Asset Only     467,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/15/2005
148635683  399,497.50  C/O Refi  Asset Only     515,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/27/2005
148645542  231,130.00  Purchase  Asset Only     330,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/23/2005
148646615  320,000.00  R/T Refi  Asset Only     450,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/1/2005
148658842  137,124.24  C/O Refi  AUS            930,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/10/2005
148668494  374,000.00  Purchase  AUS            468,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/23/2005
148672504  199,200.00  Purchase  AUS            250,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/19/2005
148674609  185,000.00  C/O Refi  AUS            320,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/18/2005
148678899  340,000.00  Purchase  Asset Only     425,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/9/2005
148681281  343,170.27  Purchase  AUS            435,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/23/2005
148687445  331,915.27  Purchase  AUS            415,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/28/2005
148694334  381,677.47  C/O Refi  AUS            480,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/8/2005
148696594  119,908.93  C/O Refi  Asset Only     174,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/22/2005
148701667  341,967.43  C/O Refi  Full           380,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT   10/7/2005
148708894  281,500.00  Purchase  Full           475,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/31/2005
148713118  181,600.00  C/O Refi  Full           227,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT   11/8/2005
148719602  370,000.00  Purchase  AUS            619,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/8/2005
148722911  149,742.97  Purchase  AUS            210,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/23/2005
148723125  410,000.00  C/O Refi  Full           600,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/2/2005
148723174  406,500.00  R/T Refi  Asset Only     725,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/21/2005
148725179  378,000.00  C/O Refi  AUS            630,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/20/2005
148728801   44,000.00  Purchase  Full            59,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/17/2005
148733124  309,600.00  Purchase  Full           389,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/10/2005
148737604  403,151.36  C/O Refi  Asset Only     504,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/8/2005
148738123  339,656.31  C/O Refi  AUS            810,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/14/2005
148751944  297,000.00  C/O Refi  Asset Only     550,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/10/2005
148755382  470,000.00  C/O Refi  Full         1,265,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/2/2005
148755754  414,000.00  C/O Refi  Asset Only     552,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/23/2005
148757362  399,399.45  R/T Refi  Asset Only     500,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT   11/7/2005
148759913  275,000.00  C/O Refi  Asset Only     393,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/16/2005
148761422  387,500.00  C/O Refi  AUS            750,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT    1/4/2006
148762446  233,600.00  Purchase  Full           292,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/13/2006
148767015  159,762.84  Purchase  Asset Only     200,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/21/2005
148770738  375,110.00  Purchase  Full           471,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/1/2005
148774557  200,290.00  Purchase  Asset Only     324,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT   11/8/2005
148774789  158,100.00  Purchase  Full           198,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/30/2005
148778673  111,313.49  Purchase  Asset Only     145,000.00  12/1/2015    11.75   2.75       2    2.75  1 YR CMT  11/15/2005
148787617  220,000.00  Purchase  Full           275,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/19/2005
148788433  196,500.00  R/T Refi  AUS            256,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/21/2005
148793557  372,000.00  C/O Refi  AUS            820,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/21/2005
148794019  334,997.62  C/O Refi  Full           395,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/11/2005
148794506  361,157.00  Purchase  Asset Only     515,000.00   3/1/2016       11   2.75       2    2.75  1 YR CMT   2/23/2006
148794985  342,000.00  C/O Refi  Full           570,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/12/2005
148801301  331,200.00  R/T Refi  Asset Only     650,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/19/2005
148805922  209,867.12  C/O Refi  AUS            745,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/21/2005
148813348  269,000.00  Purchase  Full           345,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/15/2005
148819774  410,000.00  C/O Refi  AUS            570,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/18/2005
148821531  377,808.26  Purchase  Asset Only     568,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/16/2005
148828106  403,630.59  Purchase  Asset Only     600,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
148829625  266,550.00  C/O Refi  Asset Only     355,400.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/16/2005
148836158  392,000.00  C/O Refi  AUS            890,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/16/2005
148840614  294,000.00  C/O Refi  Full           375,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/22/2005
148848658  339,307.61  Purchase  Asset Only     456,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/18/2005
148859135  112,233.80  C/O Refi  Asset Only     157,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT   11/3/2005
148860398  254,750.00  R/T Refi  Asset Only     345,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   12/1/2005
148865033  368,320.00  Purchase  AUS            460,500.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
148869159  396,000.00  Purchase  AUS            516,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/9/2005
148875172  376,678.75  Purchase  AUS            493,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/30/2005
148877905  215,250.00  Purchase  Full           310,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/14/2005
148885858  311,636.84  C/O Refi  Full           390,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT   11/8/2005
148886187  339,920.00  Purchase  AUS            425,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/25/2005
148886518  359,650.00  Purchase  Full           456,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/9/2005
148888019  400,000.00  Purchase  AUS            507,779.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/7/2005
148890866  249,600.00  Purchase  AUS            312,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/9/2005
148897382  207,948.00  Purchase  Asset Only     260,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/19/2005
148898703  304,500.00  C/O Refi  Asset Only     406,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/9/2005
148907199  315,000.00  C/O Refi  Asset Only     495,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/17/2005
148907686  370,000.00  R/T Refi  Full           480,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT   1/27/2006
148910292  299,853.14  C/O Refi  Asset Only     400,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT    1/6/2006
148912165  269,820.00  Purchase  AUS            339,900.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/15/2005
148923295  188,000.00  Purchase  Full           235,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT   1/26/2006
148925753  342,000.00  Purchase  Asset Only     402,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/15/2005
148932528  387,584.86  C/O Refi  Asset Only     608,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT   12/7/2005
148934946  316,000.00  Purchase  AUS            400,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/30/2005
148936172  389,764.58  Purchase  AUS            489,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
148938392  292,367.09  C/O Refi  AUS            390,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
148945009  348,000.00  R/T Refi  Full           435,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/21/2005
148952088  250,000.00  R/T Refi  Full           327,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/23/2005
148959356  256,000.00  Purchase  AUS            330,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/23/2005
148961261  260,000.00  C/O Refi  AUS            330,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/2/2005
148964711  245,548.91  Purchase  Asset Only     307,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/11/2005
148965387  400,000.00  C/O Refi  Asset Only     500,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/18/2005
148972581  224,000.00  Purchase  Full           290,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/21/2005
148974652  226,400.00  Purchase  AUS            285,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/28/2005
148975899  360,000.00  Purchase  Asset Only     482,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/30/2005
148978661   96,750.00  Purchase  Full           107,500.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/21/2005
148979131  231,879.18  C/O Refi  Asset Only     310,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT    1/4/2006
148979248  380,800.00  Purchase  Asset Only     476,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/30/2005
148983505  395,000.00  R/T Refi  Asset Only     536,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/23/2005
148984487  244,433.28  Purchase  AUS            320,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/12/2005
148996481  167,920.00  Purchase  AUS            229,500.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/9/2005
148996663  363,500.00  R/T Refi  Asset Only     590,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/28/2005
148996887  321,832.00  Purchase  Asset Only     410,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/30/2005
148998735  239,000.00  C/O Refi  Full           328,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/18/2005
149001679  232,000.00  Purchase  Full           304,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/15/2005
149006116  386,500.00  Purchase  AUS            485,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/26/2006
149007866  339,999.58  R/T Refi  AUS            435,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/22/2005
149014862  212,000.00  R/T Refi  Asset Only     325,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT   12/7/2005
149016545  380,000.00  Purchase  Full           475,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/28/2005
149017113  146,748.00  Purchase  Full           184,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/29/2005
149022493  250,000.00  C/O Refi  AUS            455,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT  11/21/2005
149026577  219,792.75  C/O Refi  AUS            420,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/23/2005
149027096  439,888.28  Purchase  AUS            550,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/27/2005
149031072  374,456.51  C/O Refi  Asset Only     570,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/21/2005
149032484  340,000.00  C/O Refi  Asset Only     425,000.00   2/1/2016   11.375   2.75       2    2.75  1 YR CMT   1/16/2006
149037525  397,301.37  C/O Refi  AUS          1,150,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/22/2005
149047953  335,000.00  C/O Refi  Asset Only     521,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/20/2005
149049306  320,000.00  C/O Refi  AUS            400,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/22/2005
149051484  200,000.00  Purchase  AUS            595,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/1/2005
149056111  189,594.93  R/T Refi  Full           237,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
149064883  347,500.00  Purchase  AUS            438,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/13/2005
149067035  168,625.00  Purchase  Full           192,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT  12/14/2005
149069734  299,900.00  Purchase  AUS            380,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/15/2005
149071995  375,000.00  R/T Refi  AUS            500,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT   12/2/2005
149072316  275,000.00  C/O Refi  AUS            655,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/7/2005
149077604  370,000.00  R/T Refi  Asset Only     478,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/5/2005
149079063  177,140.17  Purchase  Full           222,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/22/2005
149079873  359,922.00  C/O Refi  AUS            455,000.00   2/1/2016     11.5   2.75       2    2.75  1 YR CMT    1/6/2006
149087983  553,999.73  Purchase  Full           700,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/22/2005
149097651  400,000.00  R/T Refi  Asset Only     510,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/18/2005
149115834  388,000.00  Purchase  AUS            489,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/15/2005
149116113  400,000.00  C/O Refi  Asset Only     600,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/13/2006
149117392  400,000.00  Purchase  AUS            500,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
149134686  203,016.90  Purchase  Full           268,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/21/2005
149142556  118,935.55  Purchase  AUS            349,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/30/2005
149150757  233,120.00  Purchase  Full           301,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/2/2005
149159287  392,000.00  Purchase  Asset Only     490,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/11/2006
149160053  250,991.75  C/O Refi  Full           400,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/30/2005
149166423  384,000.00  C/O Refi  Asset Only     480,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/19/2005
149173858  235,920.00  Purchase  AUS            296,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
149178709  266,000.00  C/O Refi  Asset Only     360,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/23/2005
149180424  247,425.00  R/T Refi  Asset Only     311,500.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/21/2005
149182586  220,000.00  Purchase  Asset Only     287,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/2/2005
149193021  395,000.00  C/O Refi  Asset Only     500,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/9/2005
149208423  396,718.14  C/O Refi  Asset Only     504,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/21/2005
149211476  377,787.23  C/O Refi  Asset Only     505,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT  12/14/2005
149211971  247,999.67  Purchase  AUS            310,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/9/2005
149216079  400,000.00  Purchase  AUS            500,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/7/2005
149218075  251,920.00  Purchase  Asset Only     315,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   12/2/2005
149218166  151,200.00  Purchase  Full           190,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT  12/16/2005
149227894  303,703.14  C/O Refi  Asset Only     540,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT    1/3/2006
149229148  402,698.22  R/T Refi  AUS            515,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/22/2005
149243313  241,600.00  R/T Refi  Asset Only     302,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/14/2005
149250896  380,000.00  Purchase  Asset Only     480,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT    1/9/2006
149252298  360,000.00  Purchase  AUS            450,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT    1/4/2006
149256687  300,000.00  C/O Refi  AUS            555,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/9/2005
149265936  414,754.39  R/T Refi  AUS            556,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/2/2005
149266736  290,400.00  R/T Refi  Full           363,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/8/2005
149267817  236,000.00  Purchase  Full           295,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/15/2005
149287484  413,298.41  Purchase  AUS            545,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT   1/17/2006
149289183  346,129.00  Purchase  AUS            436,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/12/2005
149299075  262,500.00  C/O Refi  Asset Only     350,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/13/2005
149312233  400,000.00  C/O Refi  AUS            740,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/16/2005
149317422  229,650.00  C/O Refi  Asset Only     390,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/23/2005
149325383  157,000.00  Purchase  Full           228,000.00   1/1/2016    11.75   2.75       2    2.75  1 YR CMT   12/6/2005
149337602  374,990.96  C/O Refi  AUS            470,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/14/2005
149343733  244,000.00  Purchase  AUS            310,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/19/2005
149349649  240,000.00  Purchase  Full           301,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT  12/15/2005
149353161  477,000.00  C/O Refi  Asset Only     800,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/21/2005
149353203  413,000.00  R/T Refi  Full           521,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/19/2005
149356164  330,912.00  Purchase  Full           375,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/14/2005
149363194  205,903.51  Purchase  Full           220,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/16/2005
149364184  403,000.00  R/T Refi  AUS          2,000,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/19/2005
149368052  300,000.00  C/O Refi  AUS            434,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/14/2005
 39895107  412,704.00  Purchase  Full           460,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/11/2005
 46971131  303,000.00  R/T Refi  Full           330,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    9/9/2005
 50201896  191,900.00  Purchase  Full           205,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/23/2005
 51901064  210,399.96  Purchase  Full           268,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/1/2005
 52061876  133,945.58  Purchase  Full           143,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/27/2005
 52187101  375,025.59  Purchase  Full           472,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
 52287307  226,687.76  Purchase  Full           273,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/17/2005
 52525334  188,500.00  R/T Refi  Full           250,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT    5/4/2005
 52795473  388,028.27  Purchase  Full           535,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/12/2005
 52869807  394,972.24  Purchase  Asset Only     863,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/8/2005
 52908001  215,721.07  R/T Refi  Full           270,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/27/2005
 52986304  294,400.00  Purchase  Full           368,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/27/2005
 53101283  198,000.00  Purchase  Full           248,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/5/2005
 53178182  224,923.15  Purchase  Full           300,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/20/2005
 53280798  396,552.07  Purchase  Asset Only     505,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/30/2005
 53561346  104,500.00  Purchase  Full           110,700.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/19/2005
 53569224  307,950.00  Purchase  Full           388,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/24/2005
 53573648  118,411.33  Purchase  Full           149,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/2/2005
 53656039  308,750.00  Purchase  Full           325,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/17/2005
 53741765  327,826.89  C/O Refi  Asset Only     445,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/9/2005
 53775417  386,993.85  Purchase  Asset Only     490,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/15/2005
 53829495  405,672.22  R/T Refi  Full           475,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
 53876199  269,775.70  Purchase  Full           284,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/23/2005
 53893574  389,000.00  C/O Refi  Full           678,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/3/2005
 53954673   89,828.01  Purchase  Asset Only     120,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/6/2005
 54107156  146,400.00  Purchase  Full           183,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/26/2005
 54205687  261,321.27  Purchase  Asset Only     566,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/16/2005
 54231352  212,044.92  Purchase  Full           267,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/11/2005
 54251913  118,522.03  C/O Refi  Asset Only     168,000.00   7/1/2015   11.125   2.75       2    2.75  1 YR CMT   6/10/2005
 54283197  276,166.51  Purchase  Asset Only     350,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/17/2005
 54290663  399,248.43  C/O Refi  Asset Only     535,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/15/2005
 54301114  234,940.50  C/O Refi  Full           294,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
 54437546  262,519.00  Purchase  Full           330,000.00   3/1/2016   11.375   2.75       2    2.75  1 YR CMT    2/6/2006
 54449194  148,000.00  C/O Refi  Full           236,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/6/2005
 54450085  140,000.00  Purchase  Full           190,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/31/2005
 54457387  400,000.00  C/O Refi  Full           640,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/25/2005
 54459011  343,920.00  Purchase  Full           435,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/29/2005
 54469135  165,000.00  C/O Refi  Full           445,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/6/2005
 54473327  284,582.08  Purchase  Full           365,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/8/2005
 54476353  135,000.00  C/O Refi  Full           200,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/10/2005
 54497789  223,978.07  C/O Refi  Full           280,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/19/2005
 54546155  372,060.79  C/O Refi  Asset Only     630,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/15/2005
 54616982  130,340.82  Purchase  Full           165,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/17/2005
 54639232  366,459.08  R/T Refi  Asset Only     640,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/27/2005
 54664552  139,000.00  R/T Refi  Full           175,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT    8/1/2005
 54665518  301,500.00  R/T Refi  Full           352,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/16/2005
 54684618  227,573.65  C/O Refi  Full           285,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT    6/6/2005
 54775689  323,874.79  C/O Refi  Full           405,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/23/2005
 54779707  315,336.09  Purchase  Full           450,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT    6/2/2005
 54830054  331,000.00  C/O Refi  Asset Only     555,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/8/2005
 54846225  246,929.94  Purchase  Full           368,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT    6/9/2005
 54855275  309,772.39  C/O Refi  Asset Only     462,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/14/2005
 54855606  162,300.00  C/O Refi  Asset Only     360,000.00   7/1/2015   11.125   2.75       2    2.75  1 YR CMT   6/24/2005
 54926787  115,967.40  R/T Refi  Full           145,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/22/2005
 54946447  228,000.00  Purchase  Full           286,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/3/2005
 54974787  173,840.00  R/T Refi  Full           269,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
 55073365  136,000.00  R/T Refi  Full           178,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT    6/9/2005
 55077465  399,902.08  Purchase  Full           538,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
 55105464  307,920.00  Purchase  Full           385,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/30/2005
 55133565  199,907.35  C/O Refi  Asset Only     444,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/21/2005
 55137384  249,750.00  C/O Refi  Asset Only     333,000.00   7/1/2015   11.125   2.75       2    2.75  1 YR CMT   6/28/2005
 55143945  178,150.00  C/O Refi  Full           385,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/25/2005
 55209829  405,340.26  R/T Refi  Full           900,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/10/2005
 56487085  159,396.71  C/O Refi  Full           215,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/14/2005
 56494966  279,624.82  Purchase  Full           351,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/29/2005
 56575608  394,577.20  Purchase  Full           500,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/28/2005
 56604341  147,120.00  Purchase  Full           183,900.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/22/2005
 56631104  255,857.38  C/O Refi  Asset Only     320,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT    7/6/2005
 56634157  395,933.13  R/T Refi  Full           496,500.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/10/2005
 56664139  229,553.15  Purchase  Asset Only     290,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/3/2005
 56726227  139,373.61  C/O Refi  Full           175,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/10/2005
 56732514  253,112.04  C/O Refi  Full           370,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/15/2005
 56732555  358,061.29  R/T Refi  Asset Only     477,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/9/2005
 56766124  121,695.00  Purchase  Full           129,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/8/2005
 56794142  395,394.69  Purchase  Asset Only     500,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/8/2005
 56830573  262,425.03  Purchase  Full           345,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/31/2005
 56832264  300,586.60  Purchase  Full           395,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/20/2005
 56838691  175,368.00  Purchase  Full           223,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/29/2005
 56870942  412,000.00  Purchase  Full           515,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/1/2005
 56882749  321,690.82  C/O Refi  Asset Only     530,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/1/2005
 56907793  412,000.00  C/O Refi  Full           655,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/15/2005
 56928013  347,747.25  C/O Refi  Full           439,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/25/2005
 56950629  350,000.00  C/O Refi  Asset Only     880,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT    7/8/2005
 56952963  345,977.25  Purchase  Full         1,050,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/25/2005
 56962814  340,000.00  C/O Refi  Full           625,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/20/2005
 56997679  183,255.00  Purchase  Full           275,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/10/2005
 57049827  207,039.86  Purchase  Asset Only     280,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/28/2005
 57112286  317,968.86  Purchase  Full           400,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/5/2005
 57125809  247,239.44  Purchase  Asset Only     310,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/23/2005
 57241135  375,250.00  Purchase  Asset Only     400,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/31/2005
 57279655  152,910.00  Purchase  Full           183,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/10/2005
 57325409  113,000.00  R/T Refi  Full           143,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/5/2005
 57338196  217,600.00  Purchase  Asset Only     273,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/23/2005
 57389702  392,830.80  Purchase  Full           448,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/31/2005
 57394181  183,730.00  Purchase  Asset Only     260,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/19/2005
 57435612  209,975.96  C/O Refi  Asset Only     280,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/27/2005
 57436404  240,000.00  C/O Refi  Asset Only     320,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/22/2005
 57485187  356,000.00  R/T Refi  Full           445,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/16/2005
 57489197  159,983.04  Purchase  Full           204,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/9/2005
 57560872  183,094.92  R/T Refi  Full           230,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/4/2005
 57566895  378,957.00  Purchase  Full           474,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/22/2005
 57601023  196,800.00  C/O Refi  Full           246,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/2/2005
 57603185   94,348.92  R/T Refi  Full           118,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT    8/4/2005
 57641581  408,281.00  Purchase  Full           589,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/14/2005
 57679557  244,000.00  C/O Refi  Full           325,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/16/2005
 57703126  420,000.00  R/T Refi  Full           525,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/8/2005
 57703167  420,000.00  R/T Refi  Full           525,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/8/2005
 57730616  372,996.18  C/O Refi  Asset Only     420,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/26/2005
 57779183  255,000.00  C/O Refi  Full           560,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/12/2005
 57789158  408,000.00  C/O Refi  Asset Only     575,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT   10/5/2005
 57789406   67,383.15  Purchase  Full            75,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/22/2005
 57793341  232,000.00  C/O Refi  Full           290,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/22/2005
 57793911  109,995.92  Purchase  Full           137,500.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/9/2005
 57798183  266,000.00  Purchase  Asset Only     310,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/23/2005
 57830424  103,600.00  R/T Refi  Full           116,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/30/2005
 57838179  336,000.00  Purchase  Full           420,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/23/2005
 57838427  384,000.00  C/O Refi  Full           480,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/6/2005
 57840621  254,996.43  C/O Refi  Full           340,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
 57843088  360,000.00  Purchase  Asset Only     450,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/2/2005
 57852139  207,999.94  Purchase  Full           260,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/24/2005
 57853293  319,150.60  C/O Refi  Asset Only     475,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/9/2005
 57854382  240,000.00  C/O Refi  Full           310,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/8/2005
 57870354  223,891.99  C/O Refi  Full           280,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
 57874752  321,600.00  Purchase  Full           402,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/8/2005
 57918948  322,890.14  Purchase  Full           395,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/31/2005
 57935751  223,798.66  C/O Refi  Full           280,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/11/2005
 57942286  148,738.51  Purchase  Full           187,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/19/2005
 57976094  264,000.00  Purchase  Full           330,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT    8/8/2005
 57999567  347,200.00  Purchase  Asset Only     434,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/1/2005
 58033101  256,000.00  C/O Refi  Full           320,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/17/2005
 58048059  159,088.47  Purchase  Full           199,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/4/2005
 58050881  211,948.10  R/T Refi  Full           265,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/24/2005
 58057159   93,000.00  C/O Refi  Full           135,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/25/2005
 58057423  303,920.00  Purchase  Full           468,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/22/2005
 58060922  208,400.00  Purchase  Full           261,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    8/1/2005
 58082157  243,750.00  C/O Refi  Asset Only     325,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/25/2005
 58099433   81,600.00  C/O Refi  Full           102,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/24/2005
 58100306   64,000.00  C/O Refi  Full            80,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/24/2005
 58108762  341,846.41  C/O Refi  Asset Only     460,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/16/2005
 58140542  287,595.79  Purchase  Asset Only     390,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/26/2005
 58147059  229,870.62  Purchase  Full           242,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/24/2005
 58168972  267,797.62  Purchase  Full           335,000.00   9/1/2015   11.375   2.75       2    2.75  1 YR CMT   8/15/2005
 58172065  365,000.00  C/O Refi  Asset Only     550,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/19/2005
 58181009  360,000.00  C/O Refi  Full           450,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/19/2005
 58196494  424,290.00  C/O Refi  Full           555,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/11/2005
 58200064  216,000.00  C/O Refi  Full           340,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/25/2005
 58232463  184,000.00  Purchase  Full           230,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/11/2005
 58237868   88,950.36  Purchase  Full           111,500.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT    8/5/2005
 58254194  286,400.00  Purchase  Asset Only     358,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/18/2005
 58263047  359,650.00  C/O Refi  Full           468,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/22/2005
 58278326  224,948.73  Purchase  Asset Only     425,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/21/2005
 58282286  154,000.00  R/T Refi  Full           180,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/29/2005
 58306531  157,600.00  Purchase  Full           200,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/16/2005
 58333725  142,200.00  Purchase  Full           158,000.00  10/1/2015     11.5   2.75       2    2.75  1 YR CMT   9/22/2005
 58348962  175,000.00  C/O Refi  Full           320,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/30/2005
 58349382  187,827.81  Purchase  Asset Only     220,900.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/22/2005
 58399361  279,933.14  C/O Refi  Asset Only     435,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/26/2005
 58410168  179,951.12  Purchase  Full           225,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/4/2005
 58417874  618,750.00  C/O Refi  Asset Only     860,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/18/2005
 58420688  220,000.00  C/O Refi  Full           275,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/8/2005
 58430208  289,000.00  C/O Refi  Full           400,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/8/2005
 58436791  395,830.80  C/O Refi  Asset Only     900,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/24/2005
 58466087  225,958.39  Purchase  Full           282,500.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/16/2005
 58526625   89,977.50  Purchase  Full           100,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/14/2005
 58545542  445,600.00  Purchase  Full           557,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/24/2005
 58572843  416,000.00  C/O Refi  Full           520,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/24/2005
 58573676  327,600.00  Purchase  Full           410,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/31/2005
 58582644  374,000.00  R/T Refi  Asset Only     440,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/4/2005
 58588948  320,000.00  Purchase  Full           610,000.00   9/1/2015   11.375   2.75       2    2.75  1 YR CMT   8/17/2005
 58605254  388,000.00  R/T Refi  Full           485,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
 58608035  242,880.00  C/O Refi  Full           291,100.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/23/2005
 58644204  411,600.00  Purchase  Full           530,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/8/2005
 58659103  209,250.00  C/O Refi  Asset Only     279,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/23/2005
 58661513  400,000.00  Purchase  Full           690,500.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/31/2005
 58693086  291,000.00  C/O Refi  Full           440,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT    9/7/2005
 58694662  321,094.01  Purchase  Full           405,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   10/6/2005
 58708884  399,500.00  C/O Refi  Full           500,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/24/2005
 58749599  340,000.00  C/O Refi  Full           425,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/26/2005
 58758186  404,000.00  Purchase  Full           520,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/13/2005
 58762725  305,761.89  C/O Refi  Full           390,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
 58771056  148,000.00  Purchase  Full           399,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/2/2005
 58776956  374,400.00  C/O Refi  Full           468,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/8/2005
 58781519  198,352.67  Purchase  Full           248,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/13/2005
 58785361  310,000.00  C/O Refi  Full           445,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT    9/1/2005
 58798133  124,000.00  R/T Refi  Full           155,000.00  10/1/2015   11.375   2.75       2    2.75  1 YR CMT   9/20/2005
 58817685  157,560.60  Purchase  Full           198,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT    9/8/2005
 58821042  251,910.00  Purchase  Full           280,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/28/2005
 58841214  388,000.00  R/T Refi  Asset Only     500,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/29/2005
 58848318  222,749.64  C/O Refi  Asset Only     297,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/11/2005
 58857426  383,919.61  C/O Refi  Full           480,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
 58866534  139,962.08  Purchase  Full           175,000.00   9/1/2015     11.5   2.75       2    2.75  1 YR CMT   8/31/2005
 58926601  300,000.00  C/O Refi  Asset Only     409,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/10/2005
 58933656  283,785.00  Purchase  Full           360,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/31/2005
 58954157  284,860.48  Purchase  Asset Only     400,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/3/2005
 58986761  249,950.73  C/O Refi  Full           326,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT   10/5/2005
 58999913  183,400.00  C/O Refi  Asset Only     262,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/29/2005
 59014605  386,731.74  C/O Refi  Asset Only     745,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/20/2005
 59024224  300,000.00  Purchase  Full           400,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
 59030874  289,598.18  Purchase  Full           362,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/16/2005
 59042036  273,115.22  R/T Refi  Full           355,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/12/2005
 59058503  345,734.14  R/T Refi  Asset Only     475,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/12/2005
 59068395  330,000.00  R/T Refi  Full           460,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/26/2005
 59068403  343,000.00  C/O Refi  Asset Only     460,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/19/2005
 59070896  323,000.00  R/T Refi  Asset Only     710,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/17/2005
 59099853  158,250.00  R/T Refi  Full           181,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/20/2005
 59106443  156,620.00  R/T Refi  Full           185,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT   10/4/2005
 59108787  179,783.34  R/T Refi  Full           225,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/7/2005
 59111021  400,000.00  C/O Refi  Full           650,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/12/2005
 59118307  300,000.00  C/O Refi  Asset Only     645,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
 59119891  271,296.66  Purchase  Full           295,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/13/2005
 59121426  303,171.79  Purchase  Full           380,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/30/2005
 59122655  258,163.58  C/O Refi  Asset Only     500,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/16/2005
 59127696  302,515.19  Purchase  Full           422,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/1/2005
 59136556  331,856.57  Purchase  Full           415,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/30/2005
 59165613  379,551.82  Purchase  Full           475,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/25/2005
 59182931  126,391.25  R/T Refi  Full           158,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   9/16/2005
 59186643  263,500.00  R/T Refi  Asset Only     500,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/25/2005
 59219477  126,655.00  Purchase  Full           165,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT    9/9/2005
 59263731  269,731.74  C/O Refi  Asset Only     620,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/4/2005
 59301689  151,863.92  Purchase  Full           190,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/31/2005
 59315598  290,977.01  Purchase  Full           370,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT   12/1/2005
 59315994  280,000.00  C/O Refi  Full           350,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/14/2005
 59341255  347,342.15  R/T Refi  Full           435,000.00  10/1/2015    11.25   2.75       2    2.75  1 YR CMT   10/3/2005
 59344705  379,316.92  Purchase  Asset Only     550,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/19/2005
 59348409  382,500.00  C/O Refi  Asset Only     510,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
 59382366  220,000.00  Purchase  Full           275,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/28/2005
 59407304  175,000.00  C/O Refi  Full           235,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/17/2005
 59412155  154,375.00  Purchase  Full           166,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/4/2005
 59421065  336,818.37  C/O Refi  Asset Only   1,200,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/22/2005
 59424804  208,135.88  R/T Refi  Asset Only     245,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/19/2005
 59458109  368,400.00  Purchase  Full           461,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/15/2005
 59486969  270,000.00  C/O Refi  Full           435,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/26/2005
 59489468  200,000.00  C/O Refi  Full           270,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/23/2005
 59515064  388,687.86  C/O Refi  Asset Only     725,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/23/2005
 59542126  329,650.00  Purchase  Full           347,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/22/2005
 59552976  408,462.00  Purchase  Full           535,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/29/2005
 59564088  300,000.00  C/O Refi  Full           510,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/21/2005
 59576132  246,224.48  Purchase  Asset Only     608,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/21/2005
 59609412  396,256.94  C/O Refi  Asset Only     475,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/21/2005
 59610089  415,000.00  Purchase  Asset Only     600,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/9/2005
 59610618  314,002.35  C/O Refi  Full           393,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/9/2005
 59614248  300,000.00  R/T Refi  Full           375,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/6/2005
 59650127  275,000.00  C/O Refi  Asset Only     373,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   9/27/2005
 59655969  360,000.00  C/O Refi  Full           628,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/7/2005
 59688606  400,050.00  Purchase  Full           445,000.00  10/1/2015       11   2.75       2    2.75  1 YR CMT   9/26/2005
 59692913  393,747.53  Purchase  Full           499,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/22/2005
 59701276  176,300.00  Purchase  Full           195,990.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/17/2005
 59735811  319,982.51  R/T Refi  Asset Only     410,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/13/2005
 59738302  229,701.36  Purchase  Full           289,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/30/2005
 59797639  114,730.96  C/O Refi  Asset Only     420,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/14/2005
 59798066  237,261.49  R/T Refi  Full           345,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
 59801407  183,118.83  C/O Refi  Full           230,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/28/2005
 59808022  266,400.00  Purchase  Full           333,000.00  10/1/2015   11.125   2.75       2    2.75  1 YR CMT   9/27/2005
 59813733  336,000.00  Purchase  Full           420,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/4/2005
 59819839  315,810.00  Purchase  Asset Only     475,500.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT   4/11/2006
 59833152  227,739.84  Purchase  Full           293,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/27/2005
 59844894  300,000.00  C/O Refi  Asset Only     435,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/6/2005
 59865097  313,600.00  R/T Refi  Full           392,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
 59886945  499,572.49  C/O Refi  Full           777,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/17/2005
 59889022  371,250.00  R/T Refi  Full           500,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/5/2005
 59889188  341,500.00  R/T Refi  Asset Only     475,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/19/2005
 59900753  318,067.50  C/O Refi  Full           405,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/10/2005
 59915801  311,200.00  Purchase  Full           393,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/14/2005
 59918318  399,600.00  C/O Refi  Full           615,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/28/2005
 59930925  386,948.95  C/O Refi  Full           485,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/10/2005
 59937151  289,676.59  R/T Refi  Asset Only     425,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/12/2005
 59946145  410,000.00  Purchase  Full           650,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/13/2005
 59965137  156,639.62  Purchase  Full           198,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/28/2005
 60002987  400,000.00  C/O Refi  Asset Only     705,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/20/2005
 60011558  270,734.76  C/O Refi  Asset Only     364,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/10/2005
 60012531  284,300.00  Purchase  Asset Only     535,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
 60021003  213,000.00  R/T Refi  Full           375,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/26/2005
 60021938  204,000.00  R/T Refi  Full           375,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/26/2005
 60025053  293,900.00  Purchase  Full           380,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/8/2005
 60030343  360,000.00  Purchase  Full           450,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/10/2005
 60038668  223,000.00  C/O Refi  Full           279,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/20/2005
 60039351  173,507.93  Purchase  Full           217,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/20/2005
 60056397  105,600.00  Purchase  Asset Only     132,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/15/2005
 60064045  397,962.66  C/O Refi  Asset Only     460,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/11/2005
 60088135  151,200.00  Purchase  Full           189,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/30/2005
 60092384  130,487.80  Purchase  Full           145,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/21/2005
 60106945  240,631.00  Purchase  Full           300,800.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/6/2005
 60116506  340,000.00  R/T Refi  Full           425,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/11/2005
 60122371  176,205.02  C/O Refi  Full           245,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/2/2005
 60162583  370,399.00  C/O Refi  Asset Only     463,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/11/2005
 60165289  228,966.37  C/O Refi  Full           405,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/24/2005
 60186582  166,720.00  Purchase  Full           300,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/21/2005
 60192101  315,000.00  Purchase  Asset Only     425,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/31/2005
 60197225  311,167.32  C/O Refi  Asset Only     415,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/12/2005
 60214269  405,600.00  C/O Refi  Full           507,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/7/2005
 60228988  322,000.00  C/O Refi  Full           600,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT   1/10/2006
 60232204  132,000.00  Purchase  Full           165,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/27/2005
 60234408  311,740.87  Purchase  Asset Only     402,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/21/2005
 60238565  328,000.00  C/O Refi  Full           410,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/28/2005
 60249414  131,950.00  Purchase  Full           167,000.00  11/1/2015    11.25   2.75       2    2.75  1 YR CMT  10/20/2005
 60257847  379,069.79  C/O Refi  Asset Only     510,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/24/2005
 60260429  375,000.00  R/T Refi  Full           960,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/31/2005
 60294337  234,000.00  C/O Refi  Full           337,500.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/24/2005
 60314168  282,400.00  C/O Refi  Full           820,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/8/2005
 60321411  264,000.00  C/O Refi  Full           330,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/24/2005
 60324225  290,822.70  R/T Refi  Full           310,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/28/2005
 60325198  306,500.00  C/O Refi  Full           405,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/17/2005
 60345824  344,000.00  C/O Refi  Full           430,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/29/2005
 60354974  180,000.00  Purchase  Asset Only     240,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT  11/16/2005
 60356433  144,000.00  Purchase  Asset Only     190,000.00  12/1/2015    11.75   2.75       2    2.75  1 YR CMT  11/16/2005
 60370863  387,200.00  Purchase  Full           485,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT   1/18/2006
 60376753   92,700.00  Purchase  Full           110,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/2/2005
 60376944   92,700.00  Purchase  Full           110,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/2/2005
 60377116   92,700.00  Purchase  Full           107,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/2/2005
 60377371   92,700.00  Purchase  Full           107,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT   12/2/2005
 60409828  400,000.00  C/O Refi  Asset Only   1,100,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/25/2005
 60411451  420,000.00  R/T Refi  Full           610,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/21/2005
 60414174  298,723.74  C/O Refi  Full           605,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/17/2005
 60416898  395,997.23  C/O Refi  Full           495,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/26/2005
 60434388  294,000.00  C/O Refi  Full           391,000.00   1/1/2016    11.75   2.75       2    2.75  1 YR CMT   12/2/2005
 60446564  349,997.21  C/O Refi  Full           460,000.00  11/1/2015   11.375   2.75       2    2.75  1 YR CMT  10/25/2005
 60450533  143,300.00  Purchase  Full           185,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/26/2005
 60451218  239,412.35  C/O Refi  Asset Only     350,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/8/2005
 60452695  405,000.00  C/O Refi  Asset Only     540,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/25/2005
 60459815  150,000.00  C/O Refi  Full           400,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/18/2005
 60473501  398,800.00  C/O Refi  Asset Only     730,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/14/2005
 60481173  221,199.76  C/O Refi  Full           276,500.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  11/28/2005
 60488145  359,700.00  C/O Refi  Full           645,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/19/2005
 60489002  132,000.00  Purchase  Full           165,000.00   1/1/2016   11.875   2.75       2    2.75  1 YR CMT  12/16/2005
 60489317  384,000.00  Purchase  Full           480,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/27/2005
 60489705  158,861.93  Purchase  Full           440,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/18/2005
 60497161  174,400.00  Purchase  Asset Only     195,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT   11/3/2005
 60501103  385,359.66  Purchase  Full           500,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT   11/8/2005
 60502911  168,825.53  C/O Refi  Asset Only     285,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
 60516028  179,992.00  Purchase  Full           225,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/19/2005
 60535168  175,388.00  Purchase  Full           225,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/28/2005
 60558715  189,300.00  C/O Refi  Asset Only     252,400.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  11/30/2005
 60560729  273,000.00  C/O Refi  Full           390,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   11/9/2005
 60561578  391,706.05  C/O Refi  Full           490,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/9/2005
 60561776  295,710.80  C/O Refi  Full           370,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/3/2005
 60564762  220,000.00  C/O Refi  Asset Only     485,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/11/2005
 60581287  165,200.00  Purchase  Full           208,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/23/2005
 60588068  345,800.00  Purchase  Asset Only     364,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/4/2005
 60595873  358,579.75  C/O Refi  Asset Only     400,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/10/2005
 60598356  390,800.00  Purchase  Asset Only     490,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/13/2005
 60602828  151,397.70  C/O Refi  Full           205,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/20/2005
 60618733  451,600.00  Purchase  Full           565,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT   1/31/2006
 60644473  500,000.00  C/O Refi  Asset Only   1,350,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/15/2005
 60647708  392,082.85  R/T Refi  Asset Only     850,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/11/2005
 60676103   99,750.00  Purchase  Full           117,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/16/2005
 60680758  266,499.85  C/O Refi  Asset Only     580,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  10/27/2005
 60681012  400,000.00  C/O Refi  Asset Only     640,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/10/2005
 60681137  320,000.00  C/O Refi  Asset Only     525,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/19/2005
 60682093  146,403.32  R/T Refi  Full           185,000.00  11/1/2015   11.125   2.75       2    2.75  1 YR CMT  10/31/2005
 60682333  276,000.00  Purchase  Full           345,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/21/2005
 60683596  109,728.70  C/O Refi  Full           225,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
 60690252  229,557.99  Purchase  Full           300,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT  10/31/2005
 60691227  385,000.00  Purchase  Asset Only     715,000.00  11/1/2015       11   2.75       2    2.75  1 YR CMT  10/25/2005
 60703444  350,625.00  C/O Refi  Asset Only     467,500.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/2/2005
 60707254  269,028.00  Purchase  Full           370,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/29/2005
 60712577  168,750.00  Purchase  Asset Only     238,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/30/2005
 60717634  400,000.00  C/O Refi  Full           500,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/30/2005
 60723434  367,949.73  C/O Refi  Full           525,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/10/2005
 60732534  170,320.00  Purchase  Full           220,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/23/2005
 60736212  176,734.98  C/O Refi  Asset Only     690,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/17/2005
 60749942  379,199.00  Purchase  Full           475,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/18/2005
 60751492  202,000.00  C/O Refi  Asset Only     280,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/19/2005
 60751815  298,619.58  Purchase  Asset Only     375,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/7/2005
 60753993  400,000.00  C/O Refi  Full           620,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/5/2005
 60762499  380,000.00  C/O Refi  Asset Only     525,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/28/2005
 60773934  175,563.42  Purchase  Full           220,000.00   3/1/2016    11.25   2.75       2    2.75  1 YR CMT    2/6/2006
 60794914  215,160.00  Purchase  Full           270,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/1/2005
 60798964  328,000.00  C/O Refi  Full           410,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/23/2005
 60799038  220,715.32  C/O Refi  Asset Only     535,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/5/2005
 60805546  344,913.75  Purchase  Asset Only     635,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/7/2005
 60808466  375,600.00  Purchase  Full           470,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/21/2005
 60816782  340,000.00  Purchase  Full           427,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/12/2005
 60817343  146,700.00  Purchase  Full           163,000.00  12/1/2015    11.75   2.75       2    2.75  1 YR CMT  11/10/2005
 60818614  148,500.00  Purchase  Full           165,000.00  12/1/2015    11.75   2.75       2    2.75  1 YR CMT  11/11/2005
 60828407  349,992.63  C/O Refi  Asset Only     625,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/9/2005
 60829728  231,760.00  Purchase  Full           289,700.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
 60829934  397,000.00  R/T Refi  Asset Only     810,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/28/2005
 60837242  335,679.82  C/O Refi  Full           420,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/6/2005
 60841731  293,053.00  Purchase  Full           335,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/21/2005
 60844636  122,000.00  C/O Refi  Full           203,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/22/2005
 60854023  254,974.73  R/T Refi  Asset Only     335,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/11/2005
 60858917  327,767.34  R/T Refi  Asset Only     430,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/17/2005
 60870169  201,500.00  C/O Refi  Asset Only     550,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   11/4/2005
 60870441  376,990.51  R/T Refi  Asset Only     550,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT   11/7/2005
 60873494  406,800.00  R/T Refi  Asset Only     520,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT   12/6/2005
 60877974  172,800.00  Purchase  Full           216,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/1/2005
 60893203  355,526.68  C/O Refi  Asset Only     550,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
 60904976  325,000.00  C/O Refi  Full           580,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/21/2005
 60913043  145,600.00  Purchase  Full           182,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/28/2005
 60926391  145,200.00  Purchase  Full           162,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT  11/11/2005
 60927738  140,582.52  Purchase  Full           176,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/15/2005
 60930088  414,100.00  R/T Refi  Asset Only     575,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/22/2005
 60932274  193,000.00  C/O Refi  Full           370,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/15/2005
 60945169  127,866.50  Purchase  Full           160,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/30/2005
 60951878  392,521.74  R/T Refi  Full           548,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
 60962669  337,594.88  R/T Refi  Asset Only     465,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/18/2005
 60965563  244,649.99  C/O Refi  Full           330,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/6/2005
 60967387  112,002.08  C/O Refi  Full           141,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/23/2005
 60975158  168,830.00  R/T Refi  Full           250,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/12/2005
 60980372  266,000.00  R/T Refi  AUS            655,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/17/2005
 61007621  253,000.00  Purchase  Asset Only     283,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/22/2005
 61008785  160,000.00  C/O Refi  Full           310,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT  11/21/2005
 61009114   78,397.08  R/T Refi  Full           170,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/21/2005
 61015616  372,147.38  C/O Refi  Full           485,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/25/2005
 61017521  299,143.33  C/O Refi  Full           388,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/21/2005
 61022463  283,500.00  Purchase  Full           330,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT  12/29/2005
 61028387  189,600.00  C/O Refi  Full           700,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/16/2005
 61056065  366,931.08  C/O Refi  Asset Only     565,500.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT  12/15/2005
 61060372  397,637.39  C/O Refi  Asset Only     535,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  11/28/2005
 61062022  270,000.00  C/O Refi  Full           410,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  11/28/2005
 61078663  208,549.20  C/O Refi  Asset Only     300,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/17/2005
 61083267  248,000.00  C/O Refi  Full           310,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/14/2005
 61098984  213,600.00  C/O Refi  Full           300,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/23/2005
 61099065  160,000.00  Purchase  Full           220,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/15/2005
 61105508  145,070.00  Purchase  Full           168,000.00  12/1/2015   11.625   2.75       2    2.75  1 YR CMT  11/15/2005
 61108726  167,200.00  Purchase  Full           210,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT   12/2/2005
 61110888  404,992.91  C/O Refi  Full         1,009,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT   12/7/2005
 61115192  181,900.00  C/O Refi  Full           252,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/23/2005
 61123121  354,560.35  C/O Refi  Full           443,500.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/23/2005
 61143111  210,400.00  Purchase  Full           263,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
 61150355  203,977.41  C/O Refi  Full           255,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/21/2005
 61154068  375,000.00  C/O Refi  Asset Only     500,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/1/2005
 61154464  160,000.00  Purchase  Full           218,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/21/2005
 61156741  258,203.72  C/O Refi  Asset Only   1,275,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/22/2005
 61169124  238,000.00  R/T Refi  Full           305,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/9/2005
 61175386  133,520.00  Purchase  Full           169,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/8/2005
 61186284  288,607.00  Purchase  Full           380,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/18/2005
 61189809  239,200.00  C/O Refi  Full           299,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/16/2005
 61190914  360,000.00  Purchase  Asset Only     450,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/22/2005
 61197604  250,000.00  C/O Refi  Full           335,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT   1/19/2006
 61224606  385,000.00  C/O Refi  Full           600,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/13/2005
 61226841  354,243.75  C/O Refi  Asset Only     475,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/5/2005
 61229027  339,000.00  C/O Refi  Asset Only     800,000.00   1/1/2016   11.625   2.75       2    2.75  1 YR CMT  11/28/2005
 61229373   99,874.84  C/O Refi  Full           125,000.00   1/1/2016    11.75   2.75       2    2.75  1 YR CMT  12/15/2005
 61246039  397,000.00  R/T Refi  Full           590,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/2/2005
 61263547  273,750.00  C/O Refi  Asset Only     365,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/20/2005
 61264446  317,613.85  C/O Refi  Full           440,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/25/2005
 61265062  400,000.00  C/O Refi  Full           650,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT    1/3/2006
 61279287  345,000.00  R/T Refi  Full           390,000.00  12/1/2015     11.5   2.75       2    2.75  1 YR CMT  11/23/2005
 61284485  384,171.03  R/T Refi  Full           500,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/5/2005
 61293197  152,000.00  R/T Refi  Full           190,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/19/2005
 61294997  282,000.00  Purchase  Full           360,000.00  12/1/2015       11   2.75       2    2.75  1 YR CMT   12/7/2005
 61295689  246,200.00  Purchase  Full           309,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/22/2005
 61303822   49,456.74  C/O Refi  Asset Only     150,000.00  12/1/2015   11.875   2.75       2    2.75  1 YR CMT  11/28/2005
 61318119  224,000.00  Purchase  Asset Only     290,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/14/2005
 61335287  288,000.00  C/O Refi  Full           360,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/1/2005
 61338497  284,000.00  Purchase  Full           355,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/14/2005
 61352779  173,307.30  C/O Refi  Asset Only     385,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/12/2005
 61363206  310,076.00  Purchase  Full           425,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/22/2005
 61364949  252,000.00  Purchase  Full           326,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/23/2006
 61370698  300,000.00  Purchase  Full           380,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT  11/29/2005
 61381315  105,075.98  C/O Refi  Asset Only     235,000.00  12/1/2015   11.375   2.75       2    2.75  1 YR CMT  11/23/2005
 61395604  516,499.30  C/O Refi  Asset Only     700,000.00   1/1/2016     11.5   2.75       2    2.75  1 YR CMT  12/15/2005
 61418315  194,400.00  C/O Refi  Full           243,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/23/2005
 61424826  324,988.56  C/O Refi  Asset Only     582,000.00   1/1/2016   10.875   2.75       2    2.75  1 YR CMT  12/29/2005
 61453247  373,000.00  C/O Refi  Full           675,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT   12/8/2005
 61462172  256,000.00  R/T Refi  Full           320,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT  12/20/2005
 61491346  314,636.00  Purchase  Full           416,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/13/2006
 61518353  199,138.45  Purchase  Full           222,000.00  12/1/2015   11.875   2.75       2    2.75  1 YR CMT  11/28/2005
 61537148  173,400.00  Purchase  Full           217,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/11/2006
 61565271  325,000.00  C/O Refi  Asset Only     470,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/15/2005
 61565461  251,800.00  Purchase  Full           350,000.00  12/1/2015    11.25   2.75       2    2.75  1 YR CMT  11/30/2005
 61565875  359,430.38  C/O Refi  Full           450,000.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/7/2005
 61595765  194,400.00  R/T Refi  Full           246,000.00   1/1/2016    11.75   2.75       2    2.75  1 YR CMT   12/7/2005
 61607388  298,527.14  R/T Refi  Asset Only     560,000.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT    1/9/2006
 61607396  412,000.00  R/T Refi  Full           515,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT  12/15/2005
 61608709   99,553.97  C/O Refi  Asset Only     670,000.00   2/1/2016   11.625   2.75       2    2.75  1 YR CMT   1/17/2006
 61616595  293,820.20  Purchase  Full           373,000.00  12/1/2015   11.125   2.75       2    2.75  1 YR CMT  11/29/2005
 61621413  201,000.00  R/T Refi  Full           463,000.00   1/1/2016       11   2.75       2    2.75  1 YR CMT  12/27/2005
 61623559  123,167.27  Purchase  Full           154,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/27/2005
 61638086  638,400.00  Purchase  Full           828,000.00   2/1/2016   11.625   2.75       2    2.75  1 YR CMT    1/3/2006
 61653457  170,000.00  C/O Refi  Full           300,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/19/2005
 61659306  353,589.25  R/T Refi  Full           442,000.00   1/1/2016   11.375   2.75       2    2.75  1 YR CMT  12/22/2005
 61661807  149,200.00  C/O Refi  Asset Only     200,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/26/2006
 61668885  315,000.00  C/O Refi  Full         1,375,500.00   1/1/2016    11.25   2.75       2    2.75  1 YR CMT   12/2/2005
 61671244  230,000.00  Purchase  Asset Only     295,000.00   2/1/2016       11   2.75       2    2.75  1 YR CMT   1/18/2006
 61697389  197,250.00  R/T Refi  Full           264,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/8/2005
 61704912  299,443.33  C/O Refi  Full           375,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/12/2006
 61708855  318,400.00  C/O Refi  Full           409,500.00   2/1/2016   11.125   2.75       2    2.75  1 YR CMT   1/26/2006
143035442  260,800.00  Purchase  AUS            326,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/24/2005
143457596  376,905.17  Purchase  Asset Only     560,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/17/2005
143631224  279,999.32  Purchase  AUS            355,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/25/2005
143658433  405,465.86  Purchase  Full           510,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/14/2005
143661494  188,000.00  Purchase  AUS            235,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/29/2005
143717452  113,200.00  Purchase  AUS            141,500.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/27/2005
143776979  306,000.00  Purchase  AUS            383,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/16/2005
143792281  416,000.00  Purchase  Asset Only     520,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT    5/6/2005
143812311  321,500.00  Purchase  Full           456,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/22/2005
144018769  177,531.48  Purchase  Asset Only     237,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/21/2005
144094885  295,453.18  C/O Refi  Asset Only     370,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/25/2005
144172491  199,120.00  Purchase  AUS            251,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/12/2005
144253754  414,898.41  C/O Refi  AUS            650,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/25/2005
144283983  360,000.00  Purchase  Full           458,000.00   2/1/2016    11.25   2.75       2    2.75  1 YR CMT   1/16/2006
144387917  378,890.52  C/O Refi  Asset Only     489,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/16/2005
144388303  223,231.83  Purchase  Full           280,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/27/2005
144399524  206,200.00  C/O Refi  Asset Only     380,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT    5/5/2005
144416484  150,750.00  R/T Refi  Full           201,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/13/2005
144466992  235,000.00  C/O Refi  Asset Only     380,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/16/2005
144496783  136,729.71  Purchase  AUS            182,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/26/2005
144506029  101,630.32  Purchase  Full           130,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/26/2005
144516234  335,937.37  C/O Refi  AUS            420,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/17/2005
144522513  358,750.00  R/T Refi  AUS            485,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/20/2005
144570579  329,000.00  Purchase  Asset Only     529,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/19/2005
144571817  255,925.15  R/T Refi  Full           320,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/23/2005
144574993  239,830.11  Purchase  Full           310,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/16/2005
144585619  308,128.00  Purchase  Asset Only     390,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/19/2005
144591609  389,250.00  R/T Refi  Asset Only     560,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/23/2005
144603016  204,000.00  C/O Refi  AUS            255,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/18/2005
144603818  224,943.75  C/O Refi  Asset Only     265,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/23/2005
144609187  395,300.00  C/O Refi  Asset Only     570,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/17/2005
144615911  237,091.09  Purchase  Asset Only     310,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/30/2005
144626223  325,000.00  C/O Refi  AUS            535,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/26/2005
144628401  220,912.50  Purchase  AUS            285,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/14/2005
144641131  399,096.50  C/O Refi  Full           560,000.00   6/1/2015       11   2.75       2    2.75  1 YR CMT   5/11/2005
144657145  133,400.00  C/O Refi  Asset Only     437,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/8/2005
144679123  143,065.66  Purchase  AUS            180,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT    6/6/2005
144699444  119,900.00  Purchase  Full           450,000.00   6/1/2015   11.125   2.75       2    2.75  1 YR CMT   5/17/2005
144704947  381,939.22  C/O Refi  Asset Only     523,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/3/2005
144706447  360,000.00  Purchase  Full           450,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/17/2005
144707262  327,232.00  Purchase  Full           428,000.00  12/1/2015   10.875   2.75       2    2.75  1 YR CMT   11/8/2005
144723053   38,000.00  Purchase  Full            42,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/8/2005
144754298  359,900.00  C/O Refi  Asset Only     485,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/14/2005
144760915   60,388.75  Purchase  Full           140,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT    6/1/2005
144763729  254,101.26  Purchase  Asset Only     275,000.00   9/1/2015       11   2.75       2    2.75  1 YR CMT   8/31/2005
144778008  276,000.00  Purchase  Full           345,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/31/2005
144782521  401,560.19  C/O Refi  Asset Only     550,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/27/2005
144824414  375,538.43  Purchase  Asset Only     400,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/1/2005
144842598  380,000.00  C/O Refi  Asset Only     600,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/17/2005
144844024  220,000.00  C/O Refi  AUS            280,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/25/2005
144850575  393,492.91  C/O Refi  Full           720,000.00   6/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/20/2005
144873742  382,750.00  Purchase  Full           515,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/13/2005
144916798  411,398.14  C/O Refi  Asset Only     550,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   5/31/2005
144954245  142,888.88  C/O Refi  AUS            180,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/19/2005
144976131  119,000.00  C/O Refi  AUS            170,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/14/2005
145006045  291,440.21  Purchase  Asset Only     365,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/17/2005
145048443  400,000.00  C/O Refi  Asset Only     640,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/2/2005
145077095  244,500.00  R/T Refi  AUS            310,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT    6/2/2005
145101069  360,000.00  C/O Refi  AUS            450,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/29/2005
145104261  270,000.00  C/O Refi  Asset Only     370,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/5/2005
145153979  396,000.00  C/O Refi  Asset Only     500,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/14/2005
145178083  277,930.43  R/T Refi  Asset Only     435,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/5/2005
145180444  372,490.55  C/O Refi  Asset Only     475,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/20/2005
145201836  355,000.00  C/O Refi  Asset Only     515,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
145203659  176,000.00  C/O Refi  AUS            220,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
145218269  322,000.00  Purchase  AUS            415,000.00  10/1/2015   10.875   2.75       2    2.75  1 YR CMT   9/30/2005
145313987  387,200.00  Purchase  Asset Only     484,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/23/2005
145331864  382,500.00  C/O Refi  Asset Only     510,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/22/2005
145358008  228,000.00  Purchase  Asset Only     285,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT    8/9/2005
145363297  166,113.56  R/T Refi  Asset Only     210,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/11/2005
145368387  400,000.00  R/T Refi  Asset Only     550,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/12/2005
145380846  188,500.69  C/O Refi  AUS            253,500.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   6/27/2005
145383386  208,227.15  C/O Refi  Asset Only     300,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
145384905  254,400.00  Purchase  Full           318,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/29/2005
145387304  142,720.00  Purchase  Asset Only     178,500.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/27/2005
145396412  157,536.97  R/T Refi  Full           197,000.00   7/1/2015       11   2.75       2    2.75  1 YR CMT   6/23/2005
145400255  389,833.85  Purchase  Asset Only     525,000.00   9/1/2015   11.125   2.75       2    2.75  1 YR CMT   8/11/2005
145404927  258,750.00  Purchase  AUS            350,000.00   3/1/2016       11   2.75       2    2.75  1 YR CMT   2/17/2006
145437414  360,000.00  C/O Refi  AUS            455,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/7/2005
145461372  233,244.59  Purchase  AUS            311,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
145462495  357,873.62  Purchase  Asset Only     500,000.00   1/1/2016   11.125   2.75       2    2.75  1 YR CMT   12/9/2005
145486932  387,914.16  Purchase  Asset Only     490,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/15/2005
145501565  300,000.00  Purchase  Asset Only     402,000.00   9/1/2015   10.875   2.75       2    2.75  1 YR CMT   8/15/2005
145512125  408,000.00  R/T Refi  Full           510,000.00   8/1/2015       11   2.75       2    2.75  1 YR CMT   7/21/2005
145521084  250,000.00  C/O Refi  Asset Only     565,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/8/2005
145524096  140,400.00  C/O Refi  Full           175,500.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/25/2005
145548384  305,000.00  C/O Refi  AUS            747,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
145549689  151,647.99  Purchase  Asset Only     195,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/26/2005
145560017  380,000.00  Purchase  Full           475,000.00  11/1/2015   10.875   2.75       2    2.75  1 YR CMT   10/6/2005
145567657  387,350.00  C/O Refi  AUS            530,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/24/2005
145574307  469,951.04  C/O Refi  Asset Only     640,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/25/2005
145575262  329,972.54  Purchase  Full           450,000.00   9/1/2015    11.25   2.75       2    2.75  1 YR CMT   8/12/2005
145592705  157,645.79  R/T Refi  Asset Only     166,000.00   7/1/2015   10.875   2.75       2    2.75  1 YR CMT   6/30/2005
145616199  318,500.00  C/O Refi  AUS            460,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT   7/26/2005
145653309  298,894.15  C/O Refi  AUS            411,000.00   8/1/2015   10.875   2.75       2    2.75  1 YR CMT    7/8/2005
 48578736  153,457.14  R/T Refi  Full           290,000.00   2/1/2016   10.875   2.75       2    2.75  1 YR CMT   1/31/2006
 52263217  417,000.00  Purchase  Full           550,400.00   6/1/2016    10.75   2.75       2    2.75  1 YR CMT    5/5/2006
 54058557  164,000.00  R/T Refi  Full           205,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/25/2006
 54222187  409,067.13  Purchase  Full           530,000.00   5/1/2016   10.625   2.75       2    2.75  1 YR CMT   4/13/2006
 54349519  304,361.59  Purchase  Asset Only     470,000.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT   4/18/2006
 54659644  202,672.13  Purchase  Asset Only     215,000.00   5/1/2016     10.5   2.75       2    2.75  1 YR CMT   4/26/2006
 54666581  416,127.17  Purchase  Full           637,000.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT   4/27/2006
 55003024  244,905.00  Purchase  AUS            259,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/27/2006
 56485535  193,187.00  Purchase  Full           250,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/20/2006
 56529936  375,155.47  Purchase  Asset Only     475,000.00   5/1/2016   10.375   2.75       2    2.75  1 YR CMT   4/26/2006
 57435869  382,869.17  Purchase  Asset Only     485,000.00   4/1/2016    10.75   2.75       2    2.75  1 YR CMT   3/24/2006
 57919672  224,900.00  Purchase  Asset Only     300,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT   4/25/2006
 61114443  272,840.00  Purchase  Full           360,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/28/2006
 61357661  203,924.00  Purchase  Full           260,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/27/2006
 61400842  330,776.99  Purchase  Asset Only     390,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/31/2006
 61488557  263,405.00  Purchase  Asset Only     330,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/30/2006
 61708624  359,200.00  Purchase  Full           449,000.00   3/1/2016    11.25   2.75       2    2.75  1 YR CMT   2/17/2006
 62036231  135,192.00  Purchase  Full           170,500.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/27/2006
 62050109  150,761.75  Purchase  Full           225,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/18/2006
 62101142  128,155.00  Purchase  Full           140,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/12/2006
 62548649  150,608.00  Purchase  Full           188,500.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/17/2006
 62676044  216,000.00  Purchase  Full           275,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/12/2006
 62725775  319,582.25  Purchase  Full           457,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/7/2006
 62747282  246,905.00  Purchase  Full           260,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/21/2006
 62803101  209,546.51  Purchase  Full           262,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/14/2006
 62887617  339,027.12  Purchase  Asset Only     495,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/29/2006
 62938576  329,997.45  C/O Refi  Asset Only     440,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/24/2006
 63037857  168,000.00  C/O Refi  Full           210,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/7/2006
 63048615  295,200.00  Purchase  Full           370,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/26/2006
 63079784  262,000.00  Purchase  Full           330,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/14/2006
 63098446  378,083.58  Purchase  Full           487,000.00   6/1/2016    11.75   2.75       2    2.75  1 YR CMT    5/5/2006
 63131684  224,000.00  C/O Refi  Full           280,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/5/2006
 63138952  327,000.00  R/T Refi  Full           735,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/24/2006
 63144265  371,000.00  R/T Refi  Full           470,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/17/2006
 63159214  304,720.00  Purchase  Full           381,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/10/2006
 63211056  371,600.00  Purchase  Full           464,500.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/31/2006
 63223218  460,000.00  C/O Refi  Full           575,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/29/2006
 63248694  221,193.00  C/O Refi  Asset Only     318,000.00   3/1/2016       11   2.75       2    2.75  1 YR CMT   2/23/2006
 63269872  240,880.00  Purchase  Full           307,500.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/14/2006
 63274195  286,000.00  R/T Refi  Full           500,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/31/2006
 63278543  400,000.00  C/O Refi  Asset Only     750,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT    4/6/2006
 63405096  282,000.00  C/O Refi  Full           375,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/24/2006
 63411904  199,948.96  Purchase  Full           254,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/29/2006
 63438378  296,400.00  R/T Refi  Full           312,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/5/2006
 63463368  124,758.65  C/O Refi  Asset Only     470,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/12/2006
 63488811  427,224.07  Purchase  Asset Only     540,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/3/2006
 63504963  200,000.00  C/O Refi  Asset Only     664,500.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/15/2006
 63506422  376,249.88  C/O Refi  Full           538,500.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/14/2006
 63549679  477,200.00  R/T Refi  Full           610,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/28/2006
 63552079  135,920.00  Purchase  Full           178,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT    4/5/2006
 63564207  160,000.00  R/T Refi  Full           200,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/14/2006
 63590368  350,000.00  C/O Refi  Full           560,000.00   6/1/2016     11.5   2.75       2    2.75  1 YR CMT    5/2/2006
 63590426  269,999.89  Purchase  Asset Only     300,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/21/2006
 63644256  111,760.00  Purchase  Full           140,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/31/2006
 63676316  273,784.00  Purchase  Full           350,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/11/2006
 63689434  395,103.75  Purchase  Asset Only     510,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/29/2006
 63696496  301,750.00  Purchase  Full           355,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT   4/17/2006
 63700967  209,600.00  Purchase  Asset Only     262,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/24/2006
 63728919  349,334.09  Purchase  Asset Only     665,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/10/2006
 63738058  176,000.00  R/T Refi  Full           220,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/18/2006
 63747125  234,668.00  Purchase  Full           294,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/29/2006
 63749378  416,000.00  C/O Refi  Full           520,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/17/2006
 63762041  440,689.41  Purchase  Asset Only     560,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT   4/21/2006
 63763932  230,265.16  R/T Refi  Full           248,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/18/2006
 63766802  219,837.46  C/O Refi  Asset Only     275,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/20/2006
 63805642  299,998.76  Purchase  Full           376,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT    4/3/2006
 63816565  149,728.07  Purchase  Asset Only     200,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/7/2006
 63821631  285,000.00  C/O Refi  Full           465,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/24/2006
 63829071  211,543.25  Purchase  Full           265,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/26/2006
 63838437  472,000.00  Purchase  Full           590,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/30/2006
 63842959  347,225.00  R/T Refi  Asset Only     450,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/24/2006
 63848147  101,520.00  Purchase  Full           129,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/26/2006
 63860134  196,575.06  C/O Refi  Asset Only     280,500.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/31/2006
 63871032  142,000.00  Purchase  Full           177,500.00   6/1/2016     11.5   2.75       2    2.75  1 YR CMT    5/4/2006
 63871693  416,971.87  R/T Refi  Asset Only     535,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/10/2006
 63875702  384,800.00  C/O Refi  Full           510,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/21/2006
 63883102  320,000.00  Purchase  Asset Only     430,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/21/2006
 63888549  267,900.00  Purchase  Full           335,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/11/2006
 63926521  401,666.00  Purchase  Full           505,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/13/2006
 63933287  373,000.00  Purchase  Asset Only     425,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/28/2006
 63937775  280,000.00  R/T Refi  Full           350,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/25/2006
 63943583  176,000.00  Purchase  Full           225,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/28/2006
 63957997  357,645.43  C/O Refi  Asset Only     565,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/12/2006
 63964647  315,000.00  C/O Refi  Asset Only     510,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/12/2006
 63970206  327,920.00  Purchase  Full           425,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/25/2006
 63970719  393,350.00  C/O Refi  Full           525,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/6/2006
 63983092  264,936.47  Purchase  Full           361,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/11/2006
 64017916  380,000.00  R/T Refi  Full           475,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/24/2006
 64034499  399,998.72  C/O Refi  Full           550,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/3/2006
 64035868  392,000.00  C/O Refi  Full           490,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/27/2006
 64036601  312,000.00  Purchase  Full           395,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT    4/4/2006
 64049646  238,700.00  Purchase  Full           266,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/11/2006
 64056484  325,000.00  C/O Refi  Full           510,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/4/2006
 64080229  384,000.00  Purchase  Full           480,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/11/2006
 64095011   94,400.00  Purchase  Asset Only     119,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/12/2006
 64108475  219,920.00  Purchase  Asset Only     275,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/10/2006
 64112014  313,400.00  Purchase  Full           330,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/7/2006
 64121783  307,299.25  Purchase  AUS            385,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/20/2006
 64129752  246,848.00  Purchase  Asset Only     260,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/11/2006
 64145212  160,106.39  C/O Refi  AUS            178,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/12/2006
 64161334  172,700.00  Purchase  AUS            435,000.00   4/1/2016   10.875   2.75       2    2.75  1 YR CMT   3/20/2006
 64162704  399,238.95  Purchase  AUS            500,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/13/2006
 64169808  196,000.00  Purchase  AUS            245,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/30/2006
 64170111  156,082.00  Purchase  AUS            195,103.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/31/2006
 64180755  273,103.98  Purchase  Full           344,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/13/2006
 64185705  229,520.00  Purchase  Full           290,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/27/2006
 64187362  252,000.00  C/O Refi  AUS            350,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/3/2006
 64189293  287,755.00  Purchase  AUS            304,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/10/2006
 64192362  273,000.00  R/T Refi  AUS            350,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT    4/5/2006
 64194897   87,920.00  Purchase  AUS            117,500.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/10/2006
 64198666  130,055.00  Purchase  Full           136,900.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/29/2006
 64210644  259,689.58  R/T Refi  AUS            325,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/19/2006
 64210735  118,392.00  Purchase  AUS            150,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT    4/7/2006
 64216641  107,250.00  Purchase  Asset Only     143,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/4/2006
 64222441  400,000.00  C/O Refi  AUS            500,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/27/2006
 64227853  145,120.00  Purchase  AUS            183,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/3/2006
 64239056  374,448.00  Purchase  AUS            469,000.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT   4/19/2006
 64245251  255,760.00  Purchase  Income Only    320,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/13/2006
 64249154  118,289.83  Purchase  AUS            148,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/28/2006
 64255169  119,058.95  Purchase  AUS            154,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/31/2006
 64257223  191,660.26  Purchase  AUS            240,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/21/2006
 64262124   97,500.00  Purchase  AUS            123,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/24/2006
 64266737  129,359.28  Purchase  AUS            165,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/11/2006
 64266976  340,000.00  Purchase  Full           425,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/25/2006
 64270358  300,000.00  Purchase  AUS            585,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/13/2006
 64273865  177,200.00  Purchase  Full           221,700.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/14/2006
 64280738  360,000.00  Purchase  Asset Only     455,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/29/2006
 64290455  153,600.00  Purchase  Full           192,000.00   5/1/2016   12.125   2.75       2    2.75  1 YR CMT   4/28/2006
 64293855  183,900.00  Purchase  AUS            235,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/13/2006
 64295983  105,520.00  Purchase  AUS            132,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/28/2006
 64310055  149,520.00  Purchase  AUS            194,900.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/25/2006
 64312291  300,456.70  Purchase  AUS            375,950.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/26/2006
 64324635  220,000.00  Purchase  Full           280,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/14/2006
 64325459  220,000.00  R/T Refi  Full           284,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/24/2006
 64328628  207,200.00  Purchase  AUS            266,100.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/27/2006
 64339815  151,900.00  Purchase  AUS            200,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/19/2006
 64340151  145,000.00  R/T Refi  AUS            275,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/25/2006
 64340375  190,580.00  Purchase  Full           275,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/24/2006
 64348436  176,750.00  C/O Refi  Asset Only     270,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/24/2006
 64354095  352,000.00  Purchase  AUS            443,000.00   6/1/2016     11.5   2.75       2    2.75  1 YR CMT    5/1/2006
 64369192  380,000.00  C/O Refi  AUS            475,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/12/2006
 64369531  168,080.00  Purchase  AUS            210,500.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/19/2006
 64374077  348,000.00  R/T Refi  Full           435,000.00   6/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/26/2006
 64375314  155,998.83  Purchase  AUS            196,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/27/2006
 64377765  246,200.00  Purchase  AUS            368,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/31/2006
 64381411  228,800.00  Purchase  AUS            286,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/28/2006
 64382005  270,100.00  Purchase  Income Only    385,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/27/2006
 64394117  153,200.00  Purchase  AUS            192,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/31/2006
 64401698  107,920.00  Purchase  AUS            149,900.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT    4/5/2006
 64405707  402,400.00  Purchase  AUS            514,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/14/2006
 64406184  170,000.00  Purchase  Full           233,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/6/2006
 64406234  324,000.00  Purchase  Full           405,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/26/2006
 64408016  300,000.00  R/T Refi  AUS            910,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/30/2006
 64408826  170,000.00  Purchase  Full           233,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/6/2006
 64422421  274,900.46  C/O Refi  AUS            375,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/13/2006
 64428956  262,400.00  C/O Refi  AUS            328,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/24/2006
 64432313  320,000.00  C/O Refi  AUS            415,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/19/2006
 64454002   97,555.00  Purchase  AUS            122,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/26/2006
 64457781  186,800.00  Purchase  Full           238,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/28/2006
 64463896  304,000.00  Purchase  AUS            380,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/12/2006
 64471964  369,400.00  Purchase  AUS            466,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/14/2006
 64478936  400,000.00  C/O Refi  Asset Only     525,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/26/2006
 64480841  473,820.33  R/T Refi  AUS            800,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/7/2006
 64489727  350,000.00  C/O Refi  AUS            460,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/18/2006
 64494354  108,792.00  Purchase  Asset Only     141,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/13/2006
 64499742  367,000.00  R/T Refi  AUS            520,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/20/2006
 64503394  242,000.00  Purchase  AUS            312,000.00   6/1/2016   10.875   2.75       2    2.75  1 YR CMT    5/1/2006
 64505506  224,984.00  Purchase  AUS            281,230.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT   4/18/2006
 64514094  131,120.00  Purchase  Income Only    163,900.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/29/2006
 64523947  185,000.00  C/O Refi  AUS            760,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/24/2006
 64525579  299,442.80  C/O Refi  Asset Only     530,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/25/2006
 64526726  376,000.00  Purchase  Full           473,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/18/2006
 64534118  260,720.00  Purchase  AUS            325,900.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/17/2006
 64535701  256,000.00  C/O Refi  Asset Only     465,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/17/2006
 64543911  113,683.02  Purchase  Full           125,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/24/2006
 64569882  299,990.75  C/O Refi  Full           440,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/14/2006
 64577828  213,416.00  Purchase  AUS            267,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/26/2006
 64585789  220,000.00  Purchase  Full           275,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/21/2006
 64586985  292,400.00  Purchase  AUS            366,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/28/2006
 64591654  353,352.14  C/O Refi  Asset Only     505,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/25/2006
 64591779  184,000.00  C/O Refi  Full           230,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/25/2006
 64622541  232,800.00  Purchase  AUS            300,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/12/2006
 64623663  161,227.17  Purchase  AUS            202,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/17/2006
 64627821  178,329.65  Purchase  Full           260,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/19/2006
 64646888  232,000.00  C/O Refi  AUS            290,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/17/2006
 64652019  400,000.00  C/O Refi  Full           690,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/25/2006
 64655103  415,000.00  C/O Refi  AUS            600,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/19/2006
 64656879  131,120.00  Purchase  Full           175,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/12/2006
 64665466  285,900.00  R/T Refi  AUS            565,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/24/2006
 64677396  223,920.00  Purchase  AUS            280,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/28/2006
 64682321  143,500.00  C/O Refi  AUS            205,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/26/2006
 64685787  239,811.00  Purchase  Asset Only     310,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/26/2006
 64691546  416,000.00  Purchase  AUS            520,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/20/2006
 64698392  117,520.00  Purchase  AUS            159,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/28/2006
 64725583  147,920.00  Purchase  AUS            196,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/26/2006
 64759293  106,550.00  Purchase  AUS            125,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/14/2006
 64789902  161,520.00  Purchase  AUS            204,900.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/20/2006
 64792849  149,580.96  C/O Refi  AUS            188,000.00   6/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/28/2006
 64794704  185,915.00  Purchase  AUS            201,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/28/2006
 64815517  345,000.00  Purchase  AUS            460,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/26/2006
 64815749  300,000.00  Purchase  AUS            394,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/14/2006
 64830698  209,897.00  Purchase  Asset Only     262,372.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/28/2006
 64845175  174,794.17  Purchase  AUS            230,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/20/2006
 64848682  375,000.00  C/O Refi  AUS            515,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/21/2006
 64849524  219,581.42  Purchase  AUS            275,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/28/2006
 64850902  225,000.00  C/O Refi  AUS            600,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/24/2006
 64859986  303,435.38  C/O Refi  AUS            380,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/24/2006
 64868052  217,600.00  Purchase  AUS            272,000.00   6/1/2016    11.25   2.75       2    2.75  1 YR CMT    5/4/2006
 64902471  355,920.00  Purchase  AUS            450,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/26/2006
 64911811  410,400.00  Purchase  AUS            520,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/12/2006
 64950181  329,600.00  Purchase  AUS            415,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/28/2006
 64952989  395,332.00  Purchase  AUS            505,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/24/2006
 64953565  354,401.80  C/O Refi  AUS            475,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/21/2006
 64960339  159,200.00  Purchase  AUS            201,000.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT   4/28/2006
 64975006  153,600.00  Purchase  AUS            192,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/28/2006
 65013294  236,000.00  Purchase  AUS            300,000.00   6/1/2016   11.125   2.75       2    2.75  1 YR CMT    5/1/2006
 65022352  281,500.00  Purchase  Full           351,914.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/17/2006
 65029753  400,000.00  Purchase  AUS            500,000.00   6/1/2016   11.625   2.75       2    2.75  1 YR CMT    5/1/2006
 65083628  184,563.00  Purchase  AUS            245,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT   4/27/2006
 65116758  165,600.00  Purchase  AUS            210,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/28/2006
 65159469  369,900.00  Purchase  AUS            470,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/28/2006
 65320921  112,800.00  Purchase  AUS            141,000.00   6/1/2016       12   2.75       2    2.75  1 YR CMT    5/3/2006
146187711  334,250.00  Purchase  Full           354,000.00   5/1/2016    9.875   2.75       2    2.75  1 YR CMT   4/26/2006
146532981  172,800.00  Purchase  Asset Only     218,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/28/2006
147160857  231,200.00  Purchase  AUS            290,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/28/2006
147286611  376,800.00  Purchase  Full           484,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT    4/1/2006
149122251  259,200.00  Purchase  AUS            324,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/24/2006
149386468  400,000.00  Purchase  AUS            635,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/30/2006
149445793  198,000.00  Purchase  AUS            280,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/28/2006
149866675  123,992.00  Purchase  AUS            157,000.00   6/1/2016    11.75   2.75       2    2.75  1 YR CMT    5/5/2006
150147536  416,000.00  Purchase  Full           520,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/31/2006
150334522  187,801.19  Purchase  Full           237,000.00   4/1/2016    10.75   2.75       2    2.75  1 YR CMT    3/3/2006
150390086  320,000.00  Purchase  Full           415,000.00   2/1/2016     11.5   2.75       2    2.75  1 YR CMT   1/30/2006
150446524  190,000.00  Purchase  Full           625,000.00   4/1/2016     10.5   2.75       2    2.75  1 YR CMT   3/15/2006
150473643  292,000.00  Purchase  AUS            365,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/28/2006
150480499  272,000.00  C/O Refi  Asset Only     340,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/16/2006
150545697  203,917.16  Purchase  AUS            260,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/13/2006
150552636  136,800.00  R/T Refi  Asset Only     171,000.00   3/1/2016   11.125   2.75       2    2.75  1 YR CMT   2/21/2006
150563419  358,902.77  R/T Refi  Full           600,000.00   3/1/2016     11.5   2.75       2    2.75  1 YR CMT   2/27/2006
150592764  185,155.00  Purchase  Full           197,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT    4/6/2006
150662062  258,750.00  C/O Refi  Asset Only     345,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/5/2006
150662377  339,257.81  Purchase  AUS            455,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/20/2006
150672699  150,000.00  C/O Refi  AUS            187,500.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/5/2006
150705051  302,000.00  R/T Refi  Asset Only     450,000.00   6/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/27/2006
150719474  328,307.62  Purchase  Full           440,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/10/2006
150768877  287,200.00  Purchase  AUS            360,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/7/2006
150773893  108,000.00  Purchase  AUS            140,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/21/2006
150782167  131,869.59  Purchase  Asset Only     165,000.00   3/1/2016   11.375   2.75       2    2.75  1 YR CMT   2/24/2006
150801074  252,600.00  Purchase  Asset Only     323,000.00   4/1/2016       11   2.75       2    2.75  1 YR CMT   3/30/2006
150807683  148,000.00  R/T Refi  Asset Only     185,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/24/2006
150824902  412,000.00  Purchase  Asset Only     535,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/28/2006
150830859  326,607.07  C/O Refi  Asset Only     548,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/27/2006
150841583  106,650.00  Purchase  Full           122,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/13/2006
150855641  251,485.00  Purchase  Full           315,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/26/2006
150863686  160,400.00  Purchase  Full           204,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/14/2006
150867133  248,720.00  Purchase  AUS            320,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/30/2006
150871135  331,000.00  Purchase  AUS            425,000.00   4/1/2016   10.875   2.75       2    2.75  1 YR CMT   3/31/2006
150872141  228,126.74  Purchase  Full           295,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT    3/1/2006
150877884  336,000.00  Purchase  Asset Only     430,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT    4/7/2006
150880425  251,000.00  C/O Refi  Full           318,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/10/2006
150885051  135,920.00  Purchase  AUS            170,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/30/2006
150890002  406,000.00  C/O Refi  Full           518,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/15/2006
150903128  336,910.48  Purchase  AUS            425,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/27/2006
150914935  224,000.00  R/T Refi  AUS            317,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/24/2006
150937936  100,000.00  Purchase  Full           129,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/10/2006
150938173  247,000.00  R/T Refi  Full           342,000.00   3/1/2016    11.25   2.75       2    2.75  1 YR CMT   2/28/2006
150938801  362,800.00  Purchase  Asset Only     455,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT    4/3/2006
150950277  215,200.00  Purchase  AUS            270,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/19/2006
150963262  129,591.00  Purchase  Full           143,990.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/12/2006
150964963  272,000.00  C/O Refi  AUS            481,500.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT    3/3/2006
150975019  272,800.00  Purchase  Full           341,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT    4/5/2006
150984169  412,000.00  Purchase  Asset Only     515,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/19/2006
150989564  400,000.00  Purchase  AUS            550,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/22/2006
150994317  244,000.00  Purchase  AUS            305,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/20/2006
151001971  272,999.25  C/O Refi  Asset Only     365,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/28/2006
151003464  182,350.00  Purchase  Full           238,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/14/2006
151010287   86,286.29  Purchase  Full           230,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/7/2006
151011541  399,750.00  C/O Refi  Asset Only     533,000.00   4/1/2016       11   2.75       2    2.75  1 YR CMT   3/27/2006
151018603  179,842.97  Purchase  Full           270,000.00   3/1/2016   11.875   2.75       2    2.75  1 YR CMT    3/1/2006
151024551  314,348.53  Purchase  AUS            405,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/14/2006
151025681  140,051.00  Purchase  Asset Only     200,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT    3/1/2006
151029006  153,000.00  Purchase  Full           198,000.00   3/1/2016       12   2.75       2    2.75  1 YR CMT   2/28/2006
151030764  348,500.00  R/T Refi  Asset Only     455,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/23/2006
151047594  162,100.00  Purchase  AUS            211,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/30/2006
151049277   96,200.00  Purchase  Full           125,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/30/2006
151057171  181,600.00  Purchase  Full           228,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/31/2006
151060746  272,000.00  Purchase  Asset Only     340,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT    3/9/2006
151065539  324,000.00  Purchase  AUS            417,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/18/2006
151065877  335,900.00  Purchase  Asset Only     419,900.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/15/2006
151066354  139,016.00  Purchase  AUS            174,000.00   6/1/2016    11.25   2.75       2    2.75  1 YR CMT    5/2/2006
151066875  296,000.00  R/T Refi  Full           352,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/14/2006
151077401  277,200.00  Purchase  Asset Only     355,000.00   4/1/2016   10.875   2.75       2    2.75  1 YR CMT   3/23/2006
151092806  265,908.00  Purchase  AUS            333,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/21/2006
151098654  315,000.00  Purchase  Full           350,000.00   4/1/2016   12.125   2.75       2    2.75  1 YR CMT   3/24/2006
151100849  318,400.00  Purchase  Asset Only     400,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/14/2006
151104502  152,800.00  C/O Refi  Full           191,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/21/2006
151108651  350,000.00  C/O Refi  Asset Only     505,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/22/2006
151110921  348,000.00  C/O Refi  AUS            435,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/27/2006
151114295  395,200.00  R/T Refi  AUS            494,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/24/2006
151125135  232,000.00  R/T Refi  AUS            290,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/11/2006
151127388  282,000.00  Purchase  AUS            352,500.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/29/2006
151128444  125,000.00  R/T Refi  AUS            260,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/27/2006
151133881  291,997.52  Purchase  AUS            465,500.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT    4/4/2006
151134855  168,750.00  C/O Refi  Asset Only     225,000.00   4/1/2016       12   2.75       2    2.75  1 YR CMT   3/24/2006
151139516   98,906.55  Purchase  AUS            125,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/31/2006
151143732  416,000.00  Purchase  Asset Only     520,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/3/2006
151144631  190,989.76  Purchase  Full           239,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/17/2006
151148244  247,263.44  C/O Refi  Income Only    291,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/21/2006
151157351  359,950.00  C/O Refi  AUS            480,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/18/2006
151166915  334,400.00  Purchase  Asset Only     430,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/21/2006
151169893  180,000.00  C/O Refi  AUS            228,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/5/2006
151170206  307,500.00  C/O Refi  Asset Only     475,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/12/2006
151170529  417,000.00  C/O Refi  Asset Only     560,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/14/2006
151189701  200,800.00  Purchase  AUS            252,000.00   6/1/2016   10.875   2.75       2    2.75  1 YR CMT    5/2/2006
151198082  348,000.00  Purchase  Asset Only     435,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/24/2006
151209681  267,200.00  Purchase  Asset Only     334,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/3/2006
151214145  132,001.10  Purchase  AUS            171,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/25/2006
151220746  244,000.00  Purchase  AUS            307,500.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/14/2006
151225596  215,920.00  Purchase  AUS            270,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/20/2006
151227766  252,000.00  Purchase  Asset Only     320,000.00   6/1/2016   11.375   2.75       2    2.75  1 YR CMT    5/8/2006
151236197  341,550.00  Purchase  Full           427,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/24/2006
151241254  283,896.00  Purchase  AUS            375,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/29/2006
151246436  326,400.00  Purchase  AUS            408,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/21/2006
151247921  392,000.00  Purchase  AUS            498,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/30/2006
151248044  132,261.41  Purchase  Full           147,500.00   4/1/2016       12   2.75       2    2.75  1 YR CMT   3/30/2006
151248689  400,000.00  R/T Refi  Asset Only     500,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/24/2006
151258654  127,995.00  R/T Refi  Asset Only     160,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/6/2006
151266434  136,000.00  Purchase  Full           172,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/14/2006
151289097  312,583.03  Purchase  AUS            400,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/27/2006
151301512  192,000.00  C/O Refi  Income Only    240,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/5/2006
151307576  280,800.00  Purchase  Full           355,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/17/2006
151311453  147,842.00  Purchase  Full           186,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/28/2006
151322377  221,200.00  R/T Refi  Asset Only     276,500.00   5/1/2016       12   2.75       2    2.75  1 YR CMT   4/11/2006
151327038  400,000.00  C/O Refi  Asset Only     535,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/14/2006
151335684  236,000.00  Purchase  AUS            305,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/14/2006
151337813  161,600.00  Purchase  AUS            216,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/29/2006
151338274  129,514.22  Purchase  Asset Only     162,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/7/2006
151338662  204,000.00  Purchase  Full           255,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/10/2006
151341708  381,000.00  R/T Refi  AUS            495,000.00   5/1/2016    12.25   2.75       2    2.75  1 YR CMT    4/3/2006
151344876  262,998.46  C/O Refi  Full           332,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/11/2006
151358587  344,000.00  C/O Refi  Asset Only     430,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/24/2006
151361813  358,869.27  C/O Refi  Full           500,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/27/2006
151365673  372,000.00  R/T Refi  Full           465,000.00   4/1/2016       12   2.75       2    2.75  1 YR CMT   3/14/2006
151368982  416,998.75  R/T Refi  Asset Only     565,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/10/2006
151372711  228,000.00  Purchase  AUS            310,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/20/2006
151372729  332,000.00  R/T Refi  Asset Only     415,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/28/2006
151376191  216,000.00  C/O Refi  Asset Only     270,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/20/2006
151384252  140,000.00  Purchase  Asset Only     176,000.00   4/1/2016       12   2.75       2    2.75  1 YR CMT   3/31/2006
151389848  168,719.70  Purchase  Asset Only     218,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/7/2006
151390069  322,000.00  C/O Refi  Income Only    506,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/31/2006
151390747  378,698.80  Purchase  Asset Only     495,000.00   5/1/2016   10.625   2.75       2    2.75  1 YR CMT   4/21/2006
151393113  164,249.72  R/T Refi  Asset Only     173,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT   3/27/2006
151413937  253,525.00  Purchase  AUS            320,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/25/2006
151414489  412,000.00  C/O Refi  Asset Only     515,000.00   5/1/2016       11   2.75       2    2.75  1 YR CMT   4/20/2006
151414497  276,000.00  Purchase  AUS            360,000.00   6/1/2016    11.25   2.75       2    2.75  1 YR CMT    5/1/2006
151418597  290,100.00  C/O Refi  Asset Only     363,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/17/2006
151423274  300,000.00  Purchase  Full           609,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT   4/12/2006
151426251  394,400.00  Purchase  Asset Only     493,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/24/2006
151428539  232,000.00  C/O Refi  Full           290,000.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/22/2006
151429784  367,200.00  Purchase  AUS            459,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/4/2006
151432846  346,600.00  R/T Refi  Asset Only     390,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/20/2006
151433125  195,000.00  C/O Refi  Asset Only     350,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/5/2006
151443918  343,665.08  Purchase  AUS            430,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/26/2006
151444494  210,399.83  Purchase  Full           275,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/5/2006
151445723  360,000.00  R/T Refi  Full           450,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/10/2006
151453099  204,750.00  C/O Refi  Full           315,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/21/2006
151458106  304,905.00  Purchase  Asset Only     382,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/19/2006
151459138  327,150.00  Purchase  AUS            409,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/28/2006
151461829  103,975.00  C/O Refi  Full           130,000.00   4/1/2016    11.75   2.75       2    2.75  1 YR CMT   3/28/2006
151464856  400,000.00  R/T Refi  Asset Only     500,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/25/2006
151465697  305,000.00  C/O Refi  Income Only    400,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/3/2006
151476975  186,000.00  Purchase  AUS            232,500.00   4/1/2016    11.25   2.75       2    2.75  1 YR CMT   3/27/2006
151478609  382,154.38  C/O Refi  Asset Only     560,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/12/2006
151484748  247,550.00  Purchase  Full           320,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/22/2006
151490208  344,000.00  Purchase  Asset Only     430,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/5/2006
151490554  250,000.00  Purchase  AUS            317,000.00   5/1/2016   10.875   2.75       2    2.75  1 YR CMT   4/28/2006
151498888  265,000.00  C/O Refi  Asset Only     600,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/24/2006
151500949  260,500.00  R/T Refi  Asset Only     510,000.00   4/1/2016   11.125   2.75       2    2.75  1 YR CMT   3/30/2006
151500964  293,600.00  Purchase  Asset Only     370,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/18/2006
151502564  332,000.00  Purchase  AUS            424,000.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT   4/18/2006
151508751  290,400.00  Purchase  AUS            363,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/28/2006
151527603  288,000.00  Purchase  Full           400,000.00   5/1/2016    10.75   2.75       2    2.75  1 YR CMT    4/7/2006
151532314  153,520.00  Purchase  Asset Only     196,000.00   4/1/2016   11.375   2.75       2    2.75  1 YR CMT   3/31/2006
151532637  298,340.55  R/T Refi  Asset Only     380,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/31/2006
151533676  250,000.00  C/O Refi  AUS            324,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/20/2006
151549201  334,400.00  Purchase  AUS            450,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/20/2006
151550621  180,000.00  C/O Refi  Full           225,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/7/2006
151562295  276,000.00  C/O Refi  Asset Only     345,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/20/2006
151573763  397,500.00  R/T Refi  AUS            547,500.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/12/2006
151578481  405,000.00  R/T Refi  Asset Only     600,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/11/2006
151579638  255,000.00  C/O Refi  Asset Only     365,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/10/2006
151580693  122,775.02  Purchase  AUS            154,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/7/2006
151583556  389,000.00  Purchase  Asset Only     489,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/11/2006
151586385  324,000.00  C/O Refi  Asset Only     370,000.00   4/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/5/2006
151588373  263,500.00  Purchase  Full           330,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/7/2006
151590163  153,450.00  Purchase  Full           198,000.00   3/1/2016       12   2.75       2    2.75  1 YR CMT   2/28/2006
151623899  197,254.00  C/O Refi  AUS            270,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/18/2006
151626629  368,000.00  C/O Refi  Asset Only     460,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT    4/4/2006
151629631  230,000.00  C/O Refi  AUS            700,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/12/2006
151631637  140,600.00  Purchase  Full           160,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/26/2006
151637071  224,989.06  C/O Refi  Asset Only     290,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/19/2006
151639838  388,000.00  Purchase  AUS            500,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/20/2006
151649928  155,313.99  Purchase  Full           197,000.00   4/1/2016   10.375   2.75       2    2.75  1 YR CMT   3/29/2006
151650934  244,999.89  Purchase  Full           443,000.00   4/1/2016     11.5   2.75       2    2.75  1 YR CMT   3/15/2006
151651221  409,800.00  C/O Refi  Asset Only     560,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/19/2006
151657301  125,000.00  C/O Refi  Full           640,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT    4/6/2006
151668514  222,400.00  Purchase  Asset Only     279,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/27/2006
151673431  366,050.85  C/O Refi  Full           475,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/13/2006
151677531  142,400.00  Purchase  Asset Only     178,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/7/2006
151688181  265,000.00  C/O Refi  Asset Only     840,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/5/2006
151695327  216,000.00  C/O Refi  Asset Only     270,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/24/2006
151697059  184,849.92  Purchase  Full           300,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/28/2006
151699691  302,000.00  R/T Refi  Asset Only     385,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/24/2006
151707338  151,799.33  C/O Refi  Asset Only     190,000.00   5/1/2016       12   2.75       2    2.75  1 YR CMT   4/20/2006
151708955  395,000.00  C/O Refi  Asset Only     950,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/18/2006
151710449  352,000.00  Purchase  Full           440,000.00   4/1/2016   11.875   2.75       2    2.75  1 YR CMT   3/30/2006
151715331  243,200.00  Purchase  Asset Only     304,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/24/2006
151716552  179,000.00  C/O Refi  AUS            240,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/13/2006
151716644  388,500.00  C/O Refi  AUS            650,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/19/2006
151717584  200,000.00  Purchase  AUS            253,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT    4/5/2006
151729324  230,000.00  C/O Refi  AUS            295,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/21/2006
151736964  251,200.00  Purchase  AUS            337,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/20/2006
151740321  388,000.00  C/O Refi  Asset Only     600,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/13/2006
151758513  340,799.56  Purchase  Asset Only     426,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT   4/12/2006
151762333  228,870.00  Purchase  Full           254,500.00   5/1/2016    12.25   2.75       2    2.75  1 YR CMT    4/3/2006
151763265  324,000.00  C/O Refi  Asset Only     405,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/18/2006
151772829  370,000.00  R/T Refi  Asset Only     480,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/17/2006
151773546  204,000.00  R/T Refi  Asset Only     255,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/10/2006
151774007  396,867.00  Purchase  Asset Only     500,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/29/2006
151778131  384,750.00  Purchase  Asset Only     665,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/17/2006
151780517  588,000.00  R/T Refi  Full           735,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/10/2006
151781606  119,600.00  Purchase  Asset Only     125,900.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/27/2006
151789716  384,000.00  C/O Refi  AUS            502,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/24/2006
151797958  405,000.00  Purchase  Asset Only     500,000.00   5/1/2016   12.125   2.75       2    2.75  1 YR CMT   4/21/2006
151810934  265,000.00  C/O Refi  Asset Only     380,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/21/2006
151823838  180,000.00  C/O Refi  Full           230,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/24/2006
151837937  180,000.00  Purchase  AUS            284,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/19/2006
151848405  147,120.00  Purchase  Asset Only     185,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/14/2006
151856085  292,270.63  Purchase  AUS            369,000.00   5/1/2016   10.625   2.75       2    2.75  1 YR CMT   4/27/2006
151864212  121,600.00  Purchase  Full           159,000.00   5/1/2016   11.875   2.75       2    2.75  1 YR CMT   4/28/2006
151878287  246,000.00  C/O Refi  Asset Only     300,000.00   5/1/2016     11.5   2.75       2    2.75  1 YR CMT    4/5/2006
151884079  128,751.33  R/T Refi  Full           161,000.00   5/1/2016       12   2.75       2    2.75  1 YR CMT   4/20/2006
151904513  414,800.00  Purchase  Asset Only     525,000.00   6/1/2016   11.375   2.75       2    2.75  1 YR CMT    5/1/2006
151911427  247,000.00  R/T Refi  AUS            340,000.00   6/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/27/2006
151923661  148,000.00  Purchase  Asset Only     190,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/25/2006
151925658  265,936.91  R/T Refi  Asset Only     565,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/24/2006
151930435  264,000.00  Purchase  Full           330,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/24/2006
151937679  183,977.50  C/O Refi  Full           243,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/24/2006
151940491  259,937.19  Purchase  Asset Only     507,000.00   5/1/2016   11.125   2.75       2    2.75  1 YR CMT   4/25/2006
151970548  249,924.76  C/O Refi  Asset Only     300,000.00   5/1/2016       12   2.75       2    2.75  1 YR CMT   4/19/2006
151973286  163,600.00  C/O Refi  AUS            240,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/24/2006
152006847  200,000.00  Purchase  Full           850,000.00   5/1/2016       12   2.75       2    2.75  1 YR CMT   4/24/2006
152019196  158,800.00  Purchase  Asset Only     200,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/24/2006
152044087  258,250.00  R/T Refi  Full           324,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/20/2006
152074399  312,300.00  C/O Refi  AUS            400,000.00   5/1/2016    11.75   2.75       2    2.75  1 YR CMT   4/26/2006
152133757  306,500.00  C/O Refi  AUS            402,000.00   5/1/2016   11.625   2.75       2    2.75  1 YR CMT   4/27/2006
152147401  250,000.00  C/O Refi  Full           630,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/10/2006
152171385  299,921.87  Purchase  AUS            385,000.00   5/1/2016    11.25   2.75       2    2.75  1 YR CMT   4/26/2006
152172441  258,400.00  Purchase  Asset Only     274,000.00   5/1/2016   11.375   2.75       2    2.75  1 YR CMT   4/28/2006

LOANID     SERVICER
----------------------

145684916  Wells Fargo
145685897  Wells Fargo
145700787  Wells Fargo
145721106  Wells Fargo
145748943  Wells Fargo
145754081  Wells Fargo
145763504  Wells Fargo
145797999  Wells Fargo
145803847  Wells Fargo
145813028  Wells Fargo
145879052  Wells Fargo
145946653  Wells Fargo
145946695  Wells Fargo
145982187  Wells Fargo
146015748  Wells Fargo
146090972  Wells Fargo
146101183  Wells Fargo
146119136  Wells Fargo
146119144  Wells Fargo
146124714  Wells Fargo
146130034  Wells Fargo
146139498  Wells Fargo
146142245  Wells Fargo
146166772  Wells Fargo
146195367  Wells Fargo
146199252  Wells Fargo
146204755  Wells Fargo
146210588  Wells Fargo
146211438  Wells Fargo
146212642  Wells Fargo
146246624  Wells Fargo
146247309  Wells Fargo
146260773  Wells Fargo
146284633  Wells Fargo
146287784  Wells Fargo
146307855  Wells Fargo
146321567  Wells Fargo
146360573  Wells Fargo
146369657  Wells Fargo
146376405  Wells Fargo
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146436332  Wells Fargo
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146441423  Wells Fargo
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146458641  Wells Fargo
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146508502  Wells Fargo
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146558861  Wells Fargo
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146561881  Wells Fargo
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146575121  Wells Fargo
146592001  Wells Fargo
146595418  Wells Fargo
146604236  Wells Fargo
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146653928  Wells Fargo
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146679345  Wells Fargo
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146684238  Wells Fargo
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146851175  Wells Fargo
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146872403  Wells Fargo
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146881743  Wells Fargo
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146885116  Wells Fargo
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147126866  Wells Fargo
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147168157  Wells Fargo
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147182083  Wells Fargo
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147228175  Wells Fargo
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147507081  Wells Fargo
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147604482  Wells Fargo
147610752  Wells Fargo
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147644835  Wells Fargo
147646368  Wells Fargo
147651632  Wells Fargo
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147654487  Wells Fargo
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147696827  Wells Fargo
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147709034  Wells Fargo
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147758189  Wells Fargo
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147827216  Wells Fargo
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147839997  Wells Fargo
147849624  Wells Fargo
147850283  Wells Fargo
147853469  Wells Fargo
147858963  Wells Fargo
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147879845  Wells Fargo
147888424  Wells Fargo
147888721  Wells Fargo
147891162  Wells Fargo
147909162  Wells Fargo
147909568  Wells Fargo
147917181  Wells Fargo
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147953038  Wells Fargo
147963482  Wells Fargo
147980965  Wells Fargo
147989321  Wells Fargo
147991509  Wells Fargo
147993604  Wells Fargo
147996078  Wells Fargo
147997563  Wells Fargo
147999858  Wells Fargo
148005531  Wells Fargo
148009269  Wells Fargo
148011901  Wells Fargo
148020597  Wells Fargo
148021306  Wells Fargo
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148035454  Wells Fargo
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148047533  Wells Fargo
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148065337  Wells Fargo
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148097017  Wells Fargo
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148100886  Wells Fargo
148102361  Wells Fargo
148105083  Wells Fargo
148105141  Wells Fargo
148113673  Wells Fargo
148117864  Wells Fargo
148120363  Wells Fargo
148122971  Wells Fargo
148126931  Wells Fargo
148128044  Wells Fargo
148136054  Wells Fargo
148141245  Wells Fargo
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148164395  Wells Fargo
148164767  Wells Fargo
148171804  Wells Fargo
148175326  Wells Fargo
148178015  Wells Fargo
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148192792  Wells Fargo
148193394  Wells Fargo
148195928  Wells Fargo
148197569  Wells Fargo
148199458  Wells Fargo
148208937  Wells Fargo
148209927  Wells Fargo
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148227564  Wells Fargo
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148236128  Wells Fargo
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148243744  Wells Fargo
148246366  Wells Fargo
148256779  Wells Fargo
148257355  Wells Fargo
148261159  Wells Fargo
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148265366  Wells Fargo
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148274293  Wells Fargo
148276603  Wells Fargo
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148285091  Wells Fargo
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148296676  Wells Fargo
148296742  Wells Fargo
148296759  Wells Fargo
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148317951  Wells Fargo
148321227  Wells Fargo
148327232  Wells Fargo
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148342165  Wells Fargo
148344963  Wells Fargo
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148374408  Wells Fargo
148374499  Wells Fargo
148376684  Wells Fargo
148390941  Wells Fargo
148393325  Wells Fargo
148398803  Wells Fargo
148398936  Wells Fargo
148404833  Wells Fargo
148407224  Wells Fargo
148419831  Wells Fargo
148427859  Wells Fargo
148433451  Wells Fargo
148439664  Wells Fargo
148439953  Wells Fargo
148440282  Wells Fargo
148444755  Wells Fargo
148445083  Wells Fargo
148445414  Wells Fargo
148453418  Wells Fargo
148459241  Wells Fargo
148461437  Wells Fargo
148464746  Wells Fargo
148471063  Wells Fargo
148479694  Wells Fargo
148483191  Wells Fargo
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148488224  Wells Fargo
148489131  Wells Fargo
148492796  Wells Fargo
148499551  Wells Fargo
148509128  Wells Fargo
148522923  Wells Fargo
148528482  Wells Fargo
148536683  Wells Fargo
148540123  Wells Fargo
148551211  Wells Fargo
148565146  Wells Fargo
148567449  Wells Fargo
148568009  Wells Fargo
148569163  Wells Fargo
148570112  Wells Fargo
148570765  Wells Fargo
148578867  Wells Fargo
148581028  Wells Fargo
148589229  Wells Fargo
148592405  Wells Fargo
148595697  Wells Fargo
148596208  Wells Fargo
148597735  Wells Fargo
148605223  Wells Fargo
148608391  Wells Fargo
148612344  Wells Fargo
148615263  Wells Fargo
148629603  Wells Fargo
148635683  Wells Fargo
148645542  Wells Fargo
148646615  Wells Fargo
148658842  Wells Fargo
148668494  Wells Fargo
148672504  Wells Fargo
148674609  Wells Fargo
148678899  Wells Fargo
148681281  Wells Fargo
148687445  Wells Fargo
148694334  Wells Fargo
148696594  Wells Fargo
148701667  Wells Fargo
148708894  Wells Fargo
148713118  Wells Fargo
148719602  Wells Fargo
148722911  Wells Fargo
148723125  Wells Fargo
148723174  Wells Fargo
148725179  Wells Fargo
148728801  Wells Fargo
148733124  Wells Fargo
148737604  Wells Fargo
148738123  Wells Fargo
148751944  Wells Fargo
148755382  Wells Fargo
148755754  Wells Fargo
148757362  Wells Fargo
148759913  Wells Fargo
148761422  Wells Fargo
148762446  Wells Fargo
148767015  Wells Fargo
148770738  Wells Fargo
148774557  Wells Fargo
148774789  Wells Fargo
148778673  Wells Fargo
148787617  Wells Fargo
148788433  Wells Fargo
148793557  Wells Fargo
148794019  Wells Fargo
148794506  Wells Fargo
148794985  Wells Fargo
148801301  Wells Fargo
148805922  Wells Fargo
148813348  Wells Fargo
148819774  Wells Fargo
148821531  Wells Fargo
148828106  Wells Fargo
148829625  Wells Fargo
148836158  Wells Fargo
148840614  Wells Fargo
148848658  Wells Fargo
148859135  Wells Fargo
148860398  Wells Fargo
148865033  Wells Fargo
148869159  Wells Fargo
148875172  Wells Fargo
148877905  Wells Fargo
148885858  Wells Fargo
148886187  Wells Fargo
148886518  Wells Fargo
148888019  Wells Fargo
148890866  Wells Fargo
148897382  Wells Fargo
148898703  Wells Fargo
148907199  Wells Fargo
148907686  Wells Fargo
148910292  Wells Fargo
148912165  Wells Fargo
148923295  Wells Fargo
148925753  Wells Fargo
148932528  Wells Fargo
148934946  Wells Fargo
148936172  Wells Fargo
148938392  Wells Fargo
148945009  Wells Fargo
148952088  Wells Fargo
148959356  Wells Fargo
148961261  Wells Fargo
148964711  Wells Fargo
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 64794704  Wells Fargo
 64815517  Wells Fargo
 64815749  Wells Fargo
 64830698  Wells Fargo
 64845175  Wells Fargo
 64848682  Wells Fargo
 64849524  Wells Fargo
 64850902  Wells Fargo
 64859986  Wells Fargo
 64868052  Wells Fargo
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 64950181  Wells Fargo
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 64975006  Wells Fargo
 65013294  Wells Fargo
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 65083628  Wells Fargo
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146187711  Wells Fargo
146532981  Wells Fargo
147160857  Wells Fargo
147286611  Wells Fargo
149122251  Wells Fargo
149386468  Wells Fargo
149445793  Wells Fargo
149866675  Wells Fargo
150147536  Wells Fargo
150334522  Wells Fargo
150390086  Wells Fargo
150446524  Wells Fargo
150473643  Wells Fargo
150480499  Wells Fargo
150545697  Wells Fargo
150552636  Wells Fargo
150563419  Wells Fargo
150592764  Wells Fargo
150662062  Wells Fargo
150662377  Wells Fargo
150672699  Wells Fargo
150705051  Wells Fargo
150719474  Wells Fargo
150768877  Wells Fargo
150773893  Wells Fargo
150782167  Wells Fargo
150801074  Wells Fargo
150807683  Wells Fargo
150824902  Wells Fargo
150830859  Wells Fargo
150841583  Wells Fargo
150855641  Wells Fargo
150863686  Wells Fargo
150867133  Wells Fargo
150871135  Wells Fargo
150872141  Wells Fargo
150877884  Wells Fargo
150880425  Wells Fargo
150885051  Wells Fargo
150890002  Wells Fargo
150903128  Wells Fargo
150914935  Wells Fargo
150937936  Wells Fargo
150938173  Wells Fargo
150938801  Wells Fargo
150950277  Wells Fargo
150963262  Wells Fargo
150964963  Wells Fargo
150975019  Wells Fargo
150984169  Wells Fargo
150989564  Wells Fargo
150994317  Wells Fargo
151001971  Wells Fargo
151003464  Wells Fargo
151010287  Wells Fargo
151011541  Wells Fargo
151018603  Wells Fargo
151024551  Wells Fargo
151025681  Wells Fargo
151029006  Wells Fargo
151030764  Wells Fargo
151047594  Wells Fargo
151049277  Wells Fargo
151057171  Wells Fargo
151060746  Wells Fargo
151065539  Wells Fargo
151065877  Wells Fargo
151066354  Wells Fargo
151066875  Wells Fargo
151077401  Wells Fargo
151092806  Wells Fargo
151098654  Wells Fargo
151100849  Wells Fargo
151104502  Wells Fargo
151108651  Wells Fargo
151110921  Wells Fargo
151114295  Wells Fargo
151125135  Wells Fargo
151127388  Wells Fargo
151128444  Wells Fargo
151133881  Wells Fargo
151134855  Wells Fargo
151139516  Wells Fargo
151143732  Wells Fargo
151144631  Wells Fargo
151148244  Wells Fargo
151157351  Wells Fargo
151166915  Wells Fargo
151169893  Wells Fargo
151170206  Wells Fargo
151170529  Wells Fargo
151189701  Wells Fargo
151198082  Wells Fargo
151209681  Wells Fargo
151214145  Wells Fargo
151220746  Wells Fargo
151225596  Wells Fargo
151227766  Wells Fargo
151236197  Wells Fargo
151241254  Wells Fargo
151246436  Wells Fargo
151247921  Wells Fargo
151248044  Wells Fargo
151248689  Wells Fargo
151258654  Wells Fargo
151266434  Wells Fargo
151289097  Wells Fargo
151301512  Wells Fargo
151307576  Wells Fargo
151311453  Wells Fargo
151322377  Wells Fargo
151327038  Wells Fargo
151335684  Wells Fargo
151337813  Wells Fargo
151338274  Wells Fargo
151338662  Wells Fargo
151341708  Wells Fargo
151344876  Wells Fargo
151358587  Wells Fargo
151361813  Wells Fargo
151365673  Wells Fargo
151368982  Wells Fargo
151372711  Wells Fargo
151372729  Wells Fargo
151376191  Wells Fargo
151384252  Wells Fargo
151389848  Wells Fargo
151390069  Wells Fargo
151390747  Wells Fargo
151393113  Wells Fargo
151413937  Wells Fargo
151414489  Wells Fargo
151414497  Wells Fargo
151418597  Wells Fargo
151423274  Wells Fargo
151426251  Wells Fargo
151428539  Wells Fargo
151429784  Wells Fargo
151432846  Wells Fargo
151433125  Wells Fargo
151443918  Wells Fargo
151444494  Wells Fargo
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151453099  Wells Fargo
151458106  Wells Fargo
151459138  Wells Fargo
151461829  Wells Fargo
151464856  Wells Fargo
151465697  Wells Fargo
151476975  Wells Fargo
151478609  Wells Fargo
151484748  Wells Fargo
151490208  Wells Fargo
151490554  Wells Fargo
151498888  Wells Fargo
151500949  Wells Fargo
151500964  Wells Fargo
151502564  Wells Fargo
151508751  Wells Fargo
151527603  Wells Fargo
151532314  Wells Fargo
151532637  Wells Fargo
151533676  Wells Fargo
151549201  Wells Fargo
151550621  Wells Fargo
151562295  Wells Fargo
151573763  Wells Fargo
151578481  Wells Fargo
151579638  Wells Fargo
151580693  Wells Fargo
151583556  Wells Fargo
151586385  Wells Fargo
151588373  Wells Fargo
151590163  Wells Fargo
151623899  Wells Fargo
151626629  Wells Fargo
151629631  Wells Fargo
151631637  Wells Fargo
151637071  Wells Fargo
151639838  Wells Fargo
151649928  Wells Fargo
151650934  Wells Fargo
151651221  Wells Fargo
151657301  Wells Fargo
151668514  Wells Fargo
151673431  Wells Fargo
151677531  Wells Fargo
151688181  Wells Fargo
151695327  Wells Fargo
151697059  Wells Fargo
151699691  Wells Fargo
151707338  Wells Fargo
151708955  Wells Fargo
151710449  Wells Fargo
151715331  Wells Fargo
151716552  Wells Fargo
151716644  Wells Fargo
151717584  Wells Fargo
151729324  Wells Fargo
151736964  Wells Fargo
151740321  Wells Fargo
151758513  Wells Fargo
151762333  Wells Fargo
151763265  Wells Fargo
151772829  Wells Fargo
151773546  Wells Fargo
151774007  Wells Fargo
151778131  Wells Fargo
151780517  Wells Fargo
151781606  Wells Fargo
151789716  Wells Fargo
151797958  Wells Fargo
151810934  Wells Fargo
151823838  Wells Fargo
151837937  Wells Fargo
151848405  Wells Fargo
151856085  Wells Fargo
151864212  Wells Fargo
151878287  Wells Fargo
151884079  Wells Fargo
151904513  Wells Fargo
151911427  Wells Fargo
151923661  Wells Fargo
151925658  Wells Fargo
151930435  Wells Fargo
151937679  Wells Fargo
151940491  Wells Fargo
151970548  Wells Fargo
151973286  Wells Fargo
152006847  Wells Fargo
152019196  Wells Fargo
152044087  Wells Fargo
152074399  Wells Fargo
152133757  Wells Fargo
152147401  Wells Fargo
152171385  Wells Fargo
152172441  Wells Fargo

                                    EXHIBIT E

                        REQUEST FOR RELEASE OF DOCUMENTS

                                     [date]

To:   U.S. Bank National Association
      4527 Metropolitan Ct., Suite C
      Frederick, MD  21704
      Attention: Tina Radtke

Re:   The Pooling and Servicing Agreement, dated July 31, 2006, among Banc of
      America Funding Corporation, as Depositor, Wells Fargo Bank, N.A., as
      Servicer and Securities Administrator, and U.S. Bank National Association,
      as Trustee.

      In connection with the administration of the Mortgage Loans held by you,
as custodian, pursuant to the above-captioned Pooling and Servicing Agreement,
we request the release, and hereby acknowledge receipt, of the Mortgage File for
the Mortgage Loan described below, for the reason indicated.

Mortgage Loan Number:

Mortgagor Name, Address & Zip Code:

Reason for Requesting Documents (check one)

____     1.    Mortgage Paid in Full

____     2.    Foreclosure

____     3.    Substitution

____     4.    Other Liquidation

____     5.    Nonliquidation                     Reason: ___________________

                                        By:_____________________________________
                                               (authorized signer of Servicer)

                                        Name:___________________________________

                                        Title:__________________________________

                                        Address:________________________________

                                        ________________________________________

                                        Date:___________________________________

                                       E-1

Custodian

U.S. Bank National Association
Please acknowledge the execution of the above request by your signature and date
below:

________________________________________    _____________
Signature                                       Date

Documents returned to Custodian:

________________________________________    _____________
Signature                                       Date

                                       E-2

                                    EXHIBIT F

                FORM OF CERTIFICATION OF ESTABLISHMENT OF ACCOUNT

                                     [Date]

      [_______________] hereby certifies that it has established a [__________]
Account pursuant to Section [________] of the Pooling and Servicing Agreement,
dated July 31, 2006, among Banc of America Funding Corporation, as Depositor,
Wells Fargo Bank, N.A., as Servicer and as Securities Administrator, and U.S.
Bank National Association, as Trustee.

                                        [_______________],

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                       F-1

                                   EXHIBIT G-1

                        FORM OF TRANSFEROR'S CERTIFICATE
                      FOR TRANSFERS OF PRIVATE CERTIFICATES

                                     [Date]

Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota 55479-0113
Attention: Corporate Trust Services - BAFC 2006-G

            Re:   Banc of America Funding Corporation, Mortgage Pass-Through
            Certificates, Series 2006-G, Class ___, having an initial aggregate
            Certificate Balance as of July 31, 2006 of $___________

Ladies and Gentlemen:

      This letter is delivered to you in connection with the transfer by
[______________] (the "Transferor") to [______________] (the "Transferee") of
the captioned Certificates (the "Transferred Certificates"), pursuant to Section
6.02 of the Pooling and Servicing Agreement (the "Pooling and Servicing
Agreement"), dated July 31, 2006, among Banc of America Funding Corporation, as
Depositor, Wells Fargo Bank, N.A., as Servicer and as Securities Administrator,
and U.S. Bank National Association, as Trustee. All capitalized terms used
herein and not otherwise defined shall have the respective meanings set forth in
the Pooling and Servicing Agreement. The Transferor hereby certifies, represents
and warrants to you, as Trustee, that:

      1.    The Transferor is the lawful owner of the Transferred Certificates
with the full right to transfer such Certificates free from any and all claims
and encumbrances whatsoever.

      2.    Neither the Transferor nor anyone acting on its behalf has (a)
offered, transferred, pledged, sold or otherwise disposed of any Transferred
Certificate, any interest in a Transferred Certificate or any other similar
security to any person in any manner, (b) solicited any offer to buy or accept a
transfer, pledge or other disposition of any Transferred Certificate, any
interest in a Transferred Certificate or any other similar security from any
person in any manner, (c) otherwise approached or negotiated with respect to any
Transferred Certificate, any interest in a Transferred Certificate or any other
similar security with any person in any manner, (d) made any general
solicitation with respect to any Transferred Certificate, any interest in a
Transferred Certificate or any other similar security by means of general
advertising or in any other manner, or (e) taken any other action with respect
to any Transferred Certificate, any interest in a Transferred Certificate or any
other similar security, which (in the case of any of the acts described in
clauses (a) through (e) hereof) would constitute a distribution of the
Transferred Certificates under the Securities Act of 1933, as amended (the "1933
Act"), would render the disposition of the Transferred Certificates a violation
of Section 5 of the 1933 Act or any state securities laws, or would require
registration or qualification of the Transferred Certificates pursuant to the
1933 Act or any state securities laws.

                                      G-1-1

                                        Very truly yours,

                                        ________________________________________
                                        (Transferor)

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                      G-1-2

                                  EXHIBIT G-2A

                       FORM 1 OF TRANSFEREE'S CERTIFICATE
                      FOR TRANSFERS OF PRIVATE CERTIFICATES

                                     [Date]

Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota 55479-0113
Attention: Corporate Trust Services - BAFC 2006-G

      Re:   Banc of America Funding Corporation, Mortgage Pass-Through
            Certificates, Series 2006-G, Class ___, having an initial aggregate
            Certificate Balance as of July 31, 2006 of $_________]

Ladies and Gentlemen:

      This letter is delivered to you in connection with the transfer by
[_______________] (the "Transferor") to [_________________________________] (the
"Transferee") of the captioned Certificates (the "Transferred Certificates"),
pursuant to Section 6.02 of the Pooling and Servicing Agreement (the "Pooling
and Servicing Agreement"), dated July 31, 2006, among Banc of America Funding
Corporation, as Depositor, Wells Fargo Bank, N.A., as Servicer and as Securities
Administrator, and U.S. Bank National Association, as Trustee. All capitalized
terms used herein and not otherwise defined shall have the respective meanings
set forth in the Pooling and Servicing Agreement. The Transferor hereby
certifies, represents and warrants to you, as Trustee, that:

            1.    The Transferee is a "qualified institutional buyer" (a
      "Qualified Institutional Buyer") as that term is defined in Rule 144A
      ("Rule 144A") under the Securities Act of 1933, as amended (the "1933
      Act"), and has completed one of the forms of certification to that effect
      attached hereto as Annex 1 and Annex 2. The Transferee is aware that the
      sale to it is being made in reliance on Rule 144A. The Transferee is
      acquiring the Transferred Certificates for its own account or for the
      account of another Qualified Institutional Buyer, and understands that
      such Transferred Certificates may be resold, pledged or transferred only
      (a) to a person reasonably believed to be a Qualified Institutional Buyer
      that purchases for its own account or for the account of another Qualified
      Institutional Buyer to whom notice is given that the resale, pledge or
      transfer is being made in reliance on Rule 144A, or (b) pursuant to
      another exemption from registration under the 1933 Act.

            2.    The Transferee has been furnished with all information
      regarding (a) the Depositor, (b) the Transferred Certificates and
      distributions thereon, (c) the nature, performance and servicing of the
      Mortgage Loans, (d) the Pooling and Servicing Agreement and the Trust
      created pursuant thereto, (e) any credit enhancement mechanism associated
      with the Transferred Certificate, and (f) all related matters, that it has
      requested.

                                     G-2A-1

            3.    If the Transferee proposes that the Transferred Certificates
      be registered in the name of a nominee, such nominee has completed the
      Nominee Acknowledgment below.

                                        Very truly yours,

                                        ________________________________________
                                        (Transferor)

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                     G-2A-2

                             Nominee Acknowledgment

      The undersigned hereby acknowledges and agrees that as to the Transferred
Certificates being registered in its name, the sole beneficial owner thereof is
and shall be the Transferee identified above, for whom the undersigned is acting
as nominee.

                                        ________________________________________
                                        (Nominee)

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                     G-2A-3

                                                         ANNEX 1 TO EXHIBIT G-2A

            QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A

          [For Transferees Other Than Registered Investment Companies]

      The undersigned hereby certifies as follows to [__________________] (the
"Transferor") Wells Fargo Bank, N.A., as Securities Administrator with respect
to the mortgage pass-through certificates (the "Transferred Certificates")
described in the Transferee certificate to which this certification relates and
to which this certification is an Annex:

      1.    As indicated below, the undersigned is the chief financial officer,
a person fulfilling an equivalent function, or other executive officer of the
entity purchasing the Transferred Certificates (the "Transferee").

      2.    The Transferee is a "qualified institutional buyer" as that term is
defined in Rule 144A ("Rule 144A") under the Securities Act of 1933, as amended,
because (i) the Transferee owned and/or invested on a discretionary basis
$______________________(1) in securities (other than the excluded securities
referred to below) as of the end of the Transferee's most recent fiscal year
(such amount being calculated in accordance with Rule 144A) and (ii) the
Transferee satisfies the criteria in the category marked below.

      ___   Corporation, etc. The Transferee is a corporation (other than a
            bank, savings and loan association or similar institution),
            Massachusetts or similar business trust, partnership, or any
            organization described in Section 501(c)(3) of the Internal Revenue
            Code of 1986.

      ___   Bank. The Transferee (a) is a national bank or a banking institution
            organized under the laws of any state, U.S. territory or the
            District of Columbia, the business of which is substantially
            confined to banking and is supervised by the state or territorial
            banking commission or similar official or is a foreign bank or
            equivalent institution, and (b) has an audited net worth of at least
            $25,000,000 as demonstrated in its latest annual financial
            statements, a copy of which is attached hereto, as of a date not
            more than 16 months preceding the date of sale of the Transferred
            Certificates in the case of a U.S. bank, and not more than 18 months
            preceding such date of sale in the case of a foreign bank or
            equivalent institution.

      ___   Savings and Loan. The Transferee (a) is a savings and loan
            association, building and loan association, cooperative bank,
            homestead association or similar institution, which is supervised
            and examined by a state or federal authority having supervision over
            any such institutions, or is a foreign savings and loan

_______________________________
      (1) Transferee must own and/or invest on a discretionary basis at least
$100,000,000 in securities unless Transferee is a dealer, and, in that case,
Transferee must own and/or invest on a discretionary basis at least $10,000,000
in securities.

                                     G-2A-4

            association or equivalent institute and (b) has an audited net worth
            of at least $25,000,000 as demonstrated in its latest annual
            financial statements, a copy of which is attached hereto, as of a
            date not more than 16 months preceding the date of sale of the
            Transferred Certificates in the case of a U.S. savings and loan
            association, and not more than 18 months preceding such date of sale
            in the case of a foreign savings and loan association or equivalent
            institution.

      ___   Broker-dealer. The Transferee is a dealer registered pursuant to
            Section 15 of the Securities Exchange Act of 1934, as amended.

      ___   Insurance Company. The Transferee is an insurance company whose
            primary and predominant business activity is the writing of
            insurance or the reinsuring of risks underwritten by insurance
            companies and which is subject to supervision by the insurance
            commissioner or a similar official or agency of a state, U.S.
            territory or the District of Columbia.

      ___   State or Local Plan. The Transferee is a plan established and
            maintained by a state, its political subdivisions, or any agency or
            instrumentality of the state or its political subdivisions, for the
            benefit of its employees.

      ___   ERISA Plan. The Transferee is an employee benefit plan within the
            meaning of Title I of the Employee Retirement Income Security Act of
            1974.

      ___   Investment Advisor. The Transferee is an investment advisor
            registered under the Investment Advisers Act of 1940.

      ___   Other. (Please supply a brief description of the entity and a
            cross-reference to the paragraph and subparagraph under subsection
            (a)(1) of Rule 144A pursuant to which it qualifies. Note that
            registered investment companies should complete Annex 2 rather than
            this Annex 1.)

      3.    The term "securities" as used herein does not include (i) securities
of issuers that are affiliated with the Transferee, (ii) securities that are
part of an unsold allotment to or subscription by the Transferee, if the
Transferee is a dealer, (iii) bank deposit notes and certificates of deposit,
(iv) loan participations, (v) repurchase agreements, (vi) securities owned but
subject to a repurchase agreement and (vii) currency, interest rate and
commodity swaps. For purposes of determining the aggregate amount of securities
owned and/or invested on a discretionary basis by the Transferee, the Transferee
did not include any of the securities referred to in this paragraph.

      4.    For purposes of determining the aggregate amount of securities owned
and/or invested on a discretionary basis by the Transferee, the Transferee used
the cost of such securities to the Transferee, unless the Transferee reports its
securities holdings in its financial statements on the basis of their market
value, and no current information with respect to the cost of those securities
has been published, in which case the securities were valued at market. Further,
in determining such aggregate amount, the Transferee may have included
securities owned by subsidiaries of the Transferee, but only if such
subsidiaries are consolidated with the Transferee in its financial statements
prepared in accordance with generally accepted accounting

                                     G-2A-5

principles and if the investments of such subsidiaries are managed under the
Transferee's direction. However, such securities were not included if the
Transferee is a majority-owned, consolidated subsidiary of another enterprise
and the Transferee is not itself a reporting company under the Securities
Exchange Act of 1934, as amended.

      5.    The Transferee is familiar with Rule 144A and understands that the
Transferor and other parties related to the Transferred Certificates are relying
and will continue to rely on the statements made herein because one or more
sales to the Transferee may be in reliance on Rule 144A.

            ____    ____     Will the Transferee be purchasing the Transferred
            Yes     No       Certificates only for the Transferee's own account?

      6.    If the answer to the foregoing question is "no," then in each case
where the Transferee is purchasing for an account other than its own, such
account belongs to a third party that is itself a "qualified institutional
buyer" within the meaning of Rule 144A, and the "qualified institutional buyer"
status of such third party has been established by the Transferee through one or
more of the appropriate methods contemplated by Rule 144A.

      7.    The Transferee will notify each of the parties to which this
certification is made of any changes in the information and conclusions herein.
Until such notice is given, the Transferee's purchase of the Transferred
Certificates will constitute a reaffirmation of this certification as of the
date of such purchase. In addition, if the Transferee is a bank or savings and
loan as provided above, the Transferee agrees that it will furnish to such
parties any updated annual financial statements that become available on or
before the date of such purchase, promptly after they become available.

                                        ________________________________________
                                        Print Name of Transferee

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                        Date:___________________________________

                                     G-2A-6

                                                         ANNEX 2 TO EXHIBIT G-2A

            QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A

           [For Transferees That Are Registered Investment Companies]

      The undersigned hereby certifies as follows to [_________________] (the
"Transferor") and Wells Fargo Bank, N.A., as Securities Administrator with
respect to the mortgage pass-through certificates (the "Transferred
Certificates") described in the Transferee certificate to which this
certification relates and to which this certification is an Annex:

      1.    As indicated below, the undersigned is the chief financial officer,
a person fulfilling an equivalent function, or other executive officer of the
entity purchasing the Transferred Certificates (the "Transferee") or, if the
Transferee is a "qualified institutional buyer" as that term is defined in Rule
144A ("Rule 144A") under the Securities Act of 1933, as amended, because the
Transferee is part of a Family of Investment Companies (as defined below), is an
executive officer of the investment adviser (the "Adviser").

      2.    The Transferee is a "qualified institutional buyer" as defined in
Rule 144A because (i) the Transferee is an investment company registered under
the Investment Company Act of 1940, and (ii) as marked below, the Transferee
alone owned and/or invested on a discretionary basis, or the Transferee's Family
of Investment Companies owned, at least $100,000,000 in securities (other than
the excluded securities referred to below) as of the end of the Transferee's
most recent fiscal year. For purposes of determining the amount of securities
owned by the Transferee or the Transferee's Family of Investment Companies, the
cost of such securities was used, unless the Transferee or any member of the
Transferee's Family of Investment Companies, as the case may be, reports its
securities holdings in its financial statements on the basis of their market
value, and no current information with respect to the cost of those securities
has been published, in which case the securities of such entity were valued at
market.

      ____  The Transferee owned and/or invested on a discretionary basis
            $____________________ in securities (other than the excluded
            securities referred to below) as of the end of the Transferee's most
            recent fiscal year (such amount being calculated in accordance with
            Rule 144A).

      ____  The Transferee is part of a Family of Investment Companies which
            owned in the aggregate $__________________ in securities (other than
            the excluded securities referred to below) as of the end of the
            Transferee's most recent fiscal year (such amount being calculated
            in accordance with Rule 144A).

      3.    The term "Family of Investment Companies" as used herein means two
or more registered investment companies (or series thereof) that have the same
investment adviser or investment advisers that are affiliated (by virtue of
being majority owned subsidiaries of the same parent or because one investment
adviser is a majority owned subsidiary of the other).

                                     G-2A-7

      4.    The term "securities" as used herein does not include (i) securities
of issuers that are affiliated with the Transferee or are part of the
Transferee's Family of Investment Companies, (ii) bank deposit notes and
certificates of deposit, (iii) loan participations, (iv) repurchase agreements,
(v) securities owned but subject to a repurchase agreement and (vi) currency,
interest rate and commodity swaps. For purposes of determining the aggregate
amount of securities owned and/or invested on a discretionary basis by the
Transferee, or owned by the Transferee's Family of Investment Companies, the
securities referred to in this paragraph were excluded.

      5.    The Transferee is familiar with Rule 144A and understands that the
Transferor and other parties related to the Transferred Certificates are relying
and will continue to rely on the statements made herein because one or more
sales to the Transferee will be in reliance on Rule 144A.

            ____    ____
            Yes     No       Will the Transferee be purchasing the Transferred
                             Certificates only for the Transferee's own account?

      6.    If the answer to the foregoing question is "no," then in each case
where the Transferee is purchasing for an account other than its own, such
account belongs to a third party that is itself a "qualified institutional
buyer" within the meaning of Rule 144A, and the "qualified institutional buyer"
status of such third party has been established by the Transferee through one or
more of the appropriate methods contemplated by Rule 144A.

      7.    The undersigned will notify the parties to which this certification
is made of any changes in the information and conclusions herein. Until such
notice, the Transferee's purchase of the Transferred Certificates will
constitute a reaffirmation of this certification by the undersigned as of the
date of such purchase.

                                        ________________________________________
                                        Print Name of Transferee or Adviser

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                        IF AN ADVISER:

                                        ________________________________________
                                        Print Name of Transferee

                                        By:_____________________________________

                                        Date:___________________________________

                                     G-2A-8

                                  EXHIBIT G-2B

                       FORM 2 OF TRANSFEREE'S CERTIFICATE
                      FOR TRANSFERS OF PRIVATE CERTIFICATES

                                     [Date]

Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota 55479-0113
Attention: Corporate Trust Services - BAFC 2006-G

      Re:   Banc of America Funding Corporation, Mortgage Pass-Through
            Certificates, Series 2006-G, Class ___, having an initial aggregate
            Certificate Principal Balance as of July 31, 2006 of $_________

Ladies and Gentlemen:

      This letter is delivered to you in connection with the transfer by
[_______________________] (the "Transferor") to [______________________________]
(the "Transferee") of the captioned Certificates (the "Transferred
Certificates"), pursuant to Section 6.02 of the Pooling and Servicing Agreement
(the "Pooling and Servicing Agreement"), dated July 31, 2006, among Banc of
America Funding Corporation, as Depositor, Wells Fargo Bank, N.A., as Servicer
and as Securities Administrator, and U.S. Bank National Association, as Trustee.
All capitalized terms used herein and not otherwise defined shall have the
respective meanings set forth in the Pooling and Servicing Agreement. The
Transferor hereby certifies, represents and warrants to you, as Securities
Administrator, that:

      1.    Transferee is acquiring the Transferred Certificates for its own
account for investment and not with a view to or for sale or transfer in
connection with any distribution thereof, in whole or in part, in any manner
which would violate the Securities Act of 1933, as amended (the "1933 Act"), or
any applicable state securities laws.

      2.    Transferee understands that (a) the Transferred Certificates have
not been and will not be registered under the 1933 Act or registered or
qualified under any applicable state securities laws, (b) neither the Depositor
nor the Securities Administrator is obligated so to register or qualify the
Transferred Certificates and (c) neither the Transferred Certificates nor any
security issued in exchange therefor or in lieu thereof may be resold or
transferred unless such resale or transfer is exempt from the registration
requirements of the 1933 Act and any applicable state securities laws or is made
in accordance with the 1933 Act and laws, in which case (i) unless the transfer
is made in reliance on Rule 144A under the 1933 Act, the Securities
Administrator or the Depositor may require a written Opinion of Counsel (which
may be in-house counsel) acceptable to and in form and substance reasonably
satisfactory to the Securities Administrator and the Depositor that such
transfer may be made pursuant to an exemption, describing the applicable
exemption and the basis therefor, from the 1933 Act and such laws or is being
made pursuant to the 1933 Act and such laws, which Opinion of Counsel shall not
be an

                                     G-2B-1

expense of the Securities Administrator or the Depositor and (ii) the Securities
Administrator shall require a certificate from the Certificateholder desiring to
effect such transfer substantially in the form attached to the Pooling and
Servicing Agreement as Exhibit G-1 and a certificate from such
Certificateholder's prospective transferee substantially in the form attached to
the Pooling and Servicing Agreement either as Exhibit G-2A or as Exhibit G-2B,
which certificates shall not be an expense of the Securities Administrator or
the Depositor; provided that the foregoing requirements under clauses (i) and
(ii) shall not apply to a transfer of a Private Certificate between or among the
Depositor, the Sponsor, their affiliates or both.

      3.    The Transferee understands that it may not sell or otherwise
transfer the Transferred Certificates, any security issued in exchange therefor
or in lieu thereof or any interest in the foregoing except in compliance with
the provisions of Section 6.02 of the Pooling and Servicing Agreement, which
provisions it has carefully reviewed, and that the Transferred Certificates will
bear legends substantially to the following effect:

      THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933,
      AS AMENDED (THE "1933 ACT"). ANY RESALE OR TRANSFER OF THIS CERTIFICATE
      WITHOUT REGISTRATION THEREOF UNDER THE 1933 ACT MAY ONLY BE MADE IN A
      TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE 1933 ACT
      AND IN ACCORDANCE WITH THE PROVISIONS OF THE POOLING AND SERVICING
      AGREEMENT REFERENCED HEREIN.

      UNDER CURRENT LAW THE PURCHASE AND HOLDING OF THIS CERTIFICATE BY OR ON
      BEHALF OF ANY EMPLOYEE BENEFIT PLAN OR ARRANGEMENT, INCLUDING AN
      INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT INCOME
      SECURITY ACT OF 1974, AS AMENDED ("ERISA"), THE INTERNAL REVENUE CODE OF
      1986, AS AMENDED (THE "CODE"), OR ANY FEDERAL, STATE OR LOCAL LAW
      ("SIMILAR LAW") WHICH IS SIMILAR TO ERISA OR THE CODE (COLLECTIVELY, A
      "PLAN"), MAY RESULT IN "PROHIBITED TRANSACTIONS" WITHIN THE MEANING OF
      ERISA, THE CODE OR SIMILAR LAW. TRANSFER OF THIS CERTIFICATE WILL NOT BE
      MADE UNLESS THE TRANSFEREE DELIVERS TO THE SECURITIES ADMINISTRATOR EITHER
      (I) A REPRESENTATION LETTER, IN FORM AND SUBSTANCE SATISFACTORY TO THE
      SECURITIES ADMINISTRATOR, STATING THAT (A) IT IS NOT, AND IS NOT ACTING ON
      BEHALF OF, ANY SUCH PLAN OR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT
      SUCH PURCHASE OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF
      FUNDS USED TO PURCHASE THIS CERTIFICATE IS AN "INSURANCE COMPANY GENERAL
      ACCOUNT" (AS SUCH TERM IS DEFINED IN SECTION V(E) OF PROHIBITED
      TRANSACTION CLASS EXEMPTION 95-60 ("PTE 95-60"), 60 FED. REG. 35925 (JULY
      12, 1995)), THERE IS NO BENEFIT PLAN WITH RESPECT TO WHICH THE AMOUNT OF
      SUCH GENERAL ACCOUNT'S RESERVES AND LIABILITIES FOR THE CONTRACT(S) HELD
      BY OR ON BEHALF OF SUCH BENEFIT PLAN AND ALL OTHER BENEFIT PLANS
      MAINTAINED BY THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN
      SECTION V(A)(1) OF PTE 95-60) OR BY

                                     G-2B-2

      THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL RESERVES
      AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED
      UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS
      THAT HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60
      APPLIES, OR (II) AN OPINION OF COUNSEL, IN FORM AND SUBSTANCE SATISFACTORY
      TO THE SECURITIES ADMINISTRATOR, TO THE EFFECT THAT THE PURCHASE OR
      HOLDING OF THIS CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT
      CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE
      MEANING OF ERISA, SECTION 4975 OF THE CODE OR SIMILAR LAW AND WILL NOT
      SUBJECT THE DEPOSITOR, THE SERVICER, THE SECURITIES ADMINISTRATOR OR THE
      TRUSTEE TO ANY OBLIGATION IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING
      AND SERVICING AGREEMENT. EACH PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY
      INTEREST THEREIN SHALL BE DEEMED TO HAVE MADE THE REPRESENTATIONS REQUIRED
      BY THE REPRESENTATION LETTER REFERRED TO IN THE PRECEDING SENTENCE UNLESS
      SUCH PERSON SHALL HAVE PROVIDED SUCH REPRESENTATION LETTER OR THE OPINION
      OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE SECURITIES
      ADMINISTRATOR. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY
      ATTEMPTED OR PURPORTED TRANSFER IN VIOLATION OF THESE TRANSFER
      RESTRICTIONS WILL BE NULL AND VOID AND WILL VEST NO RIGHTS IN ANY
      PURPORTED TRANSFEREE.

      4.    Neither the Transferee nor anyone acting on its behalf has (a)
offered, transferred, pledged, sold or otherwise disposed of any Transferred
Certificate, any interest in a Transferred Certificate or any other similar
security to any person in any manner, (b) solicited any offer to buy or accept a
transfer, pledge or other disposition of any Transferred Certificate, any
interest in a Transferred Certificate or any other similar security from any
person in any manner, (c) otherwise approached or negotiated with respect to any
Transferred Certificate, any interest in a Transferred Certificate or any other
similar security with any person in any manner, (d) made any general
solicitation by means of general advertising or in any other manner, or (e)
taken any other action, that (in the case of any of the acts described in
clauses (a) through (e) above) would constitute a distribution of the
Transferred Certificates under the 1933 Act, would render the disposition of the
Transferred Certificates a violation of Section 5 of the 1933 Act or any state
securities law or would require registration or qualification of the Transferred
Certificates pursuant thereto. The Transferee will not act, nor has it
authorized nor will it authorize any person to act, in any manner set forth in
the foregoing sentence with respect to the Transferred Certificates, any
interest in the Transferred Certificates or any other similar security.

      5.    The Transferee has been furnished with all information regarding (a)
the Depositor, (b) the Transferred Certificates and distributions thereon, (c)
nature, performance and servicing of the Mortgage Loans, (d) the Pooling and
Servicing Agreement and the Trust created pursuant thereto, (e) any credit
enhancement mechanism associated with the Transferred Certificates, and (f) all
related matters, that it has requested.

                                     G-2B-3

      6.    The Transferee is an "accredited investor" within the meaning of
paragraph (1), (2), (3) or (7) of Rule 501 (a) under the 1933 Act or an entity
in which all the equity owners come within such paragraphs and has such
knowledge and experience in financial and business matters as to be capable of
evaluating the merits and risks of an investment in the Transferred
Certificates; the Transferee has sought such accounting, legal and tax advice as
it has considered necessary to make an informed investment decision; and the
Transferee is able to bear the economic risks of such an investment and can
afford a complete loss of such investment.

      7.    If the Transferee proposes that the Transferred Certificates be
registered in the name of a nominee, such nominee has completed the Nominee
Acknowledgment below.

                                        Very truly yours,

                                        ________________________________________
                                        (Transferee)

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                        Date:___________________________________

                                     G-2B-4

                             Nominee Acknowledgment

      The undersigned hereby acknowledges and agrees that as to the Transferred
Certificates being registered in its name, the sole beneficial owner thereof is
and shall be the Transferee identified above, for whom the undersigned is acting
as nominee.

                                        ________________________________________
                                       (Nominee)

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                     G-2B-5

                                    EXHIBIT H

                    FORM OF TRANSFEREE REPRESENTATION LETTER
                        FOR ERISA RESTRICTED CERTIFICATES

Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota 55479-0113
Attention: Corporate Trust Services - BAFC 2006-G

      Re:   Banc of America Funding Corporation, Mortgage Pass-Through
            Certificates, Series 2006-G, Class ___, having an initial aggregate
            Certificate Balance as of July 31, 2006 of $_________

Ladies and Gentlemen:

      This letter is delivered to you in connection with the transfer by
[_______________________] (the "Transferor") to
[________________________________] (the "Transferee") of the captioned
Certificates (the "Transferred Certificates"), pursuant to Section 6.02 of the
Pooling and Servicing Agreement (the "Pooling and Servicing Agreement"), dated
July 31, 2006, among Banc of America Funding Corporation, as Depositor, Wells
Fargo Bank, N.A., as Servicer and as Securities Administrator, and U.S. Bank
National Association, as Trustee. All capitalized terms used herein and not
otherwise defined shall have the respective meanings set forth in the Pooling
and Servicing Agreement.

      The Transferee hereby certifies, represents and warrants to you, as
Securities Administrator, either that:

      (a)   it is not, and is not acting on behalf of, an employee benefit plan
or arrangement, including an individual retirement account, subject to the
Employee Retirement Income Security Act of 1974, as amended ("ERISA"), the
Internal Revenue Code of 1986, as amended (the "Code"), or any federal, state or
local law ("Similar Law") which is similar to ERISA or the Code (collectively, a
"Plan"), and it is not using the assets of any such Plan to effect the purchase
of the Transferred Certificates; or

      (b)   With respect to any Transferred Certificates other than the Class R
Certificate, it is an insurance company and the source of funds used to purchase
the Transferred Certificates is an "insurance company general account" (as
defined in Section V(e) of Prohibited Transaction Class Exemption 95-60 ("PTE
95-60"), 60 Fed. Reg. 35925 (July 12, 1995)), there is no Plan with respect to
which the amount of such general account's reserves and liabilities for the
contract(s) held by or on behalf of such Plan and all other Plans maintained by
the same employer (or affiliate thereof as defined in Section V(a)(1) of PTE
95-60) or by the same employee organization exceeds 10% of the total of all
reserves and liabilities of such general account (as such amounts are determined
under Section I(a) of PTE 95-60) at the date of acquisition and all Plans that
have an interest in such general account are Plans to which PTE 95-60 applies.

                                       H-1

Capitalized terms used in and not otherwise defined herein shall have the
meaning assigned to them in the Pooling and Servicing Agreement.

                                        Very truly yours,

                                        ________________________________________
                                        (Transferee)

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                        Date:___________________________________

                                       H-2

                                    EXHIBIT I

                     FORM OF AFFIDAVIT REGARDING TRANSFER OF
                  RESIDUAL CERTIFICATE PURSUANT TO SECTION 6.02

                       Banc of America Funding Corporation
                       Mortgage Pass-Through Certificates,
                                  Series 2006-G

STATE OF               )
                       )  ss:
COUNTY OF              )

      The undersigned, being first duly sworn, deposes and says as follows:

      1.    The undersigned is an officer of _______________________________,
the proposed transferee (the "Transferee") of the Class R Certificate (the
"Residual Certificate") issued pursuant to the Pooling and Servicing Agreement,
dated July 31, 2006 (the "Agreement"), among Banc of America Funding
Corporation, as Depositor, Wells Fargo Bank, N.A., as Servicer and as Securities
Administrator, and U.S. Bank National Association, as Trustee. Capitalized terms
used but not defined herein shall have the meanings ascribed to such terms in
the Agreement. The Transferee has authorized the undersigned to make this
affidavit on behalf of the Transferee.

      2.    The Transferee is, as of the date hereof, and will be, as of the
date of the transfer, a Permitted Transferee. The Transferee is acquiring the
Residual Certificate either (i) for its own account or (ii) as nominee, trustee
or agent for another Person who is a Permitted Transferee and has attached
hereto an affidavit from such Person in substantially the same form as this
affidavit. The Transferee has no knowledge that any such affidavit is false.

      3.    The Transferee has been advised of, and understands that (i) a tax
will be imposed on Transfers of the Residual Certificate to Persons that are not
Permitted Transferees; (ii) such tax will be imposed on the transferor, or, if
such transfer is through an agent (which includes a broker, nominee or
middleman) for a Person that is not a Permitted Transferee, on the agent; and
(iii) the Person otherwise liable for the tax shall be relieved of liability for
the tax if the subsequent Transferee furnished to such Person an affidavit that
such subsequent Transferee is a Permitted Transferee and, at the time of
transfer, such Person does not have actual knowledge that the affidavit is
false.

      4.    The Transferee has been advised of, and understands that a tax will
be imposed on a "pass-through entity" holding the Certificate if at any time
during the taxable year of the pass-through entity a Person that is not a
Permitted Transferee is the record Holder of an interest in such entity. The
Transferee understands that, other than in the case of an "electing large
partnership" under Section 775 of the Code, such tax will not be imposed for any
period with respect to which the record Holder furnishes to the pass-through
entity an affidavit that such record Holder is a Permitted Transferee and the
pass-through entity does not have actual knowledge that such affidavit is false.
(For this purpose, a "pass-through entity" includes a

                                       I-1

regulated investment company, a real estate investment trust or common trust
fund, a partnership, trust or estate, and certain cooperatives and, except as
may be provided in Treasury Regulations, persons holding interests in
pass-through entities as a nominee for another Person.)

      5.    The Transferee has reviewed the provisions of Section 6.02 of the
Agreement and understands the legal consequences of the acquisition of the
Residual Certificate including, without limitation, the restrictions on
subsequent Transfers and the provisions regarding voiding the transfer and
mandatory sales. The Transferee expressly agrees to be bound by and to abide by
the provisions of Section 6.02 of the Agreement and the restrictions noted on
the face of the Certificate. The Transferee understands and agrees that any
breach of any of the representations included herein shall render the transfer
to the Transferee contemplated hereby null and void.

      6.    The Transferee agrees to require a transfer affidavit in the form of
this Affidavit from any Person to whom the Transferee attempts to transfer the
Residual Certificate, and in connection with any transfer by a Person for whom
the Transferee is acting as nominee, trustee or agent, and the Transferee will
not transfer the Residual Certificate or cause the Residual Certificate to be
transferred to any Person that the Transferee knows is not a Permitted
Transferee.

      7.    The Transferee historically has paid its debts as they have become
due, and it intends to do so in the future.

      8.    The Transferee does not have the intention to impede the assessment
or collection of any tax legally required to be paid with respect to the
Residual Certificate.

      9.    The taxpayer identification number of the Transferee's nominee is
___________.

      10.   The Transferee is (i) a U.S. Person as defined in Code Section
7701(a)(30) or (ii) (A) the Transferee holds the Residual Certificate in
connection with the conduct of a trade or business within the United States and
has furnished the transferor and the Securities Administrator with an effective
Internal Revenue Service Form W-8ECI (or successor thereto) or (B) the
Transferee has delivered to both the transferor and the Securities Administrator
an Opinion of Counsel from a nationally-recognized tax counsel to the effect
that such transfer is in accordance with the requirements of the Code and the
regulations promulgated thereunder and that such transfer of the Residual
Certificate will not be disregarded for federal income tax purposes.

      11.   The Transferee is aware that the Residual Certificate may be a
"noneconomic residual interest" within the meaning of Treasury Regulations
promulgated pursuant to the Code and that the transferor of a noneconomic
residual interest will remain liable for any taxes due with respect to the
income on such residual interest, unless no significant purpose of the transfer
was to impede the assessment or collection of tax.

      12.   The Transferee will not cause income from the Residual Certificate
to be attributable to a foreign permanent establishment or fixed base, within
the meaning of an applicable income tax treaty, of the Transferee or any other
U.S. Person.

                                       I-2

      13.   If the Transferee is purchasing the Residual Certificate in a
transfer intended to meet the safe harbor provisions of Treasury Regulations
Sections 1.860E-1(c), the Transferee has executed and attached Attachment A
hereto.

      14.   The Transferee is not an employee benefit plan or arrangement,
including an individual retirement account, subject to ERISA, the Code or any
federal, state or local law which is similar to ERISA or the Code, and the
Transferee is not acting on behalf of such a plan or arrangement.

      15.   The Transferee understands that it may incur tax liabilities with
respect to the Residual Certificate in excess of cash flows generated thereby.

      16.   The Transferee intends to pay taxes associated with holding the
Residual Certificate as such taxes become due.

                                      * * *

                                       I-3

      IN WITNESS WHEREOF, the Transferee has caused this instrument to be
executed on its behalf, pursuant to authority of its Board of Directors, by its
duly authorized officer this _____ day of ________________, ____.

                                        ________________________________________
                                        Print Name of Transferee

                                        By______________________________________
                                          Name:
                                          Title:

      Personally appeared before me the above-named ___________________________,
known or proved to me to be the same person who executed the foregoing
instrument and to be the _______________________ of the Transferee, and
acknowledged that he executed the same as his free act and deed and the free act
and deed of the Transferee.

      Subscribed and sworn before me this _____ day of _______________________,
____

                                 _________________________________________
                                 NOTARY PUBLIC

                                 My Commission expires the ____ day of ________,
                                 _____.

                                       I-4

                                  ATTACHMENT A

                                       to

      AFFIDAVIT PURSUANT TO SECTION 860E(e)(4) OF THE INTERNAL REVENUE CODE
                OF 1986, AS AMENDED, AND FOR NON-ERISA INVESTORS

Check the appropriate box:

[ ]         The consideration paid to the Transferee to acquire the Residual
      Certificate equals or exceeds the excess of (a) the present value of the
      anticipated tax liabilities over (b) the present value of the anticipated
      savings associated with holding such Residual Certificate, in each case
      calculated in accordance with U.S. Treasury Regulations Sections
      1.860E-1(c)(7) and (8), computing present values using a discount rate
      equal to the short-term Federal rate prescribed by Section 1274(d) of the
      Code and the compounding period used by the Transferee.

                                       OR

[ ]         The transfer of the Residual Certificate complies with U.S. Treasury
      Regulations Sections 1.860E-1(c)(5) and (6) and, accordingly:

      (i)   the Transferee is an "eligible corporation," as defined in U.S.
            Treasury Regulations Section 1.860E-1(c)(6)(i), as to which income
            from Residual Certificate will only be taxed in the United States;

      (ii)  at the time of the transfer, and at the close of the Transferee's
            two fiscal years preceding the year of the transfer, the Transferee
            had gross assets for financial reporting purposes (excluding any
            obligation of a person related to the Transferee within the meaning
            of U.S. Treasury Regulations Section 1.860E-1(c)(6)(ii)) in excess
            of $100 million and net assets in excess of $10 million;

      (iii) the Transferee will transfer the Residual Certificate only to
            another "eligible corporation," as defined in U.S. Treasury
            Regulations Section 1.860E-1(c)(6)(i), in a transaction that
            satisfies the requirements of Sections 1.860E-1(c)(4)(i), (ii) and
            (iii) and Section 1.860E-1(c)(5) of the U.S. Treasury Regulations;

      (iv)  the Transferee has determined the consideration paid to it to
            acquire the Residual Certificate based on reasonable market
            assumptions (including, but not limited to, borrowing and investment
            rates, prepayment and loss assumptions, expense and reinvestment
            assumptions, tax rates and other factors specific to the Transferee)
            that it has determined in good faith; and

      (v)   in the event of any transfer of the Residual Certificate by the
            Transferee, the Transferee will require its transferee to complete a
            representation in the form of this Attachment A as a condition of
            such transferee's purchase of the Residual Certificate.

                                       I-5

                                    EXHIBIT J

                           LIST OF RECORDATION STATES

                                     Florida

                                    Maryland

                                       J-1

                                    EXHIBIT K

           FORM OF INITIAL CERTIFICATION OF THE [TRUSTEE] [CUSTODIAN]

                                  July 31, 2006

Banc of America Funding Corporation
214 North Tryon Street
Charlotte, North Carolina 28255

Wells Fargo Bank, N.A.
1 Home Campus
Des Moines, Iowa 50328-0001

[NIMS Insurer]
[___________________]
[___________________]

      Re:   The Pooling and Servicing Agreement, dated July 31, 2006 (the
            "Pooling and Servicing Agreement"), among Banc of America Funding
            Corporation, as depositor, Wells Fargo Bank, N.A., as servicer and
            securities administrator, and U.S. Bank National Association, as
            trustee.

Ladies and Gentlemen:

      In accordance with the provisions of Section 2.02 of the above-referenced
Pooling and Servicing Agreement (the "Pooling and Servicing Agreement"), the
undersigned, as [Trustee] [Custodian], hereby certifies that, except as may be
specified in any list of exceptions attached hereto, either (i) it has received
the original Mortgage Note relating to each of the Mortgage Loans listed on the
Mortgage Loan Schedule or (ii) if such original Mortgage Note has been lost, a
copy of such original Mortgage Note, together with a lost note affidavit.

      The [Trustee] [Custodian] has made no independent examination of any
documents contained in each Mortgage File beyond the review specifically
required in the Pooling and Servicing Agreement in connection with this Initial
Certification. The [Trustee] [Custodian] makes no representations as to: (i) the
validity, legality, sufficiency, enforceability, recordability or genuineness of
any of the documents contained in each Mortgage File or any of the Mortgage
Loans identified in the Mortgage Loan Schedule or (ii) the collectibility,
insurability, effectiveness or suitability of any such Mortgage Loan.

      Capitalized terms used but not defined herein shall have the meanings
ascribed to such terms in the Pooling and Servicing Agreement.

                                       K-1

                                        [U.S. BANK NATIONAL ASSOCIATION,
                                        as Trustee]
                                        [______________________________________,
                                        as Custodian]

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                       K-2

                                    EXHIBIT L

            FORM OF FINAL CERTIFICATION OF THE [TRUSTEE] [CUSTODIAN]

                              [__________ __, ____]

Banc of America Funding Corporation
214 North Tryon Street
Charlotte, North Carolina 28255

Wells Fargo Bank, N.A.
1 Home Campus
Des Moines, Iowa 50328-0001

[NIMS Insurer]
[___________________]
[___________________]

      Re:   The Pooling and Servicing Agreement, dated July 31, 2006 (the
            "Pooling and Servicing Agreement"), among Banc of America Funding
            Corporation, as depositor, Wells Fargo Bank, N.A., as servicer and
            securities administrator, and U.S. Bank National Association, as
            trustee.

Ladies and Gentlemen:

      In accordance with the provisions of Section 2.02 of the above-referenced
Pooling and Servicing Agreement (the "Pooling and Servicing Agreement"), the
undersigned, as [Trustee] [Custodian], hereby certifies that, as to each
Mortgage Loan listed in the Mortgage Loan Schedule, except as may be specified
in any list of exceptions attached hereto, such Mortgage File contains all of
the items required to be delivered pursuant to Section 2.01(b) of the Pooling
and Servicing Agreement.

      The [Trustee] [Custodian] has made no independent examination of any
documents contained in each Mortgage File beyond the review specifically
required in the Pooling and Servicing Agreement in connection with this Final
Certification. The [Trustee] [Custodian] makes no representations as to: (i) the
validity, legality, sufficiency, enforceability, recordability or genuineness of
any of the documents contained in each Mortgage File or any of the Mortgage
Loans identified in the Mortgage Loan Schedule or (ii) the collectibility,
insurability, effectiveness or suitability of any such Mortgage Loan.

                                       L-1

      Capitalized terms used but not defined herein shall have the meanings
ascribed to such terms in the Pooling and Servicing Agreement.

                                        [U.S. BANK NATIONAL ASSOCIATION,
                                        as Trustee]
                                        [______________________________________,
                                        as Custodian]

                                        By:_____________________________________

                                        Name:___________________________________

                                        Title:__________________________________

                                       L-2

                                    EXHIBIT M

                           RELEVANT SERVICING CRITERIA

------------------------------------------------------------------------------------------------------------------
                                SERVICING CRITERIA                                        PARTIES RESPONSIBLE
------------------------------------------------------------------------------------------------------------------
   REFERENCE                                    CRITERIA
------------------------------------------------------------------------------------------------------------------
                                    GENERAL SERVICING CONSIDERATIONS
------------------------------------------------------------------------------------------------------------------

1122(d)(1)(i)        Policies and procedures are instituted to monitor any              Servicer and Securities
                     performance or other triggers and events of default in             Administrator
                     accordance with the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(1)(ii)       If any material servicing activities are outsourced to third       Servicer and Securities
                     parties, policies and procedures are instituted to monitor the     Administrator
                     third party's performance and compliance with such servicing
                     activities.
------------------------------------------------------------------------------------------------------------------
1122(d)(1)(iii)      Any requirements in the transaction agreements to maintain a       Not applicable
                     back-up servicer for the mortgage loans are maintained.
------------------------------------------------------------------------------------------------------------------
1122(d)(1)(iv)       A fidelity bond and errors and omissions policy is in effect       Servicer
                     on the party participating in the servicing function
                     throughout the reporting period in the amount of coverage
                     required by and otherwise in accordance with the terms of the
                     transaction agreements.
------------------------------------------------------------------------------------------------------------------
                                   CASH COLLECTION AND ADMINISTRATION
------------------------------------------------------------------------------------------------------------------
1122(d)(2)(i)        Payments on mortgage loans are deposited into the appropriate      Servicer and Securities
                     custodial bank accounts and related bank clearing accounts no      Administrator
                     more than two business days following receipt, or such other
                     number of days specified in the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(2)(ii)       Disbursements made via wire transfer on behalf of an obligor       Servicer and Securities
                     or to an investor are made only by authorized personnel.           Administrator
------------------------------------------------------------------------------------------------------------------
1122(d)(2)(iii)      Advances of funds or guarantees regarding collections, cash        Servicer and Securities
                     flows or distributions, and any interest or other fees charged     Administrator
                     for such advances, are made, reviewed and approved as
                     specified in the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(2)(iv)       The related accounts for the transaction, such as cash reserve     Servicer and Securities
                     accounts or accounts established as a form of                      Administrator
                     overcollateralization, are separately maintained (e.g., with
                     respect to commingling of cash) as set forth in the
                     transaction agreements.
------------------------------------------------------------------------------------------------------------------

                                       M-1

------------------------------------------------------------------------------------------------------------------
                                SERVICING CRITERIA                                        PARTIES RESPONSIBLE
------------------------------------------------------------------------------------------------------------------
   REFERENCE                                    CRITERIA
------------------------------------------------------------------------------------------------------------------

1122(d)(2)(v)        Each custodial account is maintained at a federally insured        Servicer and Securities
                     depository institution as set forth in the transaction             Administrator
                     agreements. For purposes of this criterion, "federally
                     insured depository institution" with respect to a foreign
                     financial institution means a foreign financial institution
                     that meets the requirements of Rule 13k-1(b)(1) of the
                     Securities Exchange Act.
------------------------------------------------------------------------------------------------------------------
1122(d)(2)(vi)       Unissued checks are safeguarded so as to prevent unauthorized      Servicer and Securities
                     access.                                                            Administrator
------------------------------------------------------------------------------------------------------------------
1122(d)(2)(vii)      Reconciliations are prepared on a monthly basis for all            Servicer and Securities
                     asset-backed securities related bank accounts, including           Administrator
                     custodial accounts and related bank clearing accounts. These
                     reconciliations are (A) mathematically accurate; (B) prepared
                     within 30 calendar days after the bank statement cutoff date,
                     or such other number of days specified in the transaction
                     agreements; (C) reviewed and approved by someone other than
                     the person who prepared the reconciliation; and (D) contain
                     explanations for reconciling items. These reconciling items
                     are resolved within 90 calendar days of their original
                     identification, or such other number of
                     days specified in the transaction agreements.
------------------------------------------------------------------------------------------------------------------
                                   INVESTOR REMITTANCES AND REPORTING
------------------------------------------------------------------------------------------------------------------
1122(d)(3)(i)        Reports to investors, including those to be filed with the         Servicer and Securities
                     Commission, are maintained in accordance with the transaction      Administrator
                     agreements and applicable Commission requirements.
                     Specifically, such reports (A) are prepared in accordance with
                     timeframes and other terms set forth in the transaction
                     agreements; (B) provide information calculated in accordance
                     with the terms specified in the transaction agreements; (C)
                     are filed with the Commission as required by its rules and
                     regulations; and (D) agree with investors' or the trustee's
                     records as to the total unpaid principal balance and number of
                     mortgage loans serviced by the Servicer.
------------------------------------------------------------------------------------------------------------------
1122(d)(3)(ii)       Amounts due to investors are allocated and remitted in             Servicer and Securities
                     accordance with timeframes, distribution priority and other        Administrator
                     terms set forth in the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(3)(iii)      Disbursements made to an investor are posted within two            Servicer and Securities
                     business days to the Servicer's investor records, or such          Administrator
                     other number of days specified in the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(3)(iv)       Amounts remitted to investors per the investor reports agree       Servicer and Securities
                     with cancelled checks, or other form of payment, or custodial      Administrator
                     bank statements.
------------------------------------------------------------------------------------------------------------------

                                       M-2

------------------------------------------------------------------------------------------------------------------
                                SERVICING CRITERIA                                        PARTIES RESPONSIBLE
------------------------------------------------------------------------------------------------------------------
   REFERENCE                                    CRITERIA
------------------------------------------------------------------------------------------------------------------
                                       POOL ASSET ADMINISTRATION
------------------------------------------------------------------------------------------------------------------

1122(d)(4)(i)        Collateral or security on mortgage loans is maintained as          Custodian and Servicer
                     required by the transaction agreements or related mortgage
                     loan documents.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(ii)       Mortgage loan and related documents are safeguarded as             Custodian and Servicer
                     required by the transaction agreements
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(iii)      Any additions, removals or substitutions to the asset pool are     Servicer
                     made, reviewed and approved in accordance with any conditions
                     or requirements in the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(iv)       Payments on mortgage loans, including any payoffs, made in         Servicer
                     accordance with the related mortgage loan documents are posted
                     to the Servicer's obligor records maintained no more than two
                     business days after receipt, or such other number of days
                     specified in the transaction agreements, and allocated to
                     principal, interest or other items (e.g., escrow) in
                     accordance with the related mortgage loan documents.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(v)        The Servicer's records regarding the mortgage loans agree with     Servicer
                     the Servicer's records with respect to an obligor's unpaid
                     principal balance.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(vi)       Changes with respect to the terms or status of an obligor's        Servicer
                     mortgage loans (e.g., loan modifications or re-agings) are
                     made, reviewed and approved by authorized personnel in
                     accordance with the transaction agreements and related pool
                     asset documents.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(vii)      Loss mitigation or recovery actions (e.g., forbearance plans,      Servicer
                     modifications and deeds in lieu of foreclosure, foreclosures
                     and repossessions, as applicable) are initiated, conducted and
                     concluded in accordance with the timeframes or other
                     requirements established by the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(viii)     Records documenting collection efforts are maintained during       Servicer
                     the period a mortgage loan is delinquent in accordance with
                     the transaction agreements. Such records are maintained on at
                     least a monthly basis, or such other period specified in the
                     transaction agreements, and describe the entity's activities
                     in monitoring delinquent mortgage loans including, for
                     example, phone calls, letters and payment rescheduling plans
                     in cases where delinquency is deemed temporary (e.g., illness
                     or unemployment).
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(ix)       Adjustments to interest rates or rates of return for mortgage      Servicer
                     loans with variable rates are computed based on the related
                     mortgage loan documents.
------------------------------------------------------------------------------------------------------------------

                                       M-3

------------------------------------------------------------------------------------------------------------------
                                SERVICING CRITERIA                                        PARTIES RESPONSIBLE
------------------------------------------------------------------------------------------------------------------
   REFERENCE                                    CRITERIA
------------------------------------------------------------------------------------------------------------------

1122(d)(4)(x)        Regarding any funds held in trust for an obligor (such as          Servicer
                     escrow accounts):  (A) such funds are analyzed, in accordance
                     with the obligor's mortgage loan documents, on at least an
                     annual basis, or such other period specified in the
                     transaction agreements; (B) interest on such funds is paid, or
                     credited, to obligors in accordance with applicable mortgage
                     loan documents and state laws; and (C) such funds are returned
                     to the obligor within 30 calendar days of full repayment of
                     the related mortgage loans, or such other number of days
                     specified in the transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(xi)       Payments made on behalf of an obligor (such as tax or              Servicer
                     insurance payments) are made on or before the related penalty
                     or expiration dates, as indicated on the appropriate bills or
                     notices for such payments, provided that such support has been
                     received by the servicer at least 30 calendar days prior to
                     these dates, or such other number of days specified in the
                     transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(xii)      Any late payment penalties in connection with any payment to       Servicer
                     be made on behalf of an obligor are paid from the servicer's
                     funds and not charged to the obligor, unless the late payment
                     was due to the obligor's error or omission.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(xiii)     Disbursements made on behalf of an obligor are posted within       Servicer
                     two business days to the obligor's records maintained by the
                     servicer, or such other number of days specified in the
                     transaction agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(xiv)      Delinquencies, charge-offs and uncollectible accounts are          Servicer and Securities
                     recognized and recorded in accordance with the transaction         Administrator
                     agreements.
------------------------------------------------------------------------------------------------------------------
1122(d)(4)(xv)       Any external enhancement or other support, identified in Item      Securities Administrator
                     1114(a)(1) through (3) or Item 1115 of Regulation AB, is
                     maintained as set forth in the transaction agreements.
------------------------------------------------------------------------------------------------------------------

                                       M-4

                                    EXHIBIT N

                         ADDITIONAL FORM 10-D DISCLOSURE

----------------------------------------------------------------------------------------------------------------
                                         ADDITIONAL FORM 10-D DISCLOSURE
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 10-D                                      PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

  ITEM 1: DISTRIBUTION AND POOL PERFORMANCE INFORMATION
----------------------------------------------------------------------------------------------------------------
     Information included in the [Monthly Statement]                           Servicer
                                                                       Securities Administrator
----------------------------------------------------------------------------------------------------------------
 Any information required by 1121 which is NOT included                        Depositor
               on the [Monthly Statement]
----------------------------------------------------------------------------------------------------------------
                ITEM 2: LEGAL PROCEEDINGS

   Any legal proceeding pending against the following
 entities or their respective property, that is material
to Certificateholders, including any proceeding known to
      be contemplated by governmental authorities:
----------------------------------------------------------------------------------------------------------------
              o Issuing Entity (Trust Fund)                 Trustee, Securities Administrator, Servicer and
                                                                               Depositor
----------------------------------------------------------------------------------------------------------------
                   o Sponsor (Seller)                       Seller (if a party to the Pooling and Servicing
                                                                        Agreement) or Depositor
----------------------------------------------------------------------------------------------------------------
                       o Depositor                                             Depositor
----------------------------------------------------------------------------------------------------------------
                        o Trustee                                               Trustee
----------------------------------------------------------------------------------------------------------------
               o Securities Administrator                              Securities Administrator
----------------------------------------------------------------------------------------------------------------
                       o Servicer                                              Servicer
----------------------------------------------------------------------------------------------------------------
                       o Custodian                                             Custodian
----------------------------------------------------------------------------------------------------------------
                  o 1110(b) Originator                                         Depositor
----------------------------------------------------------------------------------------------------------------
  o Any 1108(a)(2) Servicer (other than the Servicer or                        Servicer
                Securities Administrator)
----------------------------------------------------------------------------------------------------------------
      o Any other party contemplated by 1100(d)(1)                             Depositor
----------------------------------------------------------------------------------------------------------------
     ITEM 3: SALE OF SECURITIES AND USE OF PROCEEDS                            Depositor
   Information from Item 2(a) of Part II of Form 10-Q:

 With respect to any sale of securities by the sponsor,
depositor or issuing entity, that are backed by the same
    asset pool or are otherwise issued by the issuing
entity, whether or not registered, provide the sales and
  use of proceeds information in Item 701 of Regulation
  S-K. Pricing information can be omitted if securities
                  were not registered.
----------------------------------------------------------------------------------------------------------------

                                       N-1

----------------------------------------------------------------------------------------------------------------
                                         ADDITIONAL FORM 10-D DISCLOSURE
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 10-D                                      PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

         ITEM 4: DEFAULTS UPON SENIOR SECURITIES                       Securities Administrator

    Information from Item 3 of Part II of Form 10-Q:

  Report the occurrence of any Event of Default (after
   expiration of any grace period and provision of any
                    required notice)
----------------------------------------------------------------------------------------------------------------
   ITEM 5: SUBMISSION OF MATTERS TO A VOTE OF SECURITY                 Securities Administrator
                         HOLDERS

     Information from Item 4 of Part II of Form 10-Q
----------------------------------------------------------------------------------------------------------------
       ITEM 6: SIGNIFICANT OBLIGORS OF POOL ASSETS                             Depositor

Item 1112(b) - Significant Obligor Financial Information*
----------------------------------------------------------------------------------------------------------------
*This information need only be reported on the Form 10-D
for the distribution period in which updated information
            is required pursuant to the Item.
----------------------------------------------------------------------------------------------------------------
  ITEM 7: SIGNIFICANT ENHANCEMENT PROVIDER INFORMATION

 Item 1114(b)(2) - Credit Enhancement Provider Financial
                      Information*
----------------------------------------------------------------------------------------------------------------
      o Determining applicable disclosure threshold                    Securities Administrator
----------------------------------------------------------------------------------------------------------------
 o Requesting required financial information (including                Securities Administrator
any required accountants' consent to the use thereof) or
          effecting incorporation by reference
----------------------------------------------------------------------------------------------------------------
    Item 1115(b) - Derivative Counterparty Financial
                      Information*
----------------------------------------------------------------------------------------------------------------
     o Determining current maximum probable exposure                           Depositor
----------------------------------------------------------------------------------------------------------------
      o Determining current significance percentage                    Securities Administrator
----------------------------------------------------------------------------------------------------------------
 o Requesting required financial information (including                Securities Administrator
any required accountants' consent to the use thereof) or
          effecting incorporation by reference
----------------------------------------------------------------------------------------------------------------
*This information need only be reported on the Form 10-D
for the distribution period in which updated information
           is required pursuant to the Items.
----------------------------------------------------------------------------------------------------------------
                ITEM 8: OTHER INFORMATION

   Disclose any information required to be reported
----------------------------------------------------------------------------------------------------------------

                                       N-2

----------------------------------------------------------------------------------------------------------------
                                         ADDITIONAL FORM 10-D DISCLOSURE
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 10-D                                      PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

      on Form 8-K during the period covered by the         Any party responsible for the applicable Form
               Form 10-D but not reported                                8-K Disclosure item
----------------------------------------------------------------------------------------------------------------
                    ITEM 9: EXHIBITS
----------------------------------------------------------------------------------------------------------------
         Monthly Statement to Certificateholders                       Securities Administrator
----------------------------------------------------------------------------------------------------------------
Exhibits required by Item 601 of Regulation S-K, such as                       Depositor
                   material agreements
----------------------------------------------------------------------------------------------------------------

                                       N-3

                                    EXHIBIT O

                         ADDITIONAL FORM 10-K DISCLOSURE

----------------------------------------------------------------------------------------------------------------
                                         ADDITIONAL FORM 10-K DISCLOSURE
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 10-K                                      PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

               ITEM 9B: OTHER INFORMATION                    Any party responsible for disclosure items on
Disclose any information required to be reported on Form                       Form 8-K
 8-K during the fourth quarter covered by the Form 10-K
                    but not reported
----------------------------------------------------------------------------------------------------------------
    ITEM 15: EXHIBITS, FINANCIAL STATEMENT SCHEDULES                   Securities Administrator
                                                                               Depositor
----------------------------------------------------------------------------------------------------------------
REG AB ITEM 1112(B): SIGNIFICANT OBLIGORS OF POOL ASSETS
----------------------------------------------------------------------------------------------------------------
       Significant Obligor Financial Information*                              Depositor
----------------------------------------------------------------------------------------------------------------
*This information need only be reported on the Form 10-D
for the distribution period in which updated information
            is required pursuant to the Item.
----------------------------------------------------------------------------------------------------------------
   REG AB ITEM 1114(B)(2): CREDIT ENHANCEMENT PROVIDER
                  FINANCIAL INFORMATION
----------------------------------------------------------------------------------------------------------------
      o Determining applicable disclosure threshold                    Securities Administrator
----------------------------------------------------------------------------------------------------------------
 o Requesting required financial information (including                Securities Administrator
any required accountants' consent to the use thereof) or
          effecting incorporation by reference
----------------------------------------------------------------------------------------------------------------
*This information need only be reported on the Form 10-D
for the distribution period in which updated information
           is required pursuant to the Items.
----------------------------------------------------------------------------------------------------------------
 REG AB ITEM 1115(B): DERIVATIVE COUNTERPARTY FINANCIAL
                       INFORMATION
----------------------------------------------------------------------------------------------------------------
     o Determining current maximum probable exposure                           Depositor
----------------------------------------------------------------------------------------------------------------
      o Determining current significance percentage                    Securities Administrator
----------------------------------------------------------------------------------------------------------------
 o Requesting required financial information (including                Securities Administrator
any required accountants' consent to the use thereof) or
          effecting incorporation by reference
----------------------------------------------------------------------------------------------------------------
*This information need only be reported on the Form 10-D
for the distribution period in which updated information
           is required pursuant to the Items.
----------------------------------------------------------------------------------------------------------------
           REG AB ITEM 1117: LEGAL PROCEEDINGS

   Any legal proceeding pending against the following
 entities or their respective property, that is material
           to Certificateholders, including
----------------------------------------------------------------------------------------------------------------

                                       O-1

----------------------------------------------------------------------------------------------------------------
                                         ADDITIONAL FORM 10-K DISCLOSURE
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 10-K                                      PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

                 any proceeding known to
      be contemplated by governmental authorities:
----------------------------------------------------------------------------------------------------------------
              o Issuing Entity (Trust Fund)                 Trustee, Securities Administrator, Servicer and
                                                                               Depositor
----------------------------------------------------------------------------------------------------------------
                   o Sponsor (Seller)                       Seller (if a party to the Pooling and Servicing
                                                                        Agreement) or Depositor
----------------------------------------------------------------------------------------------------------------
                       o Depositor                                             Depositor
----------------------------------------------------------------------------------------------------------------
                        o Trustee                                               Trustee
----------------------------------------------------------------------------------------------------------------
               o Securities Administrator                              Securities Administrator
----------------------------------------------------------------------------------------------------------------
                       o Servicer                                              Servicer
----------------------------------------------------------------------------------------------------------------
                       o Custodian                                             Custodian
----------------------------------------------------------------------------------------------------------------
                  o 1110(b) Originator                                         Depositor
----------------------------------------------------------------------------------------------------------------
  o Any 1108(a)(2) Servicer (other than the Servicer or                        Servicer
                        Trustee)
----------------------------------------------------------------------------------------------------------------
      o Any other party contemplated by 1100(d)(1)                             Depositor
----------------------------------------------------------------------------------------------------------------
    REG AB ITEM 1119: AFFILIATIONS AND RELATIONSHIPS
----------------------------------------------------------------------------------------------------------------
 Whether (a) the Sponsor (Seller), Depositor or Issuing                   Depositor as to (a)
Entity is an affiliate of the following parties, and (b)               Sponsor/Seller as to (a)
 to the extent known and material, any of the following
        parties are affiliated with one another:
----------------------------------------------------------------------------------------------------------------
                       o Servicer                                              Servicer
----------------------------------------------------------------------------------------------------------------
               o Securities Administrator                              Securities Administrator
----------------------------------------------------------------------------------------------------------------
                        o Trustee                                               Trustee
----------------------------------------------------------------------------------------------------------------
             o Any other 1108(a)(3) servicer                                   Servicer
----------------------------------------------------------------------------------------------------------------
                  o Any 1110 Originator                                    Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
            o Any 1112(b) Significant Obligor                              Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
         o Any 1114 Credit Enhancement Provider                            Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
       o Any 1115 Derivative Counterparty Provider                         Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
          o Any other 1101(d)(1) material party                            Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
   Whether there are any "outside the ordinary course                     Depositor as to (a)
 business arrangements" other than would be obtained in                Sponsor/Seller as to (a)
   an arm's length transaction between (a) the Sponsor
 (Seller), Depositor or Issuing Entity on the one hand,
     and (b) any of the following parties (or their
 affiliates) on the other hand, that exist currently or
  within the past two years and that are material to a
 Certificateholder's understanding of the Certificates:
----------------------------------------------------------------------------------------------------------------
                       o Servicer                                              Servicer
----------------------------------------------------------------------------------------------------------------
               o Securities Administrator                              Securities Administrator
----------------------------------------------------------------------------------------------------------------
                        o Trustee                                               Trustee
----------------------------------------------------------------------------------------------------------------
             o Any other 1108(a)(3) servicer                                   Servicer
----------------------------------------------------------------------------------------------------------------

                                       O-2

----------------------------------------------------------------------------------------------------------------
                                         ADDITIONAL FORM 10-K DISCLOSURE
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 10-K                                      PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

                  o Any 1110 Originator                                    Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
            o Any 1112(b) Significant Obligor                              Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
         o Any 1114 Credit Enhancement Provider                            Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
       o Any 1115 Derivative Counterparty Provider                         Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
          o Any other 1101(d)(1) material party                            Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
 Whether there are any specific relationships involving                   Depositor as to (a)
   the transaction or the pool assets between (a) the                  Sponsor/Seller as to (a)
Sponsor (Seller), Depositor or Issuing Entity on the one
  hand, and (b) any of the following parties (or their
 affiliates) on the other hand, that exist currently or
    within the past two years and that are material:
----------------------------------------------------------------------------------------------------------------
                       o Servicer                                              Servicer
----------------------------------------------------------------------------------------------------------------
                        o Trustee                                               Trustee
----------------------------------------------------------------------------------------------------------------
               o Securities Administrator                              Securities Administrator
----------------------------------------------------------------------------------------------------------------
             o Any other 1108(a)(3) servicer                                   Servicer
----------------------------------------------------------------------------------------------------------------
                  o Any 1110 Originator                                    Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
            o Any 1112(b) Significant Obligor                              Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
         o Any 1114 Credit Enhancement Provider                            Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
       o Any 1115 Derivative Counterparty Provider                         Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------
          o Any other 1101(d)(1) material party                            Depositor/Sponsor
----------------------------------------------------------------------------------------------------------------

                                       O-3

                                    EXHIBIT P

                         FORM 8-K DISCLOSURE INFORMATION

----------------------------------------------------------------------------------------------------------------
                                      FORM 8-K DISCLOSURE INFORMATION
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 8-K                                       PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

  ITEM 1.01- ENTRY INTO A MATERIAL DEFINITIVE AGREEMENT                       All parties

Disclosure is required regarding entry into or amendment
of any definitive agreement that is material to the
securitization, even if depositor is not a party.

Examples: servicing agreement, custodial agreement.

Note: disclosure not required as to definitive
agreements that are fully disclosed in the prospectus
----------------------------------------------------------------------------------------------------------------
    ITEM 1.02- TERMINATION OF A MATERIAL DEFINITIVE                           All parties
                       AGREEMENT

Disclosure is required regarding termination of  any
definitive agreement that is material to the
securitization (other than expiration in accordance with
its terms), even if depositor is not a party.

Examples: servicing agreement, custodial agreement.
----------------------------------------------------------------------------------------------------------------
          ITEM 1.03- BANKRUPTCY OR RECEIVERSHIP                                Depositor

Disclosure is required regarding the bankruptcy or
receivership, with respect to any of the following:

----------------------------------------------------------------------------------------------------------------
o Sponsor (Seller)                                                    Depositor/Sponsor (Seller)
----------------------------------------------------------------------------------------------------------------
o Depositor                                                                    Depositor
----------------------------------------------------------------------------------------------------------------
o Servicer                                                                     Servicer
----------------------------------------------------------------------------------------------------------------
o Affiliated Servicer                                                          Servicer
----------------------------------------------------------------------------------------------------------------
o Other Servicer servicing 20% or more of the pool                             Servicer
assets at the time of the report
----------------------------------------------------------------------------------------------------------------
o Other material servicers                                                     Servicer
----------------------------------------------------------------------------------------------------------------
o Trustee                                                                       Trustee
----------------------------------------------------------------------------------------------------------------
o Securities Administrator                                             Securities Administrator
----------------------------------------------------------------------------------------------------------------
o Significant Obligor                                                          Depositor
----------------------------------------------------------------------------------------------------------------
o Credit Enhancer (10% or more)                                                Depositor
----------------------------------------------------------------------------------------------------------------
o Derivative Counterparty                                                      Depositor
----------------------------------------------------------------------------------------------------------------

                                       P-1

----------------------------------------------------------------------------------------------------------------
                                      FORM 8-K DISCLOSURE INFORMATION
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 8-K                                       PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

o Custodian                                                                    Custodian
----------------------------------------------------------------------------------------------------------------
ITEM 2.04- TRIGGERING EVENTS THAT ACCELERATE OR INCREASE                       Depositor
 A DIRECT FINANCIAL OBLIGATION OR AN OBLIGATION UNDER AN                       Servicer
              OFF-BALANCE SHEET ARRANGEMENT                            Securities Administrator

Includes an early amortization, performance trigger or
other event, including event of default, that would
materially alter the payment priority/distribution of
cash flows/amortization schedule.

Disclosure will be made of events other than waterfall
triggers which are disclosed in the monthly statements
to the certificateholders.
----------------------------------------------------------------------------------------------------------------
 ITEM 3.03- MATERIAL MODIFICATION TO RIGHTS OF SECURITY                Securities Administrator
                         HOLDERS                                                Trustee

Disclosure is required of any material modification to
documents defining the rights of Certificateholders,
including the Pooling and Servicing Agreement.
----------------------------------------------------------------------------------------------------------------
  ITEM 5.03- AMENDMENTS OF ARTICLES OF INCORPORATION OR                        Depositor
              BYLAWS; CHANGE OF FISCAL YEAR

Disclosure is required of any amendment "to the
governing documents of the issuing entity".
----------------------------------------------------------------------------------------------------------------
 ITEM 6.01- ABS INFORMATIONAL AND COMPUTATIONAL MATERIAL                       Depositor
----------------------------------------------------------------------------------------------------------------
        ITEM 6.02- CHANGE OF SERVICER OR TRUSTEE             Servicer/Securities Administrator/Depositor/

Requires disclosure of any removal, replacement,
substitution or addition of any servicer, affiliated
servicer, other servicer servicing 10% or more of pool
assets at time of report, other material servicers or
trustee.
----------------------------------------------------------------------------------------------------------------
Reg AB disclosure about any new servicer is also                          Servicer/Depositor
required.
----------------------------------------------------------------------------------------------------------------
Reg AB disclosure about any new Trustee is also required.                       Trustee
----------------------------------------------------------------------------------------------------------------
   ITEM 6.03- CHANGE IN CREDIT ENHANCEMENT OR EXTERNAL            Depositor/Securities Administrator
                         SUPPORT

Covers termination of any enhancement in manner other
than by its terms, the addition of an enhancement, or a
material change in the
----------------------------------------------------------------------------------------------------------------

                                       P-2

----------------------------------------------------------------------------------------------------------------
                                      FORM 8-K DISCLOSURE INFORMATION
----------------------------------------------------------------------------------------------------------------
                    ITEM ON FORM 8-K                                       PARTY RESPONSIBLE
----------------------------------------------------------------------------------------------------------------

enhancement provided. Applies to external credit
enhancements as well as derivatives.
----------------------------------------------------------------------------------------------------------------
Reg AB disclosure about any new enhancement provider is                        Depositor
also required.
----------------------------------------------------------------------------------------------------------------
   ITEM 6.04- FAILURE TO MAKE A REQUIRED DISTRIBUTION                  Securities Administrator
----------------------------------------------------------------------------------------------------------------
      ITEM 6.05- SECURITIES ACT UPDATING DISCLOSURE                            Depositor

If any material pool characteristic differs by 5% or
more at the time of issuance of the securities from the
description in the final prospectus, provide updated Reg
AB disclosure about the actual asset pool.
----------------------------------------------------------------------------------------------------------------
If there are any new servicers or originators required                         Depositor
to be disclosed under Regulation AB as a result of the
foregoing, provide the information called for in Items
1108 and 1110 respectively.
----------------------------------------------------------------------------------------------------------------
              ITEM 7.01- REG FD DISCLOSURE                                    All parties
----------------------------------------------------------------------------------------------------------------
                 ITEM 8.01- OTHER EVENTS                                       Depositor

   Any event, with respect to which information is not
  otherwise called for in Form 8-K, that the registrant
       deems of importance to certificateholders.
----------------------------------------------------------------------------------------------------------------
      ITEM 9.01- FINANCIAL STATEMENTS AND EXHIBITS          Responsible party for reporting/disclosing the
                                                                    financial statement or exhibit
----------------------------------------------------------------------------------------------------------------

                                       P-3

                                    EXHIBIT Q

                      FORM OF SARBANES-OXLEY CERTIFICATION

                       Banc of America Funding Corporation
                       Mortgage Pass-Through Certificates,
                                  Series 2006-G

      I, [________], a [_____________] of Banc of America Funding Corporation
(the "Depositor"), certify that:

1.    I have reviewed this report on Form 10-K and all reports on Form 10-D
      required to be filed in respect of the period covered by this report on
      Form 10-K of the Banc of America Funding 2006-G Trust (the "Exchange Act
      Periodic Reports");

2.    Based on my knowledge, the Exchange Act Periodic Reports, taken as a
      whole, do not contain any untrue statement of a material fact or omit to
      state a material fact necessary to make the statements made, in light of
      the circumstances under which such statements were made, not misleading
      with respect to the period covered by this report;

3.    Based on my knowledge, all of the distribution, servicing and other
      information required to be provided under Form 10-D for the period covered
      by this report is included in the Exchange Act Periodic Reports;

4.    Based on my knowledge and the servicer compliance statements required in
      this report under Item 1123 of Regulation AB, and except as disclosed in
      the Exchange Act Reports, the servicer has fulfilled its obligations under
      the pooling and servicing agreement, dated July 31, 2006, by and among the
      Depositor, U.S. Bank National Association and Wells Fargo Bank, N.A., in
      all material respects; and

5.    All of the reports on assessment of compliance with the servicing criteria
      for asset-backed securities and their related attestation reports on
      assessment of compliance with servicing criteria for asset-backed
      securities required to be included in this report in accordance with Item
      1122 of Regulation AB and Exchange Act Rules 13a-18 and 15d-18 have been
      included as an exhibit to this report, except as otherwise disclosed in
      this report. Any material instances of noncompliance described in such
      reports have been disclosed in this report on Form 10-K.

      In giving the certifications above, I have reasonably relied on
information provided to me by the following unaffiliated party: Wells Fargo
Bank, N.A.

[_________], 20

                                       Q-1

                                    EXHIBIT R

                          FORM OF BACK-UP CERTIFICATION

      Re:   Banc of America Funding 2006-G Trust (the "Trust"), Mortgage
            Pass-Through Certificates, Series 2006-G, issued pursuant to a
            Pooling and Servicing Agreement, dated July 31, 2006 (the "Pooling
            Agreement"), among Banc of America Funding Corporation, as
            Depositor, Wells Fargo Bank, N.A., as Servicer and as Securities
            Administrator, and U.S. Bank National Association, as Trustee

      The Securities Administrator hereby certifies to the Depositor and its
officers, directors and affiliates, and with the knowledge and intent that they
will rely upon this certification, that:

      1.    I have reviewed the annual report on Form 10-K for the fiscal year
[___] (the "Annual Report"), and all reports on Form 10-D required to be filed
in respect of period covered by the Annual Report (collectively with the Annual
Report, the "Reports"), of the Trust;

      2.    To my knowledge, the Reports, taken as a whole, do not contain any
untrue statement of a material fact or omit to state a material fact necessary
to make the statements made, in light of the circumstances under which such
statements were made, not misleading with respect to the period covered by the
Annual Report;

      3.    To my knowledge, the distribution and servicing information required
to be provided by the Securities Administrator under the Pooling Agreement for
inclusion in the Reports is included in the Reports;

      4.    I am responsible for reviewing the activities performed by the
Securities Administrator under the Pooling and Servicing Agreement, and based on
my knowledge and the compliance review conducted in preparing the compliance
statement of the Securities Administrator required in the Annual Report under
Item 1123 of Regulation AB, and except as disclosed in the Reports, the
Securities Administrator has fulfilled its obligations under the Pooling
Agreement in all material respects; and

      5.    The report on assessment of compliance with servicing criteria for
asset-backed securities of the Securities Administrator and its related
attestation report on assessment of compliance with servicing criteria required
to be included in the Annual Report in accordance with Item 1122 of Regulation
AB and Exchange Act Rules 13a-18 and 15d-18 has been included as an exhibit to
the Annual Report. Any material instances of non-compliance are described in
such report and have been disclosed in the Annual Report.

                                       R-1

                                            WELLS FARGO BANK, N.A.,
                                            as Securities Administrator

                                            By: ________________________________
                                            Name:
                                            Title:

                                       R-2

                                    EXHIBIT S

                       ADDITIONAL DISCLOSURE NOTIFICATION

**SEND VIA FAX TO 410-715-2380 AND VIA EMAIL TO
CTS.SEC.NOTIFICATIONS@WELLSFARGO.COM AND VIA OVERNIGHT MAIL TO THE ADDRESS
IMMEDIATELY BELOW**

Wells Fargo Bank, N.A., as Securities Administrator
9062 Old Annapolis Road
Columbia, Maryland 21045
Attn: Corporate Trust Services - BAFC 2006-G --SEC REPORT PROCESSING

RE: **Additional Form [10-D][10-K][8-K] Disclosure** Required

Ladies and Gentlemen:

In accordance with Section [ ] of the Pooling and Servicing Agreement, dated
July 31, 2006, among Banc of America Funding Corporation, as depositor, Wells
Fargo Bank, N.A., as servicer and as securities administrator, and U.S. Bank
National Association, as trustee. The undersigned, as [ ], hereby notifies you
that certain events have come to our attention that [will] [may] need to be
disclosed on Form [10-D][10-K][8-K].

Description of Additional Form [10-D][10-K][8-K] Disclosure:

List of any Attachments hereto to be included in the Additional Form
[10-D][10-K][8-K] Disclosure:

Any inquiries related to this notification should be directed to [            ],
phone number: [         ]; email address: [            ].

                                            [NAME OF PARTY],
                                            as [role]

                                            By: ________________________________
                                            Name:
                                            Title:

                                       S-1

                                    EXHIBIT T

                    DATA ELEMENTS FOR SERVICER'S CERTIFICATE

-----------------------------------------------------------------------------------------------------------------------------
 STANDARD FILE LAYOUT -
SECURITIES ADMINISTRATOR
-----------------------------------------------------------------------------------------------------------------------------
COLUMN NAME                 DESCRIPTION                             DECIMAL    COMMENT                              MAX SIZE
-----------------------------------------------------------------------------------------------------------------------------

SER_INVESTOR_NBR            A value assigned by the Servicer to                                                    Text up to
                            define a group of loans.                                                               10 digits
-----------------------------------------------------------------------------------------------------------------------------
LOAN_NBR                    A unique identifier assigned to each                                                   Text up to
                            loan by the investor.                                                                  10 digits
-----------------------------------------------------------------------------------------------------------------------------
SERVICER_LOAN_NBR           A unique number assigned to a loan                                                     Text up to
                            by the Servicer. This may be                                                           10 digits
                            different than the LOAN_NBR.
-----------------------------------------------------------------------------------------------------------------------------
BORROWER_NAME               The borrower name as received in the                                                   Maximum
                            file. It is not separated by first                                                     length of
                            and last name.                                                                         30 (Last,
                                                                                                                   First)
-----------------------------------------------------------------------------------------------------------------------------
SCHED_PAY_AMT               Scheduled monthly principal and            2       No commas(,) or dollar signs ($)        11
                            scheduled interest payment that a
                            borrower is expected to pay, P&I
                            constant.
-----------------------------------------------------------------------------------------------------------------------------
NOTE_INT_RATE               The loan interest rate as reported         4       Max length of 6                         6
                            by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
NET_INT_RATE                The loan gross interest rate less          4       Max length of 6                         6
                            the service fee rate as reported
                            by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
SERV_FEE_RATE               The servicer's fee rate for a loan         4       Max length of 6                         6
                            as reported by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
SERV_FEE_AMT                The servicer's fee amount for a            2       No commas(,) or dollar signs ($)        11
                            loan as reported by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
NEW_PAY_AMT                 The new loan payment amount as             2       No commas(,) or dollar signs ($)        11
                            reported by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
NEW_LOAN_RATE               The new loan rate as reported by           4       Max length of 6                         6
                            the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
ARM_INDEX_RATE              The index the Servicer is using to         4       Max length of 6                         6
                            calculate a forecasted rate.
-----------------------------------------------------------------------------------------------------------------------------
ACTL_BEG_PRIN_BAL           The borrower's actual principal            2       No commas(,) or dollar signs ($)        11
                            balance at the beginning of the
                            processing cycle.
-----------------------------------------------------------------------------------------------------------------------------
ACTL_END_PRIN_BAL           The borrower's actual principal            2       No commas(,) or dollar signs ($)        11
                            balance at the end of the
                            processing cycle.
-----------------------------------------------------------------------------------------------------------------------------
BORR_NEXT_PAY_DUE_DATE      The date at the end of processing                  MM/DD/YYYY                              10
                            cycle that the borrower's next
                            payment is due to the Servicer, as
                            reported by Servicer.
-----------------------------------------------------------------------------------------------------------------------------
SERV_CURT_AMT_1             The first curtailment amount to be         2       No commas(,) or dollar signs ($)        11
                            applied.
-----------------------------------------------------------------------------------------------------------------------------
SERV_CURT_DATE_1            The curtailment date associated                    MM/DD/YYYY                              10
                            with the first curtailment amount.
-----------------------------------------------------------------------------------------------------------------------------
CURT_ADJ_ AMT_1             The curtailment interest on the            2       No commas(,) or dollar signs ($)        11
                            first curtailment amount, if
                            applicable.
-----------------------------------------------------------------------------------------------------------------------------
SERV_CURT_AMT_2             The second curtailment amount to           2       No commas(,) or dollar signs ($)        11
                            be applied.
-----------------------------------------------------------------------------------------------------------------------------
SERV_CURT_DATE_2            The curtailment date associated                    MM/DD/YYYY                              10
                            with the second curtailment amount.
-----------------------------------------------------------------------------------------------------------------------------

                                       T-1

-----------------------------------------------------------------------------------------------------------------------------
CURT_ADJ_ AMT_2             The curtailment interest on the            2       No commas(,) or dollar signs ($)        11
                            second curtailment amount, if
                            applicable.
-----------------------------------------------------------------------------------------------------------------------------
SERV_CURT_AMT_3             The third curtailment amount to be         2       No commas(,) or dollar signs ($)        11
                            applied.
-----------------------------------------------------------------------------------------------------------------------------
SERV_CURT_DATE_3            The curtailment date associated                    MM/DD/YYYY                              10
                            with the third curtailment amount.
-----------------------------------------------------------------------------------------------------------------------------
CURT_ADJ_AMT_3              The curtailment interest on the            2       No commas(,) or dollar signs ($)        11
                            third curtailment amount, if
                            applicable.
-----------------------------------------------------------------------------------------------------------------------------
PIF_AMT                     The loan "paid in full" amount as          2       No commas(,) or dollar signs ($)        11
                            reported by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
PIF_DATE                    The paid in full date as reported                  MM/DD/YYYY                              10
                            by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
ACTION_CODE                 The standard FNMA numeric code                     Action Code Key: 15=Bankruptcy,         2
                            used to indicate the                               30=Foreclosure, , 60=PIF,
                            default/delinquent status of a                     63=Substitution,
                            particular loan.                                   65=Repurchase,70=REO
-----------------------------------------------------------------------------------------------------------------------------
INT_ADJ_AMT                 The amount of the interest                 2       No commas(,) or dollar signs ($)        11
                            adjustment as reported by the
                            Servicer.
-----------------------------------------------------------------------------------------------------------------------------
SOLDIER_SAILOR_ADJ_AMT      The Soldier and Sailor Adjustment          2       No commas(,) or dollar signs ($)        11
                            amount, if applicable.
-----------------------------------------------------------------------------------------------------------------------------
NON_ADV_LOAN_AMT            The Non Recoverable Loan Amount,           2       No commas(,) or dollar signs ($)        11
                            if applicable.
-----------------------------------------------------------------------------------------------------------------------------
LOAN_LOSS_AMT               The amount the Servicer is passing         2       No commas(,) or dollar signs ($)        11
                            as a loss, if applicable.
-----------------------------------------------------------------------------------------------------------------------------
SCHED_BEG_PRIN_BAL          The scheduled outstanding                  2       No commas(,) or dollar signs ($)        11
                            principal amount due at the
                            beginning of the cycle date to be
                            passed through to investors.
-----------------------------------------------------------------------------------------------------------------------------
SCHED_END_PRIN_BAL          The scheduled principal balance            2       No commas(,) or dollar signs ($)        11
                            due to investors at the end of a
                            processing cycle.
-----------------------------------------------------------------------------------------------------------------------------
SCHED_PRIN_AMT              The scheduled principal amount as          2       No commas(,) or dollar signs ($)        11
                            reported by the Servicer for the
                            current cycle -- only applicable
                            for Scheduled/Scheduled Loans.
-----------------------------------------------------------------------------------------------------------------------------
SCHED_NET_INT               The scheduled gross interest               2       No commas(,) or dollar signs ($)        11
                            amount less the service fee amount
                            for the current cycle as reported by
                            the Servicer -- only applicable for
                            Scheduled/Scheduled Loans.
-----------------------------------------------------------------------------------------------------------------------------
ACTL_PRIN_AMT               The actual principal amount                2       No commas(,) or dollar signs ($)        11
                            collected by the Servicer for the
                            current reporting cycle -- only
                            applicable for Actual/Actual Loans.
-----------------------------------------------------------------------------------------------------------------------------
ACTL_NET_INT                The actual gross interest amount           2       No commas(,) or dollar signs ($)        11
                            less the service fee amount for the
                            current reporting cycle as reported
                            by the Servicer -- only applicable
                            for Actual/Actual Loans.
-----------------------------------------------------------------------------------------------------------------------------
PREPAY_PENALTY_ AMT         The penalty amount received when a         2       No commas(,) or dollar signs ($)        11
                            borrower prepays on his loan as
                            reported by the Servicer.
-----------------------------------------------------------------------------------------------------------------------------
PREPAY_PENALTY_WAIVED       The prepayment penalty amount for          2       No commas(,) or dollar signs ($)        11
                            the loan waived by the servicer.
-----------------------------------------------------------------------------------------------------------------------------
MOD_DATE                    The Effective Payment Date of the                  MM/DD/YYYY                              10
                            Modification for the loan.
-----------------------------------------------------------------------------------------------------------------------------
MOD_TYPE                    The Modification Type.                             Varchar - value can be alpha or         30
-----------------------------------------------------------------------------------------------------------------------------

                                       T-2

-----------------------------------------------------------------------------------------------------------------------------
                                                                               numeric
-----------------------------------------------------------------------------------------------------------------------------
DELINQ_P&I_ADVANCE_AMT      The current outstanding principal          2       No commas(,) or dollar signs ($)        11
                            and interest advances made by
                            Servicer.
-----------------------------------------------------------------------------------------------------------------------------

                                       T-3

                                   EXHIBIT U
                          INTEREST RATE SWAP AGREEMENT

                                      ISDA

              INTERNATIONAL SWAPS AND DERIVATIVES ASSOCIATION, INC.

                              2002 MASTER AGREEMENT

                           dated as of     July 31, 2006
                                         -------------------

                                          WELLS FARGO BANK,  N.A., AS
                                          SUPPLEMENTAL INTEREST TRUST
                                          TRUSTEE, ON  BEHALF OF BANC OF
                                          AMERICA FUNDING 2006-G
BANK OF AMERICA, N.A.               and   SUPPLEMENTAL INTEREST TRUST

have entered and/or anticipate entering into one or more transactions (each a
"Transaction") that are or will be governed by this 2002 Master Agreement, which
includes the schedule (the "Schedule"), and the documents and other confirming
evidence (each a "Confirmation") exchanged between the parties or otherwise
effective for the purpose of confirming or evidencing those Transactions. This
2002 Master Agreement and the Schedule are together referred to as this "Master
Agreement".

Accordingly, the parties agree as follows:--

1.    INTERPRETATION

(a)   DEFINITIONS. The terms defined in Section 14 and elsewhere in this Master
Agreement will have the meanings therein specified for the purpose of this
Master Agreement.

(b)   INCONSISTENCY. In the event of any inconsistency between the provisions of
the Schedule and the other provisions of this Master Agreement, the Schedule
will prevail. In the event of any inconsistency between the provisions of any
Confirmation and this Master Agreement, such Confirmation will prevail for the
purpose of the relevant Transaction.

(c)   SINGLE AGREEMENT. All Transactions are entered into in reliance on the
fact that this Master Agreement and all Confirmations form a single agreement
between the parties (collectively referred to as this "Agreement"), and the
parties would not otherwise enter into any Transactions.

2.    OBLIGATIONS

(a)   GENERAL CONDITIONS.

      (i)     Each party will make each payment or delivery specified in each
      Confirmation to be made by it, subject to the other provisions of this
      Agreement.

      (ii)    Payments under this Agreement will be made on the due date for
      value on that date in the place of the account specified in the relevant
      Confirmation or otherwise pursuant to this Agreement, in freely
      transferable funds and in the manner customary for payments in the
      required currency. Where settlement is by delivery (that is, other than by
      payment), such delivery will be made for receipt on the due date in the
      manner customary for the relevant obligation unless otherwise specified in
      the relevant Confirmation or elsewhere in this Agreement.

   Copyright (C) 2002 by International Swaps and Derivatives Association, Inc.

      (iii)   Each obligation of each party under Section 2(a)(i) is subject to
      (1) the condition precedent that no Event of Default or Potential Event of
      Default with respect to the other party has occurred and is continuing,
      (2) the condition precedent that no Early Termination Date in respect of
      the relevant Transaction has occurred or been effectively designated and
      (3) each other condition specified in this Agreement to be a condition
      precedent for the purpose of this Section 2(a)(iii).

(b)   CHANGE OF ACCOUNT. Either party may change its account for receiving a
payment or delivery by giving notice to the other party at least five Local
Business Days prior to the Scheduled Settlement Date for the payment or delivery
to which such change applies unless such other party gives timely notice of a
reasonable objection to such change.

(c)   NETTING OF PAYMENTS. If on any date amounts would otherwise be payable:--

      (i)     in the same currency; and

      (ii)    in respect of the same Transaction,

by each party to the other, then, on such date, each party's obligation to make
payment of any such amount will be automatically satisfied and discharged and,
if the aggregate amount that would otherwise have been payable by one party
exceeds the aggregate amount that would otherwise have been payable by the other
party, replaced by an obligation upon the party by which the larger aggregate
amount would have been payable to pay to the other party the excess of the
larger aggregate amount over the smaller aggregate amount.

The parties may elect in respect of two or more Transactions that a net amount
and payment obligation will be determined in respect of all amounts payable on
the same date in the same currency in respect of those Transactions, regardless
of whether such amounts are payable in respect of the same Transaction. The
election may be made in the Schedule or any Confirmation by specifying that
"Multiple Transaction Payment Netting" applies to the Transactions identified as
being subject to the election (in which case clause (ii) above will not apply to
such Transactions). If Multiple Transaction Payment Netting is applicable to
Transactions, it will apply to those Transactions with effect from the starting
date specified in the Schedule or such Confirmation, or, if a starting date is
not specified in the Schedule or such Confirmation, the starting date otherwise
agreed by the parties in writing. This election may be made separately for
different groups of Transactions and will apply separately to each pairing of
Offices through which the parties make and receive payments or deliveries.

(d)   DEDUCTION OR WITHHOLDING FOR TAX.

      (i)     GROSS-UP. All payments under this Agreement will be made without
      any deduction or withholding for or on account of any Tax unless such
      deduction or withholding is required by any applicable law, as modified by
      the practice of any relevant governmental revenue authority, then in
      effect. If a party is so required to deduct or withhold, then that party
      ("X") will:-

              (1)   promptly notify the other party ("Y") of such requirement;

              (2)   pay to the relevant authorities the full amount required to
              be deducted or withheld (including the full amount required to be
              deducted or withheld from any additional amount paid by X to Y
              under this Section 2(d)) promptly upon the earlier of determining
              that such deduction or withholding is required or receiving notice
              that such amount has been assessed against Y;

              (3)   promptly forward to Y an official receipt (or a certified
              copy), or other documentation reasonably acceptable to Y,
              evidencing such payment to such authorities; and

                                        2

              (4)   if such Tax is an Indemnifiable Tax, pay to Y, in addition
              to the payment to which Y is otherwise entitled under this
              Agreement, such additional amount as is necessary to ensure that
              the net amount actually received by Y (free and clear of
              Indemnifiable Taxes, whether assessed against X or Y) will equal
              the full amount Y would have received had no such deduction or
              withholding been required. However, X will not be required to pay
              any additional amount to Y to the extent that it would not be
              required to be paid but for:--

                    (A)   the failure by Y to comply with or perform any
                    agreement contained in Section 4(a)(i), 4(a)(iii) or 4(d);
                    or

                    (B)   the failure of a representation made by Y pursuant to
                    Section 3(f) to be accurate and true unless such failure
                    would not have occurred but for (I) any action taken by a
                    taxing authority, or brought in a court of competent
                    jurisdiction, after a Transaction is entered into
                    (regardless of whether such action is taken or brought with
                    respect to a party to this Agreement) or (II) a Change in
                    Tax Law.

      (ii)    LIABILITY. If:--

              (1)   X is required by any applicable law, as modified by the
              practice of any relevant governmental revenue authority, to make
              any deduction or withholding in respect of which X would not be
              required to pay an additional amount to Y under Section
              2(d)(i)(4);

              (2)   X does not so deduct or withhold; and

              (3)   a liability resulting from such Tax is assessed directly
              against X,

      then, except to the extent Y has satisfied or then satisfies the liability
      resulting from such Tax, Y will promptly pay to X the amount of such
      liability (including any related liability for interest, but including any
      related liability for penalties only if Y has failed to comply with or
      perform any agreement contained in Section 4(a)(i), 4(a)(iii) or 4(d)).

3.    REPRESENTATIONS

Each party makes the representations contained in Sections 3(a), 3(b), 3(c),
3(d), 3(e) and 3(f) and, if specified in the Schedule as applying, 3(g) to the
other party (which representations will be deemed to be repeated by each party
on each date on which a Transaction is entered into and, in the case of the
representations in Section 3(f), at all times until the termination of this
Agreement). If any "Additional Representation" is specified in the Schedule or
any Confirmation as applying, the party or parties specified for such Additional
Representation will make and, if applicable, be deemed to repeat such Additional
Representation at the time or times specified for such Additional
Representation.

(a)   BASIC REPRESENTATIONS.

      (i)     STATUS. It is duly organised and validly existing under the laws
      of the jurisdiction of its organisation or incorporation and, if relevant
      under such laws, in good standing;

      (ii)    POWERS. It has the power to execute this Agreement and any other
      documentation relating to this Agreement to which it is a party, to
      deliver this Agreement and any other documentation relating to this
      Agreement that it is required by this Agreement to deliver and to perform
      its obligations under this Agreement and any obligations it has under any
      Credit Support Document to which it is a party and has taken all necessary
      action to authorise such execution, delivery and performance;

                                        3                           ISDA(R) 2002

      (iii)   NO VIOLATION OR CONFLICT. Such execution, delivery and performance
      do not violate or conflict with any law applicable to it, any provision of
      its constitutional documents, any order or judgment of any court or other
      agency of government applicable to it or any of its assets or any
      contractual restriction binding on or affecting it or any of its assets;

      (iv)    CONSENTS. All governmental and other consents that are required to
      have been obtained by it with respect to this Agreement or any Credit
      Support Document to which it is a party have been obtained and are in full
      force and effect and all conditions of any such consents have been
      complied with; and

      (v)     OBLIGATIONS BINDING. Its obligations under this Agreement and any
      Credit Support Document to which it is a party constitute its legal, valid
      and binding obligations, enforceable in accordance with their respective
      terms (subject to applicable bankruptcy, reorganisation, insolvency,
      moratorium or similar laws affecting creditors' rights generally and
      subject, as to enforceability, to equitable principles of general
      application (regardless of whether enforcement is sought in a proceeding
      in equity or at law)).

(b)   ABSENCE OF CERTAIN EVENTS. No Event of Default or Potential Event of
Default or, to its knowledge, Termination Event with respect to it has occurred
and is continuing and no such event or circumstance would occur as a result of
its entering into or performing its obligations under this Agreement or any
Credit Support Document to which it is a party.

(c)   ABSENCE OF LITIGATION. There is not pending or, to its knowledge,
threatened against it, any of its Credit Support Providers or any of its
applicable Specified Entities any action, suit or proceeding at law or in equity
or before any court, tribunal, governmental body, agency or official or any
arbitrator that is likely to affect the legality, validity or enforceability
against it of this Agreement or any Credit Support Document to which it is a
party or its ability to perform its obligations under this Agreement or such
Credit Support Document.

(d)   ACCURACY OF SPECIFIED INFORMATION. All applicable information that is
furnished in writing by or on behalf of it to the other party and is identified
for the purpose of this Section 3(d) in the Schedule is, as of the date of the
information, true, accurate and complete in every material respect.

(e)   PAYER TAX REPRESENTATION. Each representation specified in the Schedule as
being made by it for the purpose of this Section 3(e) is accurate and true.

(f)   PAYEE TAX REPRESENTATIONS. Each representation specified in the Schedule
as being made by it for the purpose of this Section 3(f) is accurate and true.

(g)   NO AGENCY. It is entering into this Agreement, including each Transaction,
as principal and not as agent of any person or entity.

4.    AGREEMENTS

Each party agrees with the other that, so long as either party has or may have
any obligation under this Agreement or under any Credit Support Document to
which it is a party:--

(a)   FURNISH SPECIFIED INFORMATION. It will deliver to the other party or, in
      certain cases under clause (iii) below, to such government or taxing
      authority as the other party reasonably directs:--

      (i)     any forms, documents or certificates relating to taxation
      specified in the Schedule or any Confirmation;

      (ii)    any other documents specified in the Schedule or any Confirmation;
      and

                                        4                           ISDA(R) 2002

      (iii)   upon reasonable demand by such other party, any form or document
      that may be required or reasonably requested in writing in order to allow
      such other party or its Credit Support Provider to make a payment under
      this Agreement or any applicable Credit Support Document without any
      deduction or withholding for or on account of any Tax or with such
      deduction or withholding at a reduced rate (so long as the completion,
      execution or submission of such form or document would not materially
      prejudice the legal or commercial position of the party in receipt of such
      demand), with any such form or document to be accurate and completed in a
      manner reasonably satisfactory to such other party and to be executed and
      to be delivered with any reasonably required certification,

in each case by the date specified in the Schedule or such Confirmation or, if
none is specified, as soon as reasonably practicable.

(b)   MAINTAIN AUTHORISATIONS. It will use all reasonable efforts to maintain in
full force and effect all consents of any governmental or other authority that
are required to be obtained by it with respect to this Agreement or any Credit
Support Document to which it is a party and will use all reasonable efforts to
obtain any that may become necessary in the future.

(c)   COMPLY WITH LAWS. It will comply in all material respects with all
applicable laws and orders to which it may be subject if failure so to comply
would materially impair its ability to perform its obligations under this
Agreement or any Credit Support Document to which it is a party.

(d)   TAX AGREEMENT. It will give notice of any failure of a representation made
by it under Section 3(f) to be accurate and true promptly upon learning of such
failure.

(e)   PAYMENT OF STAMP TAX. Subject to Section 11, it will pay any Stamp Tax
levied or imposed upon it or in respect of its execution or performance of this
Agreement by a jurisdiction in which it is incorporated, organised, managed and
controlled or considered to have its seat, or where an Office through which it
is acting for the purpose of this Agreement is located ("Stamp Tax
Jurisdiction"), and will indemnify the other party against any Stamp Tax levied
or imposed upon the other party or in respect of the other party's execution or
performance of this Agreement by any such Stamp Tax Jurisdiction which is not
also a Stamp Tax Jurisdiction with respect to the other party.

5.    EVENTS OF DEFAULT AND TERMINATION EVENTS

(a)   EVENTS OF DEFAULT. The occurrence at any time with respect to a party or,
if applicable, any Credit Support Provider of such party or any Specified Entity
of such party of any of the following events constitutes (subject to Sections
5(c) and 6(e)(iv)) an event of default (an "Event of Default") with respect to
such party:--

      (i)     FAILURE TO PAY OR DELIVER. Failure by the party to make, when due,
      any payment under this Agreement or delivery under Section 2(a)(i) or
      9(h)(i)(2) or (4) required to be made by it if such failure is not
      remedied on or before the first Local Business Day in the case of any such
      payment or the first Local Delivery Day in the case of any such delivery
      after, in each case, notice of such failure is given to the party;

      (ii)    BREACH OF AGREEMENT; REPUDIATION OF AGREEMENT.

              (1)   Failure by the party to comply with or perform any agreement
              or obligation (other than an obligation to make any payment under
              this Agreement or delivery under Section 2(a)(i) or 9(h)(i)(2) or
              (4) or to give notice of a Termination Event or any agreement or
              obligation under Section 4(a)(i), 4(a)(iii) or 4(d)) to be
              complied with or performed by the party in accordance with this
              Agreement if such failure is not remedied within 30 days after
              notice of such failure is given to the party; or

              (2)   the party disaffirms, disclaims, repudiates or rejects, in.
              whole or in part, or challenges the validity of, this Master
              Agreement, any Confirmation executed and delivered by that party
              or any

                                        5                           ISDA(R) 2002

              Transaction evidenced by such a Confirmation (or such action is
              taken by any person or entity appointed or empowered to operate it
              or act on its behalf);

      (iii)   CREDIT SUPPORT DEFAULT.

              (1)   Failure by the party or any Credit Support Provider of such
              party to comply with or perform any agreement or obligation to be
              complied with or performed by it in accordance with any Credit
              Support Document if such failure is continuing after any
              applicable grace period has elapsed;

              (2)   the expiration or termination of such Credit Support
              Document or the failing or ceasing of such Credit Support
              Document, or any security interest granted by such party or such
              Credit Support Provider to the other party pursuant to any such
              Credit Support Document, to be in full force and effect for the
              purpose of this Agreement (in each case other than in accordance
              with its terms) prior to the satisfaction of all obligations of
              such party under each Transaction to which such Credit Support
              Document relates without the written consent of the other party;
              or

              (3)   the party or such Credit Support Provider disaffirms,
              disclaims, repudiates or rejects, in whole or in part, or
              challenges the validity of, such Credit Support Document (or such
              action is taken by any person or entity appointed or empowered to
              operate it or act on its behalf);

      (iv)    MISREPRESENTATION. A representation (other than a representation
      under Section 3(e) or 3(f)) made or repeated or deemed to have been made
      or repeated by the party or any Credit Support Provider of such party in
      this Agreement or any Credit Support Document proves to have been
      incorrect or misleading in any material respect when made or repeated or
      deemed to have been made or repeated;

      (v)     DEFAULT UNDER SPECIFIED TRANSACTION. The party, any Credit Support
      Provider of such party or any applicable Specified Entity of such party:--

              (1)   defaults (other than by failing to make a delivery) under a
              Specified Transaction or any credit support arrangement relating
              to a Specified Transaction and, after giving effect to any
              applicable notice requirement or grace period, such default
              results in a liquidation of, an acceleration of obligations under,
              or an early termination of, that Specified Transaction;

              (2)   defaults, after giving effect to any applicable notice
              requirement or grace period, in making any payment due on the last
              payment or exchange date of, or any payment on early termination
              of, a Specified Transaction (or, if there is no applicable notice
              requirement or grace period, such default continues for at least
              one Local Business Day);

              (3)   defaults in making any delivery due under (including any
              delivery due on the last delivery or exchange date of) a Specified
              Transaction or any credit support arrangement relating to a
              Specified Transaction and, after giving effect to any applicable
              notice requirement or grace period, such default results in a
              liquidation of, an acceleration of obligations under, or an early
              termination of, all transactions outstanding under the
              documentation applicable to that Specified Transaction; or

              (4)   disaffirms, disclaims, repudiates or rejects, in whole or in
              part, or challenges the validity of, a Specified Transaction or
              any credit support arrangement relating to a Specified Transaction
              that is, in either case, confirmed or evidenced by a document or
              other confirming evidence executed and delivered by that party,
              Credit Support Provider or Specified Entity (or such action is
              taken by any person or entity appointed or empowered to operate it
              or act on its behalf);

                                        6                           ISDA(R) 2002

      (vi)    CROSS-DEFAULT. If "Cross-Default" is specified in the Schedule as
      applying to the party, the occurrence or existence of:-

              (1)   a default, event of default or other similar condition or
              event (however described) in respect of such party, any Credit
              Support Provider of such party or any applicable Specified Entity
              of such party under one or more agreements or instruments relating
              to Specified Indebtedness of any of them (individually or
              collectively) where the aggregate principal amount of such
              agreements or instruments, either alone or together with the
              amount, if any, referred to in clause (2) below, is not less than
              the applicable Threshold Amount (as specified in the Schedule)
              which has resulted in such Specified Indebtedness becoming, or
              becoming capable at such time of being declared, due and payable
              under such agreements or instruments before it would otherwise
              have been due and payable; or

              (2)   a default by such party, such Credit Support Provider or
              such Specified Entity (individually or collectively) in making one
              or more payments under such agreements or instruments on the due
              date for payment (after giving effect to any applicable notice
              requirement or grace period) in an aggregate amount, either alone
              or together with the amount, if any, referred to in clause (1)
              above, of not less than the applicable Threshold Amount;

      (vii)   BANKRUPTCY. The party, any Credit Support Provider of such party
      or any applicable Specified Entity of such party:-

              (1)   is dissolved (other than pursuant to a consolidation,
              amalgamation or merger); (2) becomes insolvent or is unable to pay
              its debts or fails or admits in writing its inability generally to
              pay its debts as they become due; (3) makes a general assignment,
              arrangement or composition with or for the benefit of its
              creditors; (4)(A) institutes or has instituted against it, by a
              regulator, supervisor or any similar official with primary
              insolvency, rehabilitative or regulatory jurisdiction over it in
              the jurisdiction of its incorporation or organisation or the
              jurisdiction of its head or home office, a proceeding seeking a
              judgment of insolvency or bankruptcy or any other relief under any
              bankruptcy or insolvency law or other similar law affecting
              creditors' rights, or a petition is presented for its winding-up
              or liquidation by it or such regulator, supervisor or similar
              official, or (B) has instituted against it a proceeding seeking a
              judgment of insolvency or bankruptcy or any other relief under any
              bankruptcy or insolvency law or other similar law affecting
              creditors' rights, or a petition is presented for its winding-up
              or liquidation, and such proceeding or petition is instituted or
              presented by a person or entity not described in clause (A) above
              and either (I) results in a judgment of insolvency or bankruptcy
              or the entry of an order for relief or the making of an order for
              its winding-up or liquidation or (II) is not dismissed,
              discharged, stayed or restrained in each case within 15 days of
              the institution or presentation thereof; (5) has a resolution
              passed for its winding-up, official management or liquidation
              (other than pursuant to a consolidation, amalgamation or merger);
              (6) seeks or becomes subject to the appointment of an
              administrator, provisional liquidator, conservator, receiver,
              trustee, custodian or other similar official for it or for all or
              substantially all its assets; (7) has a secured party take
              possession of all or substantially all its assets or has a
              distress, execution, attachment, sequestration or other legal
              process levied, enforced or sued on or against all or
              substantially all its assets and such secured party maintains
              possession, or any such process is not dismissed, discharged,
              stayed or restrained, in each case within 15 days thereafter; (8)
              causes or is subject to any event with respect to it which, under
              the applicable laws of any jurisdiction, has an analogous effect
              to any of the events specified in clauses (1) to (7) above
              (inclusive); or (9) takes any action in furtherance of, or
              indicating its consent to, approval of, or acquiescence in, any of
              the foregoing acts; or

                                        7                           ISDA(R) 2002

      (viii)  MERGER WITHOUT ASSUMPTION. The party or any Credit Support
      Provider of such party consolidates or amalgamates with, or merges with or
      into, or transfers all or substantially all its assets to, or
      reorganises, reincorporates or reconstitutes into or as, another entity
      and, at the time of such consolidation, amalgamation, merger, transfer,
      reorganisation, reincorporation or reconstitution:--

              (1)   the resulting, surviving or transferee entity fails to
              assume all the obligations of such party or such Credit Support
              Provider under this Agreement or any Credit Support Document to
              which it or its predecessor was a party; or

              (2)   the benefits of any Credit Support Document fail to extend
              (without the consent of the other party) to the performance by
              such resulting, surviving or transferee entity of its obligations
              under this Agreement.

(b)   TERMINATION EVENTS. The occurrence at any time with respect to a party or,
if applicable, any Credit Support Provider of such party or any Specified Entity
of such party of any event specified below constitutes (subject to Section 5(c))
an Illegality if the event is specified in clause (i) below, a Force Majeure
Event if the event is specified in clause (ii) below, a Tax Event if the event
is specified in clause (iii) below, a Tax Event Upon Merger if the event is
specified in clause (iv) below, and, if specified to be applicable, a Credit
Event Upon Merger if the event is specified pursuant to clause (v) below or an
Additional Termination Event if the event is specified pursuant to clause (vi)
below:-

      (i)     ILLEGALITY. After giving effect to any applicable provision,
      disruption fallback or remedy specified in, or pursuant to, the relevant
      Confirmation or elsewhere in this Agreement, due to an event or
      circumstance (other than any action taken by a party or, if applicable,
      any Credit Support Provider of such party) occurring after a Transaction
      is entered into, it becomes unlawful under any applicable law (including
      without limitation the laws of any country in which payment, delivery or
      compliance is required by either party or any Credit Support Provider, as
      the case may be), on any day, or it would be unlawful if the relevant
      payment, delivery or compliance were required on that day (in each case,
      other than as a result of a breach by the party of Section 4(b)):-

              (1)   for the Office through which such party (which will be the
              Affected Party) makes and receives payments or deliveries with
              respect to such Transaction to perform any absolute or contingent
              obligation to make a payment or delivery in respect of such
              Transaction, to receive a payment or delivery in respect of such
              Transaction or to comply with any other material provision of this
              Agreement relating to such Transaction; or

              (2)   for such party or any Credit Support Provider of such party
              (which will be the Affected Party) to perform any absolute or
              contingent obligation to make a payment or delivery which such
              party or Credit Support Provider has under any Credit Support
              Document relating to such Transaction, to receive a payment or
              delivery under such Credit Support Document or to comply with any
              other material provision of such Credit Support Document;

      (ii)    FORCE MAJEURE EVENT. After giving effect to any applicable
      provision, disruption fallback or remedy specified in, or pursuant to, the
      relevant Confirmation or elsewhere in this Agreement, by reason of force
      majeure or act of state occurring after a Transaction is entered into, on
      any day:-

              (1)   the Office through which such party (which will be the
              Affected Party) makes and receives payments or deliveries with
              respect to such Transaction is prevented from performing any
              absolute or contingent obligation to make a payment or delivery in
              respect of such Transaction, from receiving a payment or delivery
              in respect of such Transaction or from complying with any other
              material provision of this Agreement relating to such Transaction
              (or would be so prevented if such payment, delivery or compliance
              were required on that day), or it becomes impossible or

                                        8                           ISDA(R) 2002

              impracticable for such Office so to perform, receive or comply (or
              it would be impossible or impracticable for such Office so to
              perform, receive or comply if such payment, delivery or compliance
              were required on that day); or

              (2)   such party or any Credit Support Provider of such party
              (which will be the Affected Party) is prevented from performing
              any absolute or contingent obligation to make a payment or
              delivery which such party or Credit Support Provider has under any
              Credit Support Document relating to such Transaction, from
              receiving a payment or delivery under such Credit Support Document
              or from complying with any other material provision of such Credit
              Support Document (or would be so prevented if such payment,
              delivery or compliance were required on that day), or it becomes
              impossible or impracticable for such party or Credit Support
              Provider so to perform, receive or comply (or it would be
              impossible or impracticable for such party or Credit Support
              Provider so to perform, receive or comply if such payment,
              delivery or compliance were required on that day),

      so long as the force majeure or act of state is beyond the control of such
      Office, such party or such Credit Support Provider, as appropriate, and
      such Office, party or Credit Support Provider could not, after using all
      reasonable efforts (which will not require such party or Credit Support
      Provider to incur a loss, other than immaterial, incidental expenses),
      overcome such prevention, impossibility or impracticability;

      (iii)   TAX EVENT. Due to (1) any action taken by a taxing authority, or
      brought in a court of competent jurisdiction, after a Transaction is
      entered into (regardless of whether such action is taken or brought with
      respect to a party to this Agreement) or (2) a Change in Tax Law, the
      party (which will be the Affected Party) will, or there is a substantial
      likelihood that it will, on the next succeeding Scheduled Settlement Date
      (A) be required to pay to the other party an additional amount in respect
      of an Indemnifiable Tax under Section 2(d)(i)(4) (except in respect of
      interest under Section 9(h)) or (B) receive a payment from which an amount
      is required to be deducted or withheld for or on account of a Tax (except
      in respect of interest under Section 9(h)) and no additional amount is
      required to be paid in respect of such Tax under Section 2(d)(i)(4) (other
      than by reason of Section 2(d)(i)(4)(A) or (B));

      (iv)    TAX EVENT UPON MERGER. The party (the "Burdened Party") on the
      next succeeding Scheduled Settlement Date will either (1) be required to
      pay an additional amount in respect of an Indemnifiable Tax under Section
      2(d)(i)(4) (except in respect of interest under Section 9(h)) or (2)
      receive a payment from which an amount has been deducted or withheld for
      or on account of any Tax in respect of which the other party is not
      required to pay an additional amount (other than by reason of Section
      2(d)(i)(4)(A) or (B)), in either case as a result of a party
      consolidating or amalgamating with, or merging with or into, or
      transferring all or substantially all its assets (or any substantial part
      of the assets comprising the business conducted by it as of the date of
      this Master Agreement) to, or reorganising, reincorporating or
      reconstituting into or as, another entity (which will be the Affected
      Party) where such action does not constitute a Merger Without Assumption;

      (v)     CREDIT EVENT UPON MERGER. If "Credit Event Upon Merger" is
      specified in the Schedule as applying to the party, a Designated Event
      (as defined below) occurs with respect to such party, any Credit Support
      Provider of such party or any applicable Specified Entity of such party
      (in each case, "X") and such Designated Event does not constitute a
      Merger Without Assumption, and the creditworthiness of X or, if
      applicable, the successor, surviving or transferee entity of X, after
      taking into account any applicable Credit Support Document, is materially
      weaker immediately after the occurrence of such Designated Event than
      that of X immediately prior to the occurrence of such Designated Event
      (and, in any such event, such party or its successor, surviving or
      transferee entity, as appropriate, will be the Affected Party). A
      "Designated Event" with respect to X means that:-

              (1)   X consolidates or amalgamates with, or merges with or into,
              or transfers all or substantially all its assets (or any
              substantial part of the assets comprising the business conducted
              by X as of the

                                        9                           ISDA(R) 2002

              date of this Master Agreement) to, or reorganises, reincorporates
              or reconstitutes into or as, another entity;

              (2)   any person, related group of persons or entity acquires
              directly or indirectly the beneficial ownership of (A) equity
              securities having the power to elect a majority of the board of
              directors (or its equivalent) of X or (B) any other ownership
              interest enabling it to exercise control of X; or

              (3)   X effects any substantial change in its capital structure by
              means of the issuance, incurrence or guarantee of debt or the
              issuance of (A) preferred stock or other securities convertible
              into or exchangeable for debt or preferred stock or (B) in the
              case of entities other than corporations, any other form of
              ownership interest; or

      (vi)    ADDITIONAL TERMINATION EVENT. If any "Additional Termination
      Event" is specified in the Schedule or any Confirmation as applying, the
      occurrence of such event (and, in such event, the Affected Party or
      Affected Parties will be as specified for such Additional Termination
      Event in the Schedule or such Confirmation).

(c)   HIERARCHY OF EVENTS.

      (i)     An event or circumstance that constitutes or gives rise to an
      Illegality or a Force Majeure Event will not, for so long as that is the
      case, also constitute or give rise to an Event of Default under Section
      5(a)(i), 5(a)(ii)(1) or 5(a)(iii)(1) insofar as such event or circumstance
      relates to the failure to make any payment or delivery or a failure to
      comply with any other material provision of this Agreement or a Credit
      Support Document, as the case may be.

      (ii)    Except in circumstances contemplated by clause (i) above, if an
      event or circumstance which would otherwise constitute or give rise to an
      Illegality or a Force Majeure Event also constitutes an Event of Default
      or any other Termination Event, it will be treated as an Event of Default
      or such other Termination Event, as the case may be, and will not
      constitute or give rise to an Illegality or a Force Majeure Event.

      (iii)   If an event or circumstance which would otherwise constitute or
      give rise to a Force Majeure Event also constitutes an Illegality, it will
      be treated as an Illegality, except as described in clause (ii) above, and
      not a Force Majeure Event.

(d)   DEFERRAL OF PAYMENTS AND DELIVERIES DURING WAITING PERIOD. If an
Illegality or a Force Majeure Event has occurred and is continuing with respect
to a Transaction, each payment or delivery which would otherwise be required to
be made under that Transaction will be deferred to, and will not be due until:-

      (i)     the first Local Business Day or, in the case of a delivery, the
      first Local Delivery Day (or the first day that would have been a Local
      Business Day or Local Delivery Day, as appropriate, but for the occurrence
      of the event or circumstance constituting or giving rise to that
      Illegality or Force Majeure Event) following the end of any applicable
      Waiting Period in respect of that Illegality or Force Majeure Event, as
      the case may be; or

      (ii)    if earlier, the date on which the event or circumstance
      constituting or giving rise to that Illegality or Force Majeure Event
      ceases to exist or, if such date is not a Local Business Day or, in the
      case of a delivery, a Local Delivery Day, the first following day that is
      a Local Business Day or Local Delivery Day, as appropriate.

(e)   INABILITY OF HEAD OR HOME OFFICE TO PERFORM OBLIGATIONS OF BRANCH. If (i)
an Illegality or a Force Majeure Event occurs under Section 5(b)(i)(1) or
5(b)(ii)(1) and the relevant Office is not the Affected Party's head or home
office, (ii) Section 10(a) applies, (iii) the other party seeks performance of
the relevant obligation or

                                       10                           ISDA(R) 2002

compliance with the relevant provision by the Affected Party's head or home
office and (iv) the Affected Party's head or home office fails so to perform or
comply due to the occurrence of an event or circumstance which would, if that
head or home office were the Office through which the Affected Party makes and
receives payments and deliveries with respect to the relevant Transaction,
constitute or give rise to an Illegality or a Force Majeure Event, and such
failure would otherwise constitute an Event of Default under Section 5(a)(i)or
5(a)(iii)(1) with respect to such party, then, for so long as the relevant event
or circumstance continues to exist with respect to both the Office referred to
in Section 5(b)(i)(1) or 5(b)(ii)(1), as the case may be, and the Affected
Party's head or home office, such failure will not constitute an Event of
Default under Section 5(a)(i) or 5(a)(iii)(1).

6.    EARLY TERMINATION; CLOSE-OUT NETTING

(a)   RIGHT TO TERMINATE FOLLOWING EVENT OF DEFAULT. If at any time an Event of
Default with respect to a party (the "Defaulting Party") has occurred and is
then continuing, the other party (the "Non-defaulting Party") may, by not more
than 20 days notice to the Defaulting Party specifying the relevant Event of
Default, designate a day not earlier than the day such notice is effective as an
Early Termination Date in respect of all outstanding Transactions. If, however,
"Automatic Early Termination" is specified in the Schedule as applying to a
party, then an Early Termination Date in respect of all outstanding Transactions
will occur immediately upon the occurrence with respect to such party of an
Event of Default specified in Section 5(a)(vii)(1), (3), (5), (6) or, to the
extent analogous thereto, (8), and as of the time immediately preceding the
institution of the relevant proceeding or the presentation of the relevant
petition upon the occurrence with respect to such party of an Event of Default
specified in Section 5(a)(vii)(4) or, to the extent analogous thereto, (8).

(b)   RIGHT TO TERMINATE FOLLOWING TERMINATION EVENT.

      (i)     NOTICE. If a Termination Event other than a Force Majeure Event
      occurs, an Affected Party will, promptly upon becoming aware of it, notify
      the other party, specifying the nature of that Termination Event and each
      Affected Transaction, and will also give the other party such other
      information about that Termination Event as the other party may reasonably
      require. If a Force Majeure Event occurs, each party will, promptly upon
      becoming aware of it, use all reasonable efforts to notify the other
      party, specifying the nature of that Force Majeure Event, and will also
      give the other party such other information about that Force Majeure Event
      as the other party may reasonably require.

      (ii)    TRANSFER TO AVOID TERMINATION EVENT. If a Tax Event occurs and
      there is only one Affected Party, or if a Tax Event Upon Merger occurs and
      the Burdened Party is the Affected Party, the Affected Party will, as a
      condition to its right to designate an Early Termination Date under
      Section 6(b)(iv), use all reasonable efforts (which will not require such
      party to incur a loss, other than immaterial, incidental expenses) to
      transfer within 20 days after it gives notice under Section 6(b)(i) all
      its rights and obligations under this Agreement in respect of the Affected
      Transactions to another of its Offices or Affiliates so that such
      Termination Event ceases to exist.

      If the Affected Party is not able to make such a transfer it will give
      notice to the other party to that effect within such 20 day period,
      whereupon the other party may effect such a transfer within 30 days after
      the notice is given under Section 6(b)(i).

      Any such transfer by a party under this Section 6(b)(ii) will be subject
      to and conditional upon the prior written consent of the other party,
      which consent will not be withheld if such other party's policies in
      effect at such time would permit it to enter into transactions with the
      transferee on the terms proposed.

      (iii)   TWO AFFECTED PARTIES. If a Tax Event occurs and there are two
      Affected Parties, each party will use all reasonable efforts to reach
      agreement within 30 days after notice of such occurrence is given under
      Section 6(b)(i) to avoid that Termination Event.

                                       11                           ISDA(R) 2002

      (iv)    RIGHT TO TERMINATE.

              (1)   If:--

                    (A)   a transfer under Section 6(b)(ii) or an agreement
                    under Section 6(b)(iii), as the case may be, has not been
                    effected with respect to all Affected Transactions within
                    30 days after an Affected Party gives notice under Section
                    6(b)(i); or

                    (B)   a Credit Event Upon Merger or an Additional
                    Termination Event occurs, or a Tax Event Upon Merger occurs
                    and the Burdened Party is not the Affected Party,
                    the Burdened Party in the case of a Tax Event Upon Merger,
                    any Affected Party in the case of a Tax Event or an
                    Additional Termination Event if there are two Affected
                    Parties, or the Non-affected Party in the case of a Credit
                    Event Upon Merger or an Additional Termination Event if
                    there is only one Affected Party may, if the relevant
                    Termination Event is then continuing, by not more than 20
                    days notice to the other party, designate a day not earlier
                    than the day such notice is effective as an Early
                    Termination Date in respect of all Affected Transactions.

              (2)   If at any time an Illegality or a Force Majeure Event has
              occurred and is then continuing and any applicable Waiting Period
              has expired:-

                    (A)   Subject to clause (B) below, either party may, by not
                    more than 20 days notice to the other party, designate (I)
                    a day not earlier than the day on which such notice becomes
                    effective as an Early Termination Date in respect of all
                    Affected Transactions or (II) by specifying in that notice
                    the Affected Transactions in respect of which it is
                    designating the relevant day as an Early Termination Date,
                    a day not earlier than two Local Business Days following
                    the day on which such notice becomes effective as an Early
                    Termination Date in respect of less than all Affected
                    Transactions. Upon receipt of a notice designating an Early
                    Termination Date in respect of less than all Affected
                    Transactions, the other party may, by notice to the
                    designating party, if such notice is effective on or before
                    the day so designated, designate that same day as an Early
                    Termination Date in respect of any or all other Affected
                    Transactions.

                    (B)   An Affected Party (if the Illegality or Force Majeure
                    Event relates to performance by such party or any Credit
                    Support Provider of such party of an obligation to make any
                    payment or delivery under, or to compliance with any other
                    material provision of, the relevant Credit Support
                    Document) will only have the right to designate an Early
                    Termination Date under Section 6(b)(iv)(2)(A) as a result
                    of an Illegality under Section 5(b)(i)(2) or a Force
                    Majeure Event under Section 5(b)(ii)(2) following the prior
                    designation by the other party of an Early Termination
                    Date, pursuant to Section 6(b)(iv)(2)(A), in respect of
                    less than all Affected Transactions.

(c)   EFFECT OF DESIGNATION.

      (i)     If notice designating an Early Termination Date is given under
      Section 6(a) or 6(b), the Early Termination Date will occur on the date so
      designated, whether or not the relevant Event of Default or Termination
      Event is then continuing.

      (ii)    Upon the occurrence or effective designation of an Early
      Termination Date, no further payments or deliveries under Section 2(a)(i)
      or 9(h)(i) in respect of the Terminated Transactions will be required to
      be made, but without prejudice to the other provisions of this Agreement.
      The amount, if any, payable in respect of an Early Termination Date will
      be determined pursuant to Sections 6(e) and 9(h)(ii).

                                       12                           ISDA(R) 2002

(d)   CALCULATIONS; PAYMENT DATE.

      (i)     STATEMENT. On or as soon as reasonably practicable following the
      occurrence of an Early Termination Date, each party will make the
      calculations on its part, if any, contemplated by Section 6(e) and will
      provide to the other party a statement (1) showing, in reasonable detail,
      such calculations (including any quotations, market data or information
      from internal sources used in making such calculations), (2) specifying
      (except where there are two Affected Parties) any Early Termination Amount
      payable and (3) giving details of the relevant account to which any amount
      payable to it is to be paid. In the absence of written confirmation from
      the source of a quotation or market data obtained in determining a
      Close-out Amount, the records of the party obtaining such quotation or
      market data will be conclusive evidence of the existence and accuracy of
      such quotation or market data.

      (ii)    PAYMENT DATE. An Early Termination Amount due in respect of any
      Early Termination Date will, together with any amount of interest payable
      pursuant to Section 9(h)(ii)(2), be payable (1) on the day on which notice
      of the amount payable is effective in the case of an Early Termination
      Date which is designated or occurs as a result of an Event of Default and
      (2) on the day which is two Local Business Days after the day on which
      notice of the amount payable is effective (or, if there are two Affected
      Parties, after the day on which the statement provided pursuant to clause
      (i) above by the second party to provide such a statement is effective) in
      the case of an Early Termination Date which is designated as a result of a
      Termination Event.

(e)   PAYMENTS ON EARLY TERMINATION. If an Early Termination Date occurs, the
amount, if any, payable in respect of that Early Termination Date (the "Early
Termination Amount") will be determined pursuant to this Section 6(e) and will
be subject to Section 6(f).

      (i)     EVENTS OF DEFAULT. If the Early Termination Date results from an
      Event of Default, the Early Termination Amount will be an amount equal to
      (1) the sum of (A) the Termination Currency Equivalent of the Close-out
      Amount or Close-out Amounts (whether positive or negative) determined by
      the Non-defaulting Party for each Terminated Transaction or group of
      Terminated Transactions, as the case may be, and (B) the Termination
      Currency Equivalent of the Unpaid Amounts owing to the Non-defaulting
      Party less (2) the Termination Currency Equivalent of the Unpaid Amounts
      owing to the Defaulting Party. If the Early Termination Amount is a
      positive number, the Defaulting Party will pay it to the Non-defaulting
      Party; if it is a negative number, the Non-defaulting Party will pay the
      absolute value of the Early Termination Amount to the Defaulting Party.

      (ii)    TERMINATION EVENTS. If the Early Termination Date results from a
      Termination Event:-

              (1)   One Affected Party. Subject to clause (3) below, if there is
              one Affected Party, the Early Termination Amount will be
              determined in accordance with Section 6(e)(i), except that
              references to the Defaulting Party and to the Non-defaulting Party
              will be deemed to be references to the Affected Party and to the
              Non-affected Party, respectively.

              (2)   Two Affected Parties. Subject to clause (3) below, if there
              are two Affected Parties, each party will determine an amount
              equal to the Termination Currency Equivalent of the sum of the
              Close-out Amount or Close-out Amounts (whether positive or
              negative) for each Terminated Transaction or group of Terminated
              Transactions, as the case may be, and the Early Termination Amount
              will be an amount equal to (A) the sum of (I) one-half of the
              difference between the higher amount so determined (by party "X")
              and the lower amount so determined (by party "Y") and (II) the
              Termination Currency Equivalent of the Unpaid Amounts owing to X
              less (B) the Termination Currency Equivalent of the Unpaid Amounts
              owing to Y. If the Early Termination Amount is a positive number,
              Y will pay it to X; if it is a negative number, X will pay the
              absolute value of the Early Termination Amount to Y.

                                       13                           ISDA(R) 2002

              (3)   Mid-Market Events. If that Termination Event is an
              Illegality or a Force Majeure Event, then the Early Termination
              Amount will be determined in accordance with clause (1) or (2)
              above, as appropriate, except that, for the purpose of determining
              a Close-out Amount or Close-out Amounts, the Determining Party
              will:-

                    (A)   if obtaining quotations from one or more third parties
                    (or from any of the Determining Party's Affiliates), ask
                    each third party or Affiliate (I) not to take account of
                    the current creditworthiness of the Determining Party or
                    any existing Credit Support Document and (II) to provide
                    mid-market quotations; and

                    (B)   in any other case, use mid-market values without
                    regard to the creditworthiness of the Determining Party.

      (iii)   ADJUSTMENT FOR BANKRUPTCY. In circumstances where an Early
      Termination Date occurs because Automatic Early Termination applies in
      respect of a party, the Early Termination Amount will be subject to such
      adjustments as are appropriate and permitted by applicable law to reflect
      any payments or deliveries made by one party to the other under this
      Agreement (and retained by such other party) during the period from the
      relevant Early Termination Date to the date for payment determined under
      Section 6(d)(ii).

      (iv)    ADJUSTMENT FOR ILLEGALITY OR FORCE MAJEURE EVENT. The failure by a
      party or any Credit Support Provider of such party to pay, when due, any
      Early Termination Amount will not constitute an Event of Default under
      Section 5(a)(i) or 5(a)(iii)(1) if such failure is due to the occurrence
      of an event or circumstance which would, if it occurred with respect to
      payment, delivery or compliance related to a Transaction, constitute or
      give rise to an Illegality or a Force Majeure Event. Such amount will (1)
      accrue interest and otherwise be treated as an Unpaid Amount owing to the
      other party if subsequently an Early Termination Date results from an
      Event of Default, a Credit Event Upon Merger or an Additional Termination
      Event in respect of which all outstanding Transactions are Affected
      Transactions and (2) otherwise accrue interest in accordance with Section
      9(h)(ii)(2).

      (v)     PRE-ESTIMATE. The parties agree that an amount recoverable under
      this Section 6(e) is a reasonable pre-estimate of loss and not a penalty.
      Such amount is payable for the loss of bargain and the loss of protection
      against future risks, and, except as otherwise provided in this Agreement,
      neither party will be entitled to recover any additional damages as a
      consequence of the termination of the Terminated Transactions.

(f)   SET-OFF. Any Early Termination Amount payable to one party (the "Payee")
by the other party (the "Payer"), in circumstances where there is a Defaulting
Party or where there is one Affected Party in the case where either a Credit
Event Upon Merger has occurred or any other Termination Event in respect of
which all outstanding Transactions are Affected Transactions has occurred, will,
at the option of the Non-defaulting Party or the Non-affected Party, as the case
may be ("X") (and without prior notice to the Defaulting Party or the Affected
Party, as the case may be), be reduced by its set-off against any other amounts
("Other Amounts") payable by the Payee to the Payer (whether or not arising
under this Agreement, matured or contingent and irrespective of the currency,
place of payment or place of booking of the obligation). To the extent that any
Other Amounts are so set off, those Other Amounts will be discharged promptly
and in all respects. X will give notice to the other party of any set-off
effected under this Section 6(f).

For this purpose, either the Early Termination Amount or the Other Amounts (or
the relevant portion of such amounts) may be converted by X into the currency in
which the other is denominated at the rate of exchange at which such party would
be able, in good faith and using commercially reasonable procedures, to purchase
the relevant amount of such currency.

                                       14                           ISDA(R) 2002

If an obligation is unascertained, X may in good faith estimate that obligation
and set off in respect of the estimate, subject to the relevant party accounting
to the other when the obligation is ascertained.

Nothing in this Section 6(f) will be effective to create a charge or other
security interest. This Section 6(f) will be without prejudice and in addition
to any right of set-off, offset, combination of accounts, lien, right of
retention or withholding or similar right or requirement to which any party is
at any time otherwise entitled or subject (whether by operation of law, contract
or otherwise).

7.    TRANSFER

Subject to Section 6(b)(ii) and to the extent permitted by applicable law,
neither this Agreement nor any interest or obligation in or under this Agreement
may be transferred (whether by way of security or otherwise) by either party
without the prior written consent of the other party, except that:-

(a)   a party may make such a transfer of this Agreement pursuant to a
consolidation or amalgamation with, or merger with or into, or transfer of all
or substantially all its assets to, another entity (but without prejudice to any
other right or remedy under this Agreement); and

(b)   a party may make such a transfer of all or any part of its interest in any
Early Termination Amount payable to it by a Defaulting Party, together with any
amounts payable on or with respect to that interest and any other rights
associated with that interest pursuant to Sections 8, 9(h) and 11.

Any purported transfer that is not in compliance with this Section 7 will be
void.

8.    CONTRACTUAL CURRENCY

(a)   PAYMENT IN THE CONTRACTUAL CURRENCY. Each payment under this Agreement
will be made in the relevant currency specified in this Agreement for that
payment (the "Contractual Currency"). To the extent permitted by applicable law,
any obligation to make payments under this Agreement in the Contractual Currency
will not be discharged or satisfied by any tender in any currency other than the
Contractual Currency, except to the extent such tender results in the actual
receipt by the party to which payment is owed, acting in good faith and using
commercially reasonable procedures in converting the currency so tendered into
the Contractual Currency, of the full amount in the Contractual Currency of all
amounts payable in respect of this Agreement. If for any reason the amount in
the Contractual Currency so received falls short of the amount in the
Contractual Currency payable in respect of this Agreement, the party required to
make the payment will, to the extent permitted by applicable law, immediately
pay such additional amount in the Contractual Currency as may be necessary to
compensate for the shortfall. If for any reason the amount in the Contractual
Currency so received exceeds the amount in the Contractual Currency payable in
respect of this Agreement, the party receiving the payment will refund promptly
the amount of such excess.

(b)   JUDGMENTS. To the extent permitted by applicable law, if any judgment or
order expressed in a currency other than the Contractual Currency is rendered
(i) for the payment of any amount owing in respect of this Agreement, (ii) for
the payment of any amount relating to any early termination in respect of this
Agreement or (iii) in respect of a judgment or order of another court for the
payment of any amount described in clause (i) or (ii) above, the party seeking
recovery, after recovery in full of the aggregate amount to which such party is
entitled pursuant to the judgment or order, will be entitled to receive
immediately from the other party the amount of any shortfall of the Contractual
Currency received by such party as a consequence of sums paid in such other
currency and will refund promptly to the other party any excess of the
Contractual Currency received by such party as a consequence of sums paid in
such other currency if such shortfall or such excess arises or results from any
variation between the rate of exchange at which the Contractual Currency is
converted into the currency of the judgment or order for the purpose of such
judgment or order and the rate of exchange at which such party is able, acting
in good faith and using

                                       15                           ISDA(R) 2002

commercially reasonable procedures in converting the currency received into the
Contractual Currency, to purchase the Contractual Currency with the amount of
the currency of the judgment or order actually received by such party.

(c)   SEPARATE INDEMNITIES. To the extent permitted by applicable law, the
indemnities in this Section 8 constitute separate and independent obligations
from the other obligations in this Agreement, will be enforceable as separate
and independent causes of action, will apply notwithstanding any indulgence
granted by the party to which any payment is owed and will not be affected by
judgment being obtained or claim or proof being made for any other sums payable
in respect of this Agreement.

(d)   EVIDENCE OF LOSS. For the purpose of this Section 8, it will be sufficient
for a party to demonstrate that it would have suffered a loss had an actual
exchange or purchase been made.

9.    MISCELLANEOUS

(a)   ENTIRE AGREEMENT. This Agreement constitutes the entire agreement and
understanding of the parties with respect to its subject matter. Each of the
parties acknowledges that in entering into this Agreement it has not relied on
any oral or written representation, warranty or other assurance (except as
provided for or referred to in this Agreement) and waives all rights and
remedies which might otherwise be available to it in respect thereof, except
that nothing in this Agreement will limit or exclude any liability of a party
for fraud.

(b)   AMENDMENTS. An amendment, modification or waiver in respect of this
Agreement will only be effective if in writing (including a writing evidenced by
a facsimile transmission) and executed by each of the parties or confirmed by an
exchange of telexes or by an exchange of electronic messages on an electronic
messaging system.

(c)   SURVIVAL OF OBLIGATIONS. Without prejudice to Sections 2(a)(iii) and
6(c)(ii), the obligations of the parties under this Agreement will survive the
termination of any Transaction.

(d)   REMEDIES CUMULATIVE. Except as provided in this Agreement, the rights,
powers, remedies and privileges provided in this Agreement are cumulative and
not exclusive of any rights, powers, remedies and privileges provided by law.

(e)   COUNTERPARTS AND CONFIRMATIONS.

      (i)     This Agreement (and each amendment, modification and waiver in
      respect of it) may be executed and delivered in counterparts (including by
      facsimile transmission and by electronic messaging system), each of which
      will be deemed an original.

      (ii)    The parties intend that they are legally bound by the terms of
      each Transaction from the moment they agree to those terms (whether orally
      or otherwise). A Confirmation will be entered into as soon as practicable
      and may be executed and delivered in counterparts (including by facsimile
      transmission) or be created by an exchange of telexes, by an exchange of
      electronic messages on an electronic messaging system or by an exchange of
      e-mails, which in each case will be sufficient for all purposes to
      evidence a binding supplement to this Agreement. The parties will specify
      therein or through another effective means that any such counterpart,
      telex, electronic message or e-mail constitutes a Confirmation.

(f)   NO WAIVER OF RIGHTS. A failure or delay in exercising any right, power or
privilege in respect of this Agreement will not be presumed to operate as a
waiver, and a single or partial exercise of any right, power or privilege will
not be presumed to preclude any subsequent or further exercise, of that right,
power or privilege or the exercise of any other right, power or privilege.

(g)   HEADINGS. The headings used in this Agreement are for convenience of
reference only and are not to affect the construction of or to be taken into
consideration in interpreting this Agreement.

                                       16                           ISDA(R) 2002

(h)   INTEREST AND COMPENSATION.

      (i)     Prior to Early Termination. Prior to the occurrence or effective
      designation of an Early Termination Date in respect of the relevant
      Transaction:--

              (1)   Interest on Defaulted Payments. If a party defaults in the
              performance of any payment obligation, it will, to the extent
              permitted by applicable law and subject to Section 6(c), pay
              interest (before as well as after judgment) on the overdue amount
              to the other party on demand in the same currency as the overdue
              amount, for the period from (and including) the original due date
              for payment to (but excluding) the date of actual payment (and
              excluding any period in respect of which interest or compensation
              in respect of the overdue amount is due pursuant to clause (3)(B)
              or (C) below), at the Default Rate.

              (2)   Compensation for Defaulted Deliveries. If a party defaults
              in the performance of any obligation required to be settled by
              delivery, it will on demand (A) compensate the other party to the
              extent provided for in the relevant Confirmation or elsewhere in
              this Agreement and (B) unless otherwise provided in the relevant
              Confirmation or elsewhere in this Agreement, to the extent
              permitted by applicable law and subject to Section 6(c), pay to
              the other party interest (before as well as after judgment) on an
              amount equal to the fair market value of that which was required
              to be delivered in the same currency as that amount, for the
              period from (and including) the originally scheduled date for
              delivery to (but excluding) the date of actual delivery (and
              excluding any period in respect of which interest or compensation
              in respect of that amount is due pursuant to clause (4) below), at
              the Default Rate. The fair market value of any obligation referred
              to above will be determined as of the originally scheduled date
              for delivery, in good faith and using commercially reasonable
              procedures, by the party that was entitled to take delivery.

              (3)   Interest on Deferred Payments. If:-

                    (A)   a party does not pay any amount that, but for Section
                    2(a)(iii), would have been payable, it will, to the extent
                    permitted by applicable law and subject to Section 6(c) and
                    clauses (B) and (C) below, pay interest (before as well as
                    after judgment) on that amount to the other party on demand
                    (after such amount becomes payable) in the same currency as
                    that amount, for the period from (and including) the date
                    the amount would, but for Section 2(a)(iii), have been
                    payable to (but excluding) the date the amount actually
                    becomes payable, at the Applicable Deferral Rate;

                    (B)   a payment is deferred pursuant to Section 5(d), the
                    party which would otherwise have been required to make that
                    payment will, to the extent permitted by applicable law,
                    subject to Section 6(c) and for so long as no Event of
                    Default or Potential Event of Default with respect to that
                    party has occurred and is continuing, pay interest (before
                    as well as after judgment) on the amount of the deferred
                    payment to the other party on demand (after such amount
                    becomes payable) in the same currency as the deferred
                    payment, for the period from (and including) the date the
                    amount would, but for Section 5(d), have been payable to
                    (but excluding) the earlier of the date the payment is no
                    longer deferred pursuant to Section 5(d) and the date
                    during the deferral period upon which an Event of Default
                    or Potential Event of Default with respect to that party
                    occurs, at the Applicable Deferral Rate; or

                    (C)   a party fails to make any payment due to the
                    occurrence of an Illegality or a Force Majeure Event (after
                    giving effect to any deferral period contemplated by clause
                    (B) above), it will, to the extent permitted by applicable
                    law, subject to Section 6(c) and for so long as the event
                    or circumstance giving rise to that Illegality or Force
                    Majeure Event

                                       17                           ISDA(R) 2002

                    continues and no Event of Default or Potential Event of
                    Default with respect to that party has occurred and is
                    continuing, pay interest (before as well as after judgment)
                    on the overdue amount to the other party on demand in the
                    same currency as the overdue amount, for the period from
                    (and including) the date the party fails to make the
                    payment due to the occurrence of the relevant Illegality or
                    Force Majeure Event (or, if later, the date the payment is
                    no longer deferred pursuant to Section 5(d)) to (but
                    excluding) the earlier of the date the event or
                    circumstance giving rise to that Illegality or Force
                    Majeure Event ceases to exist and the date during the
                    period upon which an Event of Default or Potential Event of
                    Default with respect to that party occurs (and excluding
                    any period in respect of which interest or compensation in
                    respect of the overdue amount is due pursuant to clause (B)
                    above), at the Applicable Deferral Rate.

              (4)   Compensation for Deferred Deliveries. If:-

                    (A)   a party does not perform any obligation that, but for
                    Section 2(a)(iii), would have been required to be settled by
                    delivery;

                    (B)   a delivery is deferred pursuant to Section 5(d); or

                    (C)   a party fails to make a delivery due to the occurrence
                    of an Illegality or a Force Majeure Event at a time when any
                    applicable Waiting Period has expired,

              the party required (or that would otherwise have been required) to
              make the delivery will, to the extent permitted by applicable law
              and subject to Section 6(c), compensate and pay interest to the
              other party on demand (after, in the case of clauses (A) and (B)
              above, such delivery is required) if and to the extent provided
              for in the relevant Confirmation or elsewhere in this Agreement.

      (ii)    EARLY TERMINATION. Upon the occurrence or effective designation of
      an Early Termination Date in respect of a Transaction:--

              (1)   Unpaid Amounts. For the purpose of determining an Unpaid
              Amount in respect of the relevant Transaction, and to the extent
              permitted by applicable law, interest will accrue on the amount of
              any payment obligation or the amount equal to the fair market
              value of any obligation required to be settled by delivery
              included in such determination in the same currency as that
              amount, for the period from (and including) the date the relevant
              obligation was (or would have been but for Section 2(a)(iii) or
              5(d)) required to have been performed to (but excluding) the
              relevant Early Termination Date, at the Applicable Close-out Rate.

              (2)   Interest on Early Termination Amounts. If an Early
              Termination Amount is due in respect of such Early Termination
              Date, that amount will, to the extent permitted by applicable law,
              be paid together with interest (before as well as after judgment)
              on that amount in the Termination Currency, for the period from
              (and including) such Early Termination Date to (but excluding) the
              date the amount is paid, at the Applicable Close-out Rate.

      (iii)   INTEREST CALCULATION. Any interest pursuant to this Section 9(h)
      will be calculated on the basis of daily compounding and the actual number
      of days elapsed.

                                       18                           ISDA(R) 2002

10.   OFFICES; MULTIBRANCH PARTIES

(a)   If Section 10(a) is specified in the Schedule as applying, each party that
enters into a Transaction through an Office other than its head or home office
represents to and agrees with the other party that, notwithstanding the place of
booking or its jurisdiction of incorporation or organisation, its obligations
are the same in terms of recourse against it as if it had entered into the
Transaction through its head or home office, except that a party will not have
recourse to the head or home office of the other party in respect of any payment
or delivery deferred pursuant to Section 5(d) for so long as the payment or
delivery is so deferred. This representation and agreement will be deemed to be
repeated by each party on each date on which the parties enter into a
Transaction.

(b)   If a party is specified as a Multibranch Party in the Schedule, such party
may, subject to clause (c) below, enter into a Transaction through, book a
Transaction in and make and receive payments and deliveries with respect to a
Transaction through any Office listed in respect of that party in the Schedule
(but not any other Office unless otherwise agreed by the parties in writing).

(c)   The Office through which a party enters into a Transaction will be the
Office specified for that party in the relevant Confirmation or as otherwise
agreed by the parties in writing, and, if an Office for that party is not
specified in the Confirmation or otherwise agreed by the parties in writing, its
head or home office. Unless the parties otherwise agree in writing, the Office
through which a party enters into a Transaction will also be the Office in which
it books the Transaction and the Office through which it makes and receives
payments and deliveries with respect to the Transaction. Subject to Section
6(b)(ii), neither party may change the Office in which it books the Transaction
or the Office through which it makes and receives payments or deliveries with
respect to a Transaction without the prior written consent of the other party.

11.   EXPENSES

A Defaulting Party will on demand indemnify and hold harmless the other party
for and against all reasonable out-of-pocket expenses, including legal fees,
execution fees and Stamp Tax, incurred by such other party by reason of the
enforcement and protection of its rights under this Agreement or any Credit
Support Document to which the Defaulting Party is a party or by reason of the
early termination of any Transaction, including, but not limited to, costs of
collection.

12.   NOTICES

(a)   EFFECTIVENESS. Any notice or other communication in respect of this
Agreement may be given in any manner described below (except that a notice or
other communication under Section 5 or 6 may not be given by electronic
messaging system or e-mail) to the address or number or in accordance with the
electronic messaging system or e-mail details provided (see the Schedule) and
will be deemed effective as indicated:-

      (i)     if in writing and delivered in person or by courier, on the date
      it is delivered;

      (ii)    if sent by telex, on the date the recipient's answerback is
      received;

      (iii)   if sent by facsimile transmission, on the date it is received by a
      responsible employee of the recipient in legible form (it being agreed
      that the burden of proving receipt will be on the sender and will not be
      met by a transmission report generated by the sender's facsimile machine);

      (iv)    if sent by certified or registered mail (airmail, if overseas) or
      the equivalent (return receipt requested), on the date it is delivered or
      its delivery is attempted;

      (v)     if sent by electronic messaging system, on the date it is
      received; or

                                       19                           ISDA(R) 2002

      (vi)    if sent by e-mail, on the date it is delivered,

unless the date of that delivery (or attempted delivery) or that receipt, as
applicable, is not a Local Business Day or that communication is delivered (or
attempted) or received, as applicable, after the close of business on a Local
Business Day, in which case that communication will be deemed given and
effective on the first following day that is a Local Business Day.

(b)   CHANGE OF DETAILS. Either party may by notice to the other change the
address, telex or facsimile number or electronic messaging system or e-mail
details at which notices or other communications are to be given to it.

13.   GOVERNING LAW AND JURISDICTION

(a)   GOVERNING LAW. This Agreement will be governed by and construed in
accordance with the law specified in the Schedule.

(b)   JURISDICTION. With respect to any suit, action or proceedings relating to
any dispute arising out of or in connection with this Agreement ("Proceedings"),
each party irrevocably:-

      (i)     submits:--

              (1)   if this Agreement is expressed to be governed by English
              law, to (A) the non-exclusive jurisdiction of the English courts
              if the Proceedings do not involve a Convention Court and (B) the
              exclusive jurisdiction of the English courts if the Proceedings do
              involve a Convention Court; or

              (2)   if this Agreement is expressed to be governed by the laws of
              the State of New York, to the non-exclusive jurisdiction of the
              courts of the State of New York and the United States District
              Court located in the Borough of Manhattan in New York City;

      (ii)    waives any objection which it may have at any time to the laying
      of venue of any Proceedings brought in any such court, waives any claim
      that such Proceedings have been brought in an inconvenient forum and
      further waives the right to object, with respect to such Proceedings, that
      such court does not have any jurisdiction over such party; and

      (iii)   agrees, to the extent permitted by applicable law, that the
      bringing of Proceedings in any one or more jurisdictions will not preclude
      the bringing of Proceedings in any other jurisdiction.

(c)   SERVICE OF PROCESS. Each party irrevocably appoints the Process Agent, if
any, specified opposite its name in the Schedule to receive, for it and on its
behalf, service of process in any Proceedings. If for any reason any party's
Process Agent is unable to act as such, such party will promptly notify the
other party and within 30 days appoint a substitute process agent acceptable to
the other party. The parties irrevocably consent to service of process given in
the manner provided for notices in Section 12(a)(i), 12(a)(iii) or 12(a)(iv).
Nothing in this Agreement will affect the right of either party to serve process
in any other manner permitted by applicable law.

(d)   WAIVER OF IMMUNITIES. Each party irrevocably waives, to the extent
permitted by applicable law, with respect to itself and its revenues and assets
(irrespective of their use or intended use), all immunity on the grounds of
sovereignty or other similar grounds from (i) suit, (ii) jurisdiction of any
court, (iii) relief by way of injunction or order for specific performance or
recovery of property, (iv) attachment of its assets (whether before or after
judgment) and (v) execution or enforcement of any judgment to which it or its
revenues or assets might otherwise be entitled in any Proceedings in the courts
of any jurisdiction and irrevocably agrees, to the extent permitted by
applicable law, that it will not claim any such immunity in any Proceedings.

                                       20                           ISDA(R) 2002

14.   DEFINITIONS

As used in this Agreement:--

"ADDITIONAL REPRESENTATION" has the meaning specified in Section 3.

"ADDITIONAL TERMINATION EVENT" has the meaning specified in Section 5(b).

"AFFECTED PARTY" has the meaning specified in Section 5(b).

"AFFECTED TRANSACTIONS" means (a) with respect to any Termination Event
consisting of an Illegality, Force Majeure Event, Tax Event or Tax Event Upon
Merger, all Transactions affected by the occurrence of such Termination Event
(which, in the case of an Illegality under Section 5(b)(i)(2) or a Force Majeure
Event under Section 5(b)(ii)(2), means all Transactions unless the relevant
Credit Support Document references only certain Transactions, in which case
those Transactions and, if the relevant Credit Support Document constitutes a
Confirmation for a Transaction, that Transaction) and (b) with respect to any
other Termination Event, all Transactions.

"AFFILIATE" means, subject to the Schedule, in relation to any person, any
entity controlled, directly or indirectly, by the person, any entity that
controls, directly or indirectly, the person or any entity directly or
indirectly under common control with the person. For this purpose, "control" of
any entity or person means ownership of a majority of the voting power of the
entity or person.

"AGREEMENT" has the meaning specified in Section 1(c).

"APPLICABLE CLOSE-OUT RATE" means:-

(a)   in respect of the determination of an Unpaid Amount:-

      (i)     in respect of obligations payable or deliverable (or which would
      have been but for Section 2(a)(iii)) by a Defaulting Party, the Default
      Rate;

      (ii)    in respect of obligations payable or deliverable (or which would
      have been but for Section 2(a)(iii)) by a Non-defaulting Party, the
      Non-default Rate;

      (iii)   in respect of obligations deferred pursuant to Section 5(d), if
      there is no Defaulting Party and for so long as the deferral period
      continues, the Applicable Deferral Rate; and

      (iv)    in all other cases following the occurrence of a Termination Event
      (except where interest accrues pursuant to clause (iii) above), the
      Applicable Deferral Rate; and

(b)   in respect of an Early Termination Amount:-

      (i)     for the period from (and including) the relevant Early Termination
      Date to (but excluding) the date (determined in accordance with Section
      6(d)(ii)) on which that amount is payable:-

              (1)   if the Early Termination Amount is payable by a Defaulting
              Party, the Default Rate;

              (2)   if the Early Termination Amount is payable by a
              Non-defaulting Party, the Non-default Rate; and

              (3)   in all other cases, the Applicable Deferral Rate; and

                                       21                           ISDA(R) 2002

      (ii)    for the period from (and including) the date (determined in
      accordance with Section 6(d)(ii)) on which that amount is payable to (but
      excluding) the date of actual payment:--

              (1)   if a party fails to pay the Early Termination Amount due to
              the occurrence of an event or circumstance which would, if it
              occurred with respect to a payment or delivery under a
              Transaction, constitute or give rise to an Illegality or a Force
              Majeure Event, and for so long as the Early Termination Amount
              remains unpaid due to the continuing existence of such event or
              circumstance, the Applicable Deferral Rate;

              (2)   if the Early Termination Amount is payable by a Defaulting
              Party (but excluding any period in respect of which clause (1)
              above applies), the Default Rate;

              (3)   if the Early Termination Amount is payable by a
              Non-defaulting Party (but excluding any period in respect of which
              clause (1) above applies), the Non-default Rate; and

              (4)   in all other cases, the Termination Rate.

"APPLICABLE DEFERRAL RATE" means:-

(a)   for the purpose of Section 9(h)(i)(3)(A), the rate certified by the
relevant payer to be a rate offered to the payer by a major bank in a relevant
interbank market for overnight deposits in the applicable currency, such bank to
be selected in good faith by the payer for the purpose of obtaining a
representative rate that will reasonably reflect conditions prevailing at the
time in that relevant market;

(b)   for purposes of Section 9(h)(i)(3)(B) and clause (a)(iii) of the
definition of Applicable Close-out Rate, the rate certified by the relevant
payer to be a rate offered to prime banks by a major bank in a relevant
interbank market for overnight deposits in the applicable currency, such bank to
be selected in good faith by the payer after consultation with the other party,
if practicable, for the purpose of obtaining a representative rate that will
reasonably reflect conditions prevailing at the time in that relevant market;
and

(c)   for purposes of Section 9(h)(i)(3)(C) and clauses (a)(iv), (b)(i)(3) and
(b)(ii)(1) of the definition of Applicable Close-out Rate, a rate equal to the
arithmetic mean of the rate determined pursuant to clause (a) above and a rate
per annum equal to the cost (without proof or evidence of any actual cost) to
the relevant payee (as certified by it) if it were to fund or of funding the
relevant amount.

"AUTOMATIC EARLY TERMINATION" has the meaning specified in Section 6(a).

"BURDENED PARTY" has the meaning specified in Section 5(b)(iv).

"CHANGE IN TAX LAW" means the enactment, promulgation, execution or ratification
of, or any change in or amendment to, any law (or in the application or official
interpretation of any law) that occurs after the parties enter into the relevant
Transaction.

"CLOSE-OUT AMOUNT" means, with respect to each Terminated Transaction or each
group of Terminated Transactions and a Determining Party, the amount of the
losses or costs of the Determining Party that are or would be incurred under
then prevailing circumstances (expressed as a positive number) or gains of the
Determining Party that are or would be realised under then prevailing
circumstances (expressed as a negative number) in replacing, or in providing for
the Determining Party the economic equivalent of, (a) the material terms of that
Terminated Transaction or group of Terminated Transactions, including the
payments and deliveries by the parties under Section 2(a)(i) in respect of that
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 (assuming satisfaction of the conditions precedent in

                                       22                           ISDA(R) 2002

Section 2(a)(iii)) and (b) the option rights of the parties in respect of that
Terminated Transaction or group of Terminated Transactions.

Any Close-out Amount will be determined by the Determining Party (or its agent),
which will act in good faith and use commercially reasonable procedures in order
to produce a commercially reasonable result. The Determining Party may determine
a Close-out Amount for any group of Terminated Transactions or any individual
Terminated Transaction but, in the aggregate, for not less than all Terminated
Transactions. Each Close-out Amount will be determined as of the Early
Termination Date or, if that would not be commercially reasonable, as of the
date or dates following the Early Termination Date as would be commercially
reasonable.

Unpaid Amounts in respect of a Terminated Transaction or group of Terminated
Transactions and legal fees and out-of-pocket expenses referred to in Section 11
are to be excluded in all determinations of Close-out Amounts.

In determining a Close-out Amount, the Determining Party may consider any
relevant information, including, without limitation, one or more of the
following types of information: -

(i)   quotations (either firm or indicative) for replacement transactions
supplied by one or more third parties that may take into account the
creditworthiness of the Determining Party at the time the quotation is provided
and the terms of any relevant documentation, including credit support
documentation, between the Determining Party and the third party providing the
quotation;

(ii)  information consisting of relevant market data in the relevant market
supplied by one or more third parties including, without limitation, relevant
rates, prices, yields, yield curves, volatilities, spreads, correlations or
other relevant market data in the relevant market; or

(iii) information of the types described in clause (i) or (ii) above from
internal sources (including any of the Determining Party's Affiliates) if that
information is of the same type used by the Determining Party in the regular
course of its business for the valuation of similar transactions.

The Determining Party will consider, taking into account the standards and
procedures described in this definition, quotations pursuant to clause (i) above
or relevant market data pursuant to clause (ii) above unless the Determining
Party reasonably believes in good faith that such quotations or relevant market
data are not readily available or would produce a result that would not satisfy
those standards. When considering information described in clause (i), (ii) or
(iii) above, the Determining Party may include costs of funding, to the extent
costs of funding are not and would not be a component of the other information
being utilised. Third parties supplying quotations pursuant to clause (i) above
or market data pursuant to clause (ii) above may include, without limitation,
dealers in the relevant markets, end-users of the relevant product, information
vendors, brokers and other sources of market information.

Without duplication of amounts calculated based on information described in
clause (i), (ii) or (iii) above, or other relevant information, and when it is
commercially reasonable to do so, the Determining Party may in addition consider
in calculating a Close-out Amount any loss or cost incurred in connection with
its terminating, liquidating or re-establishing any hedge related to a
Terminated Transaction or group of Terminated Transactions (or any gain
resulting from any of them).

Commercially reasonable procedures used in determining a Close-out Amount may
include the following:--

(1)   application to relevant market data from third parties pursuant to clause
(ii) above or information from internal sources pursuant to clause (iii) above
of pricing or other valuation models that are, at the time of the determination
of the Close-out Amount, used by the Determining Party in the regular course of
its business in pricing or valuing transactions between the Determining Party
and unrelated third parties that are similar to the Terminated Transaction or
group of Terminated Transactions; and

                                       23                           ISDA(R) 2002

(2)   application of different valuation methods to Terminated Transactions or
groups of Terminated Transactions depending on the type, complexity, size or
number of the Terminated Transactions or group of Terminated Transactions.

"CONFIRMATION" has the meaning specified in the preamble.

"CONSENT" includes a consent, approval, action, authorisation, exemption,
notice, filing, registration or exchange control consent.

"CONTRACTUAL CURRENCY" has the meaning specified in Section 8(a).

"CONVENTION COURT" means any court which is bound to apply to the Proceedings
either Article 17 of the 1968 Brussels Convention on Jurisdiction and the
Enforcement of Judgments in Civil and Commercial Matters or Article 17 of the
1988 Lugano Convention on Jurisdiction and the Enforcement of Judgments in Civil
and Commercial Matters.

"CREDIT EVENT UPON MERGER" has the meaning specified in Section 5(b).

"CREDIT SUPPORT DOCUMENT" means any agreement or instrument that is specified as
such in this Agreement.

"CREDIT SUPPORT PROVIDER" has the meaning specified in the Schedule.

"CROSS-DEFAULT" means the event specified in Section 5(a)(vi).

"DEFAULT RATE" means a rate per annum equal to the cost (without proof or
evidence of any actual cost) to the relevant payee (as certified by it) if it
were to fund or of funding the relevant amount plus 1% per annum.

"DEFAULTING PARTY" has the meaning specified in Section 6(a).

"DESIGNATED EVENT" has the meaning specified in Section 5(b)(v).

"DETERMINING PARTY" means the party determining a Close-out Amount.

"EARLY TERMINATION AMOUNT" has the meaning specified in Section 6(e).

"EARLY TERMINATION DATE" means the date determined in accordance with Section
6(a) or 6(b)(iv).

"ELECTRONIC MESSAGES" does not include e-mails but does include documents
expressed in markup languages, and "ELECTRONIC MESSAGING SYSTEM" will be
construed accordingly.

"ENGLISH LAW" means the law of England and Wales, and "ENGLISH" will be
construed accordingly.

"EVENT OF DEFAULT" has the meaning specified in Section 5(a) and, if applicable,
in the Schedule.

"FORCE MAJEURE EVENT" has the meaning specified in Section 5(b).

"GENERAL BUSINESS DAY" means a day on which commercial banks are open for
general business (including dealings in foreign exchange and foreign currency
deposits).

"ILLEGALITY" has the meaning specified in Section 5(b).

                                       24                           ISDA(R) 2002

"INDEMNIFIABLE TAX" means any Tax other than a Tax that would not be imposed in
respect of a payment under this Agreement but for a present or former connection
between the jurisdiction of the government or taxation authority imposing such
Tax and the recipient of such payment or a person related to such recipient
(including, without limitation, a connection arising from such recipient or
related person being or having been a citizen or resident of such jurisdiction,
or being or having been organised, present or engaged in a trade or business in
such jurisdiction, or having or having had a permanent establishment or fixed
place of business in such jurisdiction, but excluding a connection arising
solely from such recipient or related person having executed, delivered,
performed its obligations or received a payment under, or enforced, this
Agreement or a Credit Support Document).

"LAW" includes any treaty, law, rule or regulation (as modified, in the case of
tax matters, by the practice of any relevant governmental revenue authority),
and "UNLAWFUL" will be construed accordingly.

"LOCAL BUSINESS DAY" means (a) in relation to any obligation under Section
2(a)(i), a General Business Day in the place or places specified in the relevant
Confirmation and a day on which a relevant settlement system is open or
operating as specified in the relevant Confirmation or, if a place or a
settlement system is not so specified, as otherwise agreed by the parties in
writing or determined pursuant to provisions contained, or incorporated by
reference, in this Agreement, (b) for the purpose of determining when a Waiting
Period expires, a General Business Day in the place where the event or
circumstance that constitutes or gives rise to the Illegality or Force Majeure
Event, as the case may be, occurs, (c) in relation to any other payment, a
General Business Day in the place where the relevant account is located and, if
different, in the principal financial centre, if any, of the currency of such
payment and, if that currency does not have a single recognised principal
financial centre, a day on which the settlement system necessary to accomplish
such payment is open, (d) in relation to any notice or other communication,
including notice contemplated under Section 5(a)(i), a General Business Day (or
a day that would have been a General Business Day but for the occurrence of an
event or circumstance which would, if it occurred with respect to payment,
delivery or compliance related to a Transaction, constitute or give rise to an
Illegality or a Force Majeure Event) in the place specified in the address for
notice provided by the recipient and, in the case of a notice contemplated by
Section 2(b), in the place where the relevant new account is to be located and
(e) in relation to Section 5(a)(v)(2), a General Business Day in the relevant
locations for performance with respect to such Specified Transaction.

"LOCAL DELIVERY DAY" means, for purposes of Sections 5(a)(i) and 5(d), a day on
which settlement systems necessary to accomplish the relevant delivery are
generally open for business so that the delivery is capable of being
accomplished in accordance with customary market practice, in the place
specified in the relevant Confirmation or, if not so specified, in a location as
determined in accordance with customary market practice for the relevant
delivery.

"MASTER AGREEMENT" has the meaning specified in the preamble.

"MERGER WITHOUT ASSUMPTION" means the event specified in Section 5(a)(viii).

"MULTIPLE TRANSACTION PAYMENT NETTING" has the meaning specified in Section
2(c).

"NON-AFFECTED PARTY" means, so long as there is only one Affected Party, the
other party.

"NON-DEFAULT RATE" means the rate certified by the Non-defaulting Party to be a
rate offered to the Non-defaulting Party by a major bank in a relevant interbank
market for overnight deposits in the applicable currency, such bank to be
selected in good faith by the Non-defaulting Party for the purpose of obtaining
a representative rate that will reasonably reflect conditions prevailing at the
time in that relevant market.

"NON-DEFAULTING PARTY" has the meaning specified in Section 6(a).

"OFFICE" means a branch or office of a party, which may be such party's head or
home office.

"OTHER AMOUNTS" has the meaning specified in Section 6(f).

                                       25                           ISDA(R) 2002

"PAYEE" has the meaning specified in Section 6(f).

"PAYER" has the meaning specified in Section 6(f).

"POTENTIAL EVENT OF DEFAULT" means any event which, with the giving of notice or
the lapse of time or both, would constitute an Event of Default.

"PROCEEDINGS" has the meaning specified in Section 13(b).

"PROCESS AGENT" has the meaning specified in the Schedule.

"RATE OF EXCHANGE" includes, without limitation, any premiums and costs of
exchange payable in connection with the purchase of or conversion into the
Contractual Currency.

"RELEVANT JURISDICTION" means, with respect to a party, the jurisdictions (a) in
which the party is incorporated, organised, managed and controlled or considered
to have its seat, (b) where an Office through which the party is acting for
purposes of this Agreement is located, (c) in which the party executes this
Agreement and (d) in relation to any payment, from or through which such payment
is made.

"SCHEDULE" has the meaning specified in the preamble.

"SCHEDULED SETTLEMENT DATE" means a date on which a payment or delivery is to be
made under Section 2(a)(i) with respect to a Transaction.

"SPECIFIED ENTITY" has the meaning specified in the Schedule.

"SPECIFIED INDEBTEDNESS" means, subject to the Schedule, any obligation (whether
present or future, contingent or otherwise, as principal or surety or otherwise)
in respect of borrowed money.

"SPECIFIED TRANSACTION" means, subject to the Schedule, (a) any transaction
(including an agreement with respect to any such transaction) now existing or
hereafter entered into between one party to this Agreement (or any Credit
Support Provider of such party or any applicable Specified Entity of such party)
and the other party to this Agreement (or any Credit Support Provider of such
other party or any applicable Specified Entity of such other party) which is not
a Transaction under this Agreement but (i) which is a rate swap transaction,
swap option, basis swap, forward rate transaction, commodity swap, commodity
option, equity or equity index swap, equity or equity index option, bond option,
interest rate option, foreign exchange transaction, cap transaction, floor
transaction, collar transaction, currency swap transaction, cross-currency rate
swap transaction, currency option, credit protection transaction, credit swap,
credit default swap, credit default option, total return swap, credit spread
transaction, repurchase transaction, reverse repurchase transaction,
buy/sell-back transaction, securities lending transaction, weather index
transaction or forward purchase or sale of a security, commodity or other
financial instrument or interest (including any option with respect to any of
these transactions) or (ii) which is a type of transaction that is similar to
any transaction referred to in clause (i) above that is currently, or in the
future becomes, recurrently entered into in the financial markets (including
terms and conditions incorporated by reference in such agreement) and which is a
forward, swap, future, option or other derivative on one or more rates,
currencies, commodities, equity securities or other equity instruments, debt
securities or other debt instruments, economic indices or measures of economic
risk or value, or other benchmarks against which payments or deliveries are to
be made, (b) any combination of these transactions and (c) any other transaction
identified as a Specified Transaction in this Agreement or the relevant
confirmation.

"STAMP TAX" means any stamp, registration, documentation or similar tax.

"STAMP TAX JURISDICTION" has the meaning specified in Section 4(e).

                                       26                           ISDA(R) 2002

"TAX" means any present or future tax, levy, impost, duty, charge, assessment or
fee of any nature (including interest, penalties and additions thereto) that is
imposed by any government or other taxing authority in respect of any payment
under this Agreement other than a stamp, registration, documentation or similar
tax.

"TAX EVENT" has the meaning specified in Section 5(b).

"TAX EVENT UPON MERGER" has the meaning specified in Section 5(b).

"TERMINATED TRANSACTIONS" means, with respect to any Early Termination Date, (a)
if resulting from an Illegality or a Force Majeure Event, all Affected
Transactions specified in the notice given pursuant to Section 6(b)(iv), (b) if
resulting from any other Termination Event, all Affected Transactions and (c) if
resulting from an Event of Default, all Transactions in effect either
immediately before the effectiveness of the notice designating that Early
Termination Date or, if Automatic Early Termination applies, immediately before
that Early Termination Date.

"TERMINATION CURRENCY" means (a) if a Termination Currency is specified in the
Schedule and that currency is freely available, that currency, and (b)
otherwise, euro if this Agreement is expressed to be governed by English law or
United States Dollars if this Agreement is expressed to be governed by the laws
of the State of New York.

"TERMINATION CURRENCY EQUIVALENT" means, in respect of any amount denominated in
the Termination Currency, such Termination Currency amount and, in respect of
any amount denominated in a currency other than the Termination Currency (the
"Other Currency"), the amount in the Termination Currency determined by the
party making the relevant determination as being required to purchase such
amount of such Other Currency as at the relevant Early Termination Date, or, if
the relevant Close-out Amount is determined as of a later date, that later date,
with the Termination Currency at the rate equal to the spot exchange rate of the
foreign exchange agent (selected as provided below) for the purchase of such
Other Currency with the Termination Currency at or about 11:00 a.m. (in the city
in which such foreign exchange agent is located) on such date as would be
customary for the determination of such a rate for the purchase of such Other
Currency for value on the relevant Early Termination Date or that later date.
The foreign exchange agent will, if only one party is obliged to make a
determination under Section 6(e), be selected in good faith by that party and
otherwise will be agreed by the parties.

"TERMINATION EVENT" means an Illegality, a Force Majeure Event, a Tax Event, a
Tax Event Upon Merger or, if specified to be applicable, a Credit Event Upon
Merger or an Additional Termination Event.

"TERMINATION RATE" means a rate per annum equal to the arithmetic mean of the
cost (without proof or evidence of any actual cost) to each party (as certified
by such party) if it were to fund or of funding such amounts.

"THRESHOLD AMOUNT" means the amount, if any, specified as such in the Schedule.

"TRANSACTION" has the meaning specified in the preamble.

"UNPAID AMOUNTS" owing to any party means, with respect to an Early Termination
Date, the aggregate of (a) in respect of all Terminated Transactions, the
amounts that became payable (or that would have become payable but for Section
2(a)(iii) or due but for Section 5(d)) to such party under Section 2(a)(i) or
2(d)(i)(4) on or prior to such Early Termination Date and which remain unpaid as
at such Early Termination Date, (b) in respect of each Terminated Transaction,
for each obligation under Section 2(a)(i) which was (or would have been but for
Section 2(a)(iii) or 5(d)) required to be settled by delivery to such party on
or prior to such Early Termination Date and which has not been so settled as at
such Early Termination Date, an amount equal to the fair market value of that
which was (or would have been) required to be delivered and (c) if the Early
Termination Date results from an Event of Default, a Credit Event Upon Merger or
an Additional Termination Event in respect of which all outstanding Transactions
are Affected Transactions, any Early Termination Amount due prior to such Early
Termination Date and which remains unpaid as of such Early Termination Date, in
each case together with any amount of interest accrued or other

                                       27                           ISDA(R) 2002

compensation in respect of that obligation or deferred obligation, as the case
may be, pursuant to Section 9(h)(ii)(1) or (2), as appropriate. The fair market
value of any obligation referred to in clause (b) above will be determined as of
the originally scheduled date for delivery, in good faith and using commercially
reasonable procedures, by the party obliged to make the determination under
Section 6(e) or, if each party is so obliged, it will be the average of the
Termination Currency Equivalents of the fair market values so determined by both
parties.

"WAITING PERIOD" means:--

(a)   in respect of an event or circumstance under Section 5(b)(i), other than
in the case of Section 5(b)(i)(2) where the relevant payment, delivery or
compliance is actually required on the relevant day (in which case no Waiting
Period will apply), a period of three Local Business Days (or days that would
have been Local Business Days but for the occurrence of that event or
circumstance) following the occurrence of that event or circumstance; and

(b)   in respect of an event or circumstance under Section 5(b)(ii), other than
in the case of Section 5(b)(ii)(2) where the relevant payment, delivery or
compliance is actually required on the relevant day (in which case no Waiting
Period will apply), a period of eight Local Business Days (or days that would
have been Local Business Days but for the occurrence of that event or
circumstance) following the occurrence of that event or circumstance.

IN WITNESS WHEREOF the parties have executed this document on the respective
dates specified below with effect from the date specified on the first page of
this document.

                                               WELLS FARGO BANK, N.A., AS
                                               SUPPLEMENTAL INTEREST TRUST
                                               TRUSTEE, ON BEHALF OF BANC OF
                                               AMERICA FUNDING 2006-G
BANK OF AMERICA, N.A.                          SUPPLEMENTAL INTEREST TRUST
--------------------------                     ---------------------------------
   (Name of Party)                                    (Name of Party)

By: ______________________                     By: _____________________________

    Name:                                          Name:

    Title:                                         Title:

    Date:                                          Date:

                                       28                           ISDA(R) 2002

                                    ISDA (R)

              International Swaps and Derivatives Association, Inc.

                                    SCHEDULE
                                     to the
                              2002 Master Agreement

                            dated as of July 31, 2006

                                     between

                             BANK OF AMERICA, N.A.,
                         a national banking association
     organized and existing under the laws of the United States of America,

                                   ("Party A")

                                       and

       WELLS FARGO BANK, N.A., AS SUPPLEMENTAL INTEREST TRUST TRUSTEE, ON
      BEHALF OF BANC OF AMERICA FUNDING 2006-G SUPPLEMENTAL INTEREST TRUST
                                     a trust
         organized and existing under the laws of the State of New York

                                   ("Party B")

Capitalized terms used herein and not otherwise defined shall have the meaning
specified in that certain Pooling and Servicing Agreement, dated July 31, 2006
(the "Pooling and Servicing Agreement") between Banc of America Funding
Corporation, as depositor, Wells Fargo Bank, N.A., as servicer and securities
administrator, and U.S. Bank National Association, as trustee. For the avoidance
of doubt, references herein to a particular "Section" of this Agreement are
references to the corresponding sections of the Master Agreement.

                         PART 1: TERMINATION PROVISIONS

(a)   "SPECIFIED ENTITY" means in relation to Party A for the purpose of
      Sections 5(a)(v), 5(a)(vi), 5(a)(vii) and 5(b)(v):

      None;

      "SPECIFIED ENTITY" means in relation to Party B for the purpose of
      Sections 5(a)(v), 5(a)(vi), 5(a)(vii) and 5(b)(v):

      None.

(b)   "SPECIFIED TRANSACTION" will have the meaning specified in Section 14.

                                       29                           ISDA(R) 2002

(c)   The EVENTS OF DEFAULT specified under Sections 5(a)(ii), 5(a)(iii),
      5(a)(iv), 5(a)(v) and 5(a)(vi) of the Agreement will not apply to Party A
      or to Party B. With respect to Party B only , the provisions of Section
      5(a)(vii) clause 2 will not be applicable as an Event of Default to the
      extent such event relates to nonpayment of indebtedness other than that of
      the related class of Certificates.

(d)   The "FORCE MAJURE EVENT" provisions of Section 5(b)(ii)
            will not apply to Party A
            will not apply to Party B.

(e)   The "CREDIT EVENT UPON MERGER" provisions of Section 5(b)(v)
            will not apply to Party A
            will not apply to Party B.

(f)   The "AUTOMATIC EARLY TERMINATION" provision of Section 6(a)
            will not apply to Party A
            will not apply to Party B.

(g)   "TERMINATION CURRENCY" means United States Dollars.

(h)   ADDITIONAL TERMINATION EVENT will apply. Each of the following events
      shall constitute an Additional Termination Event hereunder:

      (i)         A termination pursuant to Section 10.01 of the Pooling and
            Servicing Agreement. For purposes of Section 6 of this Agreement,
            Party B shall be the sole Affected Party.

      (ii)        An amendment and/or supplement to the Pooling and Servicing
            Agreement is made without the prior written consent of Party A (such
            consent not to be unreasonably withheld), if such amendment and/or
            supplement would: (a) adversely affect any of Party A's rights or
            obligations under this Agreement; or (b) modify the obligations of,
            or impair the ability of, Party B to fully perform any of Party B's
            obligations under this Agreement. For purposes of Section 6 of this
            Agreement, Party B shall be the sole Affected Party.

(h)   DOWNGRADE OF PARTY A. If a Ratings Event (as defined below) shall occur
      and be continuing with respect to Party A, then Party A shall (A) within 5
      General Business Days of such Ratings Event, give notice to Party B of the
      occurrence of such Ratings Event, and (B) use reasonable efforts to
      transfer (at its own cost) Party A's rights and obligations under this
      Agreement and all Confirmations to another party, subject to satisfaction
      of the Rating Agency Condition (as defined below). Unless such a transfer
      by Party A has occurred within 20 Business Days after the occurrence of a
      Ratings Event, Party A shall post Eligible Collateral (as designated in
      the approved Credit Support Annex), to secure Party B's exposure or
      potential exposure to Party A, and such Eligible Collateral shall be
      provided in accordance with a Credit Support Annex to be attached hereto
      and made a part hereof within 20 Business Days after the occurrence of a
      Ratings Event. The Eligible Collateral to be posted and the Credit Support
      Annex to be executed and delivered shall be subject to the Rating Agency
      Condition. Notwithstanding the addition of the Credit Support Annex and
      the posting of Eligible Collateral, Party A shall continue to use
      reasonable efforts to transfer its rights and obligations under this
      Agreement to an acceptable third party; provided, however, that Party A's
      obligations to find a transferee and to post Eligible Collateral under
      such Credit Support Annex shall remain in effect only for so long as a
      Ratings Event is continuing with respect to Party A. For the purpose of
      this Part 1(h), a "Ratings Event"

                                       30                           ISDA(R) 2002

      shall occur with respect to Party A if the long-term and short-term senior
      unsecured deposit ratings of Party A cease to be at least A and A-1 by
      Standard & Poor's Ratings Service or any successor thereto ("S&P") and at
      least A1 and P-1 by Moody's Investors Service, Inc. or any successor
      thereto ("Moody's") to the extent such obligations are rated by S&P or
      Moody's or Fitch. "Rating Agency Condition" means, with respect to any
      action taken or to be taken, a condition that is satisfied when S&P and
      Moody's have confirmed that such action would not result in the downgrade,
      qualification (if applicable) or withdrawal of the rating then assigned by
      such Rating Agency to the applicable class of Certificates. In addition,
      if the long-term unsecured and unsubordinated debt rating of Party A
      ceases to be at least BBB- or is withdrawn by S&P, then Party A shall (at
      its own cost) (A) within 10 General Business Days of such event use
      reasonable efforts to transfer Party A's rights and obligations under this
      Agreement to another party, subject to satisfaction of the Rating Agency
      Condition or (B) obtain a guaranty or contingent agreement of another
      person, which has the ratings set forth in the definition of "Ratings
      Event" to honor Party A's obligations under this Agreement, subject to
      satisfaction of the Rating Agency Condition.

      The failure by Party A to post Eligible Collateral in accordance herewith
      or to transfer its rights and obligations hereunder shall constitute an
      Additional Termination Event for which Party A shall be the sole Affected
      Party.

                           PART 2: TAX REPRESENTATIONS

(a)   PAYER TAX REPRESENTATIONS. For the purpose of Section 3(e) of this
      Agreement, Party A and Party B will make the following representation:-

      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 9(h) of this Agreement) to be
      made by it to the other party under this Agreement. In making this
      representation, it may rely on (i) 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, except that
      it will not be a breach of this representation where reliance is placed on
      clause (ii) above 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.

                                       31                           ISDA(R) 2002

(b)   PAYEE TAX REPRESENTATIONS. For the purpose of Section 3(f) of this
      Agreement, Party A and Party B will make the following representations
      specified below, if any:-

      (i)   The following representations will apply to Party A:

            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 and an "Exempt recipient"
            (within the meaning of Section 1.6049-4(c)(1)(ii) of United States
            Treasury Regulations) for United States federal income tax purposes.

      (ii)  The following representations will apply to Party B:

            It is a New York law common trust and 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
            and an "Exempt recipient" (within the meaning of Section
            1.6049-4(c)(1)(ii) of United States Treasury Regulations) for United
            States federal income tax purposes.

                     PART 3: AGREEMENT TO DELIVER DOCUMENTS

For the purpose of Section 4(a)(i) and (ii) of this Agreement, each party agrees
to deliver the following documents:

(a)   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 and Party B    Internal Revenue Service       (i) Before the first Payment Date
                             Form W-9                       under this Agreement, (ii) promptly
                                                            upon reasonable demand by the other
                                                            party and (iii) promptly upon learning
                                                            that any such form previously provided
                                                            has become obsolete or incorrect

                                       32                           ISDA(R) 2002

(b)   Other documents to be delivered are:--

   PARTY REQUIRED
   TO DELIVER                                                 DATE BY WHICH TO          COVERED BY SECTION
   DOCUMENT         FORM/DOCUMENT/CERTIFICATE                 BE DELIVERED              3(D) REPRESENTATION
   --------------   --------------------------------------    ----------------------    -------------------

   Party A          Annual Report of Bank of America          To be made                 Yes
                    Corporation containing audited,           available on
                    consolidated financial statements         www.bankofamerica.com/
                    certified by independent certified        investor/ as soon as
                    public accountants and prepared in        available and in
                    accordance with generally accepted        any event within
                    accounting principles in the country      90 days after the
                    in which such party is organized          end of each fiscal
                                                              year of Party A

   Party A          Quarterly Financial Statements of         To be made                 Yes
                    Bank of America Corporation               available on
                    containing unaudited, consolidated        www.bankofamerica.com/
                    financial statements of such party's      investor/ as soon as
                    fiscal quarter prepared in accordance     available and in
                    with generally accepted accounting        any event within
                    principles in the country in which        30 days after the
                    such party is organized                   end of each fiscal
                                                              quarter of Party A

   Party B          Monthly statement setting forth the       To be made                 Yes
                    information specified in Section 5.04     available on
                    of the Pooling and Servicing Agreement    www.ctslink.com on
                                                              each Distribution
                                                              Date

   Party A and      Certified copies of all corporate,        Upon execution and         Yes
   Party B          partnership or membership                 delivery of this
                    authorizations, as the case may be,       Agreement
                    and any other documents with respect
                    to the execution, delivery and
                    performance of this Agreement and any
                    Credit Support Document

                                       33                           ISDA(R) 2002

   PARTY REQUIRED
   TO DELIVER                                                 DATE BY WHICH TO          COVERED BY SECTION
   DOCUMENT         FORM/DOCUMENT/CERTIFICATE                 BE DELIVERED              3(D) REPRESENTATION
   --------------   --------------------------------------    ----------------------    -------------------

   Party A and      Certificate of authority and specimen     Upon execution and         Yes
   Party B          signatures of individuals executing       delivery of this
                    this Agreement and any Credit Support     Agreement and
                    Document                                  thereafter upon
                                                              request of the
                                                              other party

   Party B          Credit Support Document                   Upon execution and         Yes
                                                              delivery of this
                                                              Agreement

   Party A and      Legal opinion from counsel for such       Upon execution and         No
   Party B          party concerning due authorization,       delivery of this
                    enforceability and related matters,       Agreement
                    addressed to the other party and
                    acceptable to the other party.

                              PART 4: MISCELLANEOUS

(a)   ADDRESS FOR NOTICES. For the purpose of Section 12(a) of this Agreement:-

      Address for notice or communications to Party A:

            Bank of America, N.A.
            Sears Tower
            233 South Wacker Drive, Suite 2800
            Chicago, IL 60606
            Attention: Swap Operations
            Telephone No.: 312-234-2732
            Facsimile No.: 312-234-3603

      with a copy to:

            Bank of America, N.A.
            100 N. Tryon St., NC1-007-13-01
            Charlotte, North Carolina 28255
            Attention: Capital Markets Documentation
            Facsimile No.: 704-386-4113

                                       34                           ISDA(R) 2002

      Address for monthly statements to Party A:

            Bank of America, N.A.
            214 North Tryon Street, 14th Floor
            Charlotte, North Carolina 28255
            Attention: Allen Price
            Telephone No.: 704.388.8066
            Facsimile No.: 704.340.4915

      Address for notice or communications to Party B:

            c/o Wells Fargo Bank, N.A.
            9062 Old Annapolis Road
            Columbia, MD 21045
            Attention:  Client Manager - BAFC 2006-G
            Telephone No.: 410.884.2000
            Facsimile No.: 410.715.2380

(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(b) of this Agreement:--

      Party A is a Multibranch Party and may enter into a Transaction through
      its Charlotte, North Carolina, Chicago, Illinois, San Francisco,
      California, New York, New York, Boston, Massachusetts or London, England
      Office or such other Office as may be agreed to by the parties in
      connection with a Transaction.

      Party B is not a Multibranch Party.

(e)   CALCULATION AGENT. The Calculation Agent is Party A.

(f)   CREDIT SUPPORT DOCUMENT. Details of any Credit Support Document:-

            Each of the following, as amended, extended, supplemented or
            otherwise modified in writing from time to time, is a "Credit
            Support Document":

      In relation to Party A, none, except as made pursuant to Part 1(h).

      In relation to Party B, the Pooling and Servicing Agreement.

                                       35                           ISDA(R) 2002

(g)   CREDIT SUPPORT PROVIDER.

      Credit Support Provider means in relation to Party A: Not applicable.

      Credit Support Provider means in relation to Party B: Not applicable.

(h)   GOVERNING LAW. This Agreement will be governed by and construed in
      accordance with the laws of the State of New York (without reference to
      its conflict of laws provisions, except for Sections 5-1401 and 5-1402 of
      the New York General Obligations Law).

(i)   NETTING OF PAYMENTS. Unless the parties otherwise so agree, "Multiple
      Transaction Payment Netting" will not apply for the purpose of Section
      2(c) of this Agreement.

(j)   "AFFILIATE" will have the meaning specified in Section 14 of this
      Agreement.

(k)   ABSENCE OF LITIGATION. For the purpose of Section 3(c):- "Specified
      Entity" means in relation to Party A, none;

      "Specified Entity" means in relation to Party B, none.

(l)   NO AGENCY. The provisions of Section 3(g) will apply to this Agreement.

(m)   ADDITIONAL REPRESENTATION will apply. For the purpose of Section 3 of this
      Agreement, each of the following will constitute an Additional
      Representation:-

      RELATIONSHIP BETWEEN PARTIES. Each party will be deemed to represent to
      the other party on the date on which it enters into a Transaction (and on
      the date of any amendment, extension or other modification of such
      Transaction) that (absent a written agreement between the parties that
      expressly imposes affirmative obligations to the contrary for that
      Transaction):-

      (A)   NON-RELIANCE. (1) it is acting for its own account and it has made
            its own independent decisions to enter into that Transaction and as
            to whether that Transaction is appropriate or proper for it based
            upon its own judgment and upon advice from such advisors as it has
            deemed necessary; (2) it is not relying on any communication
            (written or oral) of the other party as investment advice or as a
            recommendation to enter into that Transaction, it being understood
            that information and explanations related to the terms and
            conditions of a Transaction shall not be considered investment
            advice or a recommendation to enter into that Transaction; (3) no
            communication (written or oral) received from the other party will
            be deemed to be an assurance or guarantee as to the expected results
            of that Transaction; (4) it is capable of evaluating and
            understanding (on its own behalf or though independent professional
            advice), and understand and accepts, the terms, conditions and risks
            of that Transaction; and (5) it is capable of assuming, and assumes
            the financial and other risks of that Transaction.

      (B)   ASSESSMENT AND UNDERSTANDING. It is capable of assessing the merits
            of and understanding (on its own behalf or through independent
            professional advice), and understands and accepts, the terms,
            conditions and risks of that Transaction. It is also capable of
            assuming, and assumes, the risks of that Transaction.

      (C)   STATUS OF PARTIES. The other party is not acting as a fiduciary for
            or an advisor to it in respect of that Transaction.

                                       36                           ISDA(R) 2002

      (D)   ELIGIBLE CONTRACT PARTICIPANT. It is an "eligible contract
            participant" as defined in Section 1a(12) of the U.S. Commodity
            Exchange Act, 7 U.S.C. Section 1a(12).

      (E)   It has entered into this Agreement (including each Transaction
            evidenced hereby) in conjunction with its line of business
            (including financial intermediation services) or the financing of
            its business.

      (F)   It is entering into this Agreement, any Credit Support Document to
            which it is a party, each Transaction and any other documentation
            relating to this Agreement or any Transaction as principal (and not
            as agent or in any other capacity, fiduciary or otherwise).

      (G)   The material terms of this Agreement, any Credit Support Document to
            which it is a party, each Transaction and any other documentation
            relating to this Agreement (other than price and quantity) have been
            subject to individual negotiation.

(n)   RECORDING OF CONVERSATIONS. Each party (i) consents to the recording of
      telephone conversations between the trading, marketing and other relevant
      personnel of the parties in connection with this Agreement or any
      potential Transaction and (ii) agrees, to the extent permitted by
      applicable law, that recordings may be submitted in evidence in any
      Proceedings.

                            PART 5: OTHER PROVISIONS

(a)   WAIVER OF RIGHT TO TRIAL BY JURY. EACH PARTY HEREBY IRREVOCABLY WAIVES ANY
      AND ALL RIGHTS TO TRIAL BY JURY WITH RESPECT TO ANY LEGAL PROCEEDING
      ARISING OUT OF OR RELATING TO THIS AGREEMENT, ANY CREDIT SUPPORT DOCUMENT
      OR ANY TRANSACTION CONTEMPLATED HEREBY.

(b)   2002 MASTER AGREEMENT PROTOCOL. Annexes 1 to 18 and Section 6 of the ISDA
      2002 Master Agreement Protocol as published by the International Swaps and
      Derivatives Association, Inc. on July 15, 2003 are incorporated into and
      apply to this Agreement. References in those definitions and provisions to
      any ISDA Master Agreement will be deemed to be references to this Master
      Agreement.

(c)   CONSENT TO DISCLOSURE. Party B consents to Party A effecting such
      disclosure as Party A may deem appropriate to enable Party A to transfer
      Party B's records and information to process and execute Party B's
      instructions, or in pursuance of Party A's or Party B's commercial
      interest, to any of its Affiliates. For the avoidance of doubt, Party B's
      consent to disclosure includes the right on the part of Party A to allow
      access to any intended recipient of Party B's information to the records
      of Party A by any means.

(d)   USA PATRIOT ACT NOTICE. Party A hereby notifies Party B that pursuant to
      the requirements of the USA Patriot Act (Title III of Pub. L. 107-56
      (signed into law October 26, 2001)) (the "Act"), it is required to obtain,
      verify and record information that identifies Party B, which information
      includes the name and address of Party B and other information that will
      allow Party A to identify Party B in accordance with the Act.

(e)   REPRESENTATIONS. Section 3(a)(iii) is hereby amended by inserting the
      words "or investment policies, or guidelines, procedures, or
      restrictions," immediately following the word "documents."

(f)   FINANCIAL STATEMENTS. Section 3(d) is hereby amended by adding in the
      third line thereof after the word "respect" and before the period:

                                       37                           ISDA(R) 2002

      "or, in the case of financial statements, a fair presentation of the
      financial condition of the relevant party."

(g)   FURNISHING SPECIFIED INFORMATION. Section 4(a)(iii) is hereby amended by
      inserting "promptly upon the earlier of (1)" in lieu of the word "upon" at
      the beginning thereof and inserting "or (2) such party learning that the
      form or document is required" before the word "any" on the first line
      thereof.

(h)   SET-OFF. Without affecting the provisions of this Agreement requiring the
      calculation of certain net payment amounts, as a result of an Event of
      Default or Termination Event or otherwise, all payments under this
      Agreement will be made without setoff or counterclaim. Section 6(f) of
      this Agreement is deleted in its entirety.

(i)   ADDITIONAL ACKNOWLEDGMENTS AND AGREEMENTS OF THE PARTIES.

      (i)   No Amendment without Prior Confirmation by Rating Agencies. Section
            9(b) of this Agreement is hereby amended by adding the following at
            the end of such Section: ", and the Rating Agencies confirm that
            such amendment will not cause the reduction, suspension or
            withdrawal of the then current rating on any of the Certificates,
            unless such amendment clarifies any term or provision, corrects any
            inconsistency, cures any ambiguity, or corrects any typographical
            error in the Agreement (in which case copies of such proposed
            amendment will be provided to the Rating Agencies prior to the
            effectiveness of such amendment)."

      (ii)  Consent by Party A to Amendments to Certain Documents. Before any
            amendment or supplement is made to the Pooling and Servicing
            Agreement which would adversely affect any of Party A's rights or
            obligations under this Agreement, or modify the obligations of Party
            B or impair the ability of Party B to fully perform any of Party B's
            obligations under this Agreement, Party B shall provide Party A with
            a copy of the proposed amendment or supplement and shall obtain the
            written consent of Party A (which consent shall not be unreasonably
            withheld) to such amendment or supplement prior to its adoption, as
            well as satisfy the Rating Agency Condition. For the avoidance of
            doubt, the Pooling and Servicing Agreement may be amended,
            supplemented or otherwise modified in accordance with the terms
            thereof without the consent of Party A to cure any typographical
            error or ambiguity, provided that such actions shall not adversely
            affect in any respects the interests of Party A.

(j)   METHOD OF NOTICE. Section 12(a)(ii) of this Agreement is deleted in its
      entirety.

(k)   DEFINITIONS. Capitalized terms used within this Agreement but not defined
      herein or therein shall have the meanings assigned to such terms in the
      Pooling and Servicing Agreement.

(l)   FURTHER REPRESENTATIONS OF PARTY B:

      Party B represents and warrants at all times hereunder that (x) it is not
      an "employee benefit plan" subject to Section 406 of the Employee
      Retirement Income Security Act of 1974, as amended ("ERISA"), or a "plan"
      subject to Section 4975 of the Internal Revenue Code of 1986, as amended
      (the "CODE"), or any person who is acting on behalf of such an employee
      benefit plan (collectively, a "PLAN") in connection with any Transaction
      under this Agreement or (y) any Plan that purchases a Certificate issued
      by the Issuing Entity while this Agreement is in effect (i) shall

                                       38                           ISDA(R) 2002

      represent or shall be deemed to represent that the purchase of such
      Certificate is in reliance on at least one of Prohibited Transaction Class
      Exemption 84-14, 90-1, 91-38, 95-60 or 96-23 or (ii) shall provide an
      opinion of counsel which states that such purchase is permissible under
      applicable law and will not result in a non-exempt prohibited transaction
      under ERISA or Section 4975 of the Code.

(m)   TRANSFER. Party A may assign its rights and obligations under this
      Agreement to any entity so long as the Rating Agency Condition is
      satisfied.

(n)   NON-PETITION. Party A hereby agrees that it will not, prior to the date
      which is one year and one day after all Certificates (as such term is
      defined in the Pooling and Servicing Agreement) issued by the Issuing
      Entity pursuant to the Pooling and Servicing Agreement have been paid in
      full, acquiesce, petition or otherwise invoke or cause Party B, or Banc of
      America Funding 2006-G Trust (the "Issuing Entity") to invoke the process
      of any court or governmental authority for the purpose of commencing or
      sustaining a case against Party B or the Issuing Entity under any federal
      or state bankruptcy, insolvency or similar law or for the purpose of
      appointing a receiver, liquidator, assignee, trustee, custodian,
      sequestrator or other similar official for Party B or the Issuing Entity
      or any substantial part of the property of Party B or the Issuing Entity,
      or for the purpose of ordering the winding up or liquidation of the
      affairs of Party B or the Issuing Entity. Nothing herein shall prevent
      Party A from participating in any such proceeding once commenced.

(o)   LIMITED RECOURSE. The obligations of Party B under this Agreement are
      limited recourse obligations of Party B, payable solely from the amounts
      provided under the Pooling and Servicing Agreement, subject to and in
      accordance with the terms of the Pooling and Servicing Agreement, and,
      following payment of such amounts, any claims of Party A against Party B
      shall be extinguished. It is understood that the foregoing provisions
      shall not (i) prevent recourse to the assets of Party B for the sums due
      or to become due under any security, instrument or agreement which is
      secured by such assets (subject to the priority of payments set forth in
      the Pooling and Servicing Agreement) or (ii) constitute a waiver, release
      or discharge of any obligation of Party B arising under this Agreement
      until such assets have been realized and the proceeds applied in
      accordance with the Pooling and Servicing Agreement, whereupon any
      outstanding obligation of Party B under this Agreement shall be
      extinguished. Notwithstanding the foregoing (or anything to the contrary
      in this Agreement), Party B shall be liable for its own fraud, negligence,
      willful misconduct and/or bad faith.

(p)   JURISDICTION. Section 13(b) of this Agreement is hereby amended by: (i)
      deleting the word "non-" in the second line of subparagraph (i)(2)
      thereof; (ii) adding the words "except as necessary to pursue enforcement
      of the judgment of any such court in other jurisdictions" to the last line
      of subparagraph (i)(2) thereof; and (iii) deleting paragraph (iii)
      thereof.

(q)   COMPLIANCE WITH REGULATION AB. In connection with the Pooling and
      Servicing Agreement, Party B represents that this Agreement is a
      derivative instrument as described in Item 1115 of Regulation AB under the
      Securities Act of 1933 and the Securities Exchange Act of 1934, as amended
      ("Regulation AB"), and not a credit support contract described in Item
      1114 of Regulation AB.

      (a) In accordance with Regulation AB, Party A represents that: (i) the
      name of the derivative counterparty is Bank of America, N.A.; (ii) the
      organizational form of the derivative counterparty is a national banking
      association organized under the laws of the United States; and (iii) the
      general character of the business of the derivative counterparty is to be
      engaged in a general

                                       39                           ISDA(R) 2002

      consumer banking, commercial banking and trust business, offering a wide
      range of commercial, corporate, international, financial market, retail
      and fiduciary banking services.

      (b) Party A has been advised that the Depositor and the Issuing Entity are
      required under Regulation AB to disclose certain financial information
      regarding Party A depending on the applicable "significance percentage" of
      this Agreement, as calculated from time to time in accordance with Item
      1115 of Regulation AB (as discussed in the Pooling and Servicing
      Agreement). Party A has been advised by the Sponsor that the applicable
      "significance percentage" of this Agreement is less than 10% as of the
      date of initial issuance of the Certificates, and accordingly, no
      financial information regarding Party A need be disclosed as of such date
      in accordance with Item 1115 of Regulation AB.

      (c) If required, Party A shall provide to the Securities Administrator the
      applicable financial information described under Item 1115(b)(1) or
      (b)(2), as applicable, of Regulation AB, including agreed upon procedures
      letters and related consents of certified public accountants with respect
      thereto (the "Reg AB Information") within five (5) Local Business Days of
      receipt of a written request for such Reg AB Information by Party B (the
      "Response Period"), so long as the Sponsor has reasonably determined, in
      good faith, that such information is required under Regulation AB;
      provided, however, that if Party A, in good faith, determines that it is
      unable to provide the Reg AB Information within the Response Period, then,
      subject to the Rating Agency Condition, Party A shall use reasonable
      efforts to cause a Reg AB Approved Entity (as defined below) to replace
      Party A as party to this Agreement on terms substantially similar to this
      Agreement and provide the required Reg AB Information prior to the
      expiration of the Response Period; and provided, further, that if Party A
      makes such determination and is not able to cause such a replacement, an
      Additional Termination Event shall occur, as to which Party A shall be the
      sole Affected Party.

      (d) "Reg AB Approved Entity" means any entity that (i) has the ability to
      provide the Reg AB Information and (ii) meets or exceeds the Approved
      Rating Thresholds (as defined below). If Party B requests (in writing) the
      Reg AB Information from Party A, then Party B shall promptly (and in any
      event within two (2) Local Business Days of the date of the request for
      the Reg AB Information) provide Party A with a written explanation of how
      the significance percentage was calculated.

      (e) "Approved Rating Thresholds" means an entity that has a long-term and
      short-term senior unsecured deposit rating of at least A and A-1 by S&P
      and A1 and P-1 by Moody's, to the extent such obligations are rated by S&P
      and Moody's.

(r)   SAFE HARBORS. Each party to this Agreement acknowledges that:

      (i) This Agreement, including any Credit Support Document (other than the
      Pooling and Servicing Agreement), is a "master netting agreement" as
      defined in the U.S. Bankruptcy Code (the "Code"), and a "netting contract"
      as defined in the netting provisions of the Federal Deposit Insurance
      Corporation Improvement Act of 1991 ("FDICIA"), and this Agreement,
      including any Credit Support Document, and each Transaction hereunder is
      of a type set forth in Section 561(a)(1)-(5) of the Code;

      (ii) Party A is a "master netting agreement participant," a "financial
      institution," a "financial participant," a "forward contract merchant" and
      a "swap participant" as defined in the Code, and a "financial institution"
      as defined in the netting provisions of FDICIA;

                                       40                           ISDA(R) 2002

      (iii) The remedies provided herein, and in any Credit Support Document
      (other than the Pooling and Servicing Agreement), are the remedies
      referred to in Section 561(a), Sections 362(b)(6), (7), (17) and (27), and
      Section 362(o) of the Code, and in Section 11(e)(8)(A) and (C) of the
      Federal Deposit Insurance Act;

      (iv) All transfers of cash, securities or other property under or in
      connection with this Agreement, any Credit Support Document (other than
      the Pooling and Servicing Agreement) or any Transaction hereunder are
      "margin payments," "settlement payments" and "transfers" under Sections
      546(e), (f), (g) or (j), and under Section 548(d)(2) of the Code; and

      (v) Each obligation under this Agreement, any Credit Support Document
      (other than the Pooling and Servicing Agreement) or any Transaction
      hereunder is an obligation to make a "margin payment," "settlement
      payment" and "payment" within the meaning of Sections 362, 560 and 561 of
      the Code.

(s)   LIMITATION OF SUPPLEMENTAL INTEREST TRUST TRUSTEE'S LIABILITY. It is
      expressly understood and agreed by the parties hereto that insofar as this
      Agreement or the Confirmation is executed by Wells Fargo Bank, N.A., (i)
      the same is executed and delivered by it not in its individual capacity
      but solely as Supplemental Interest Trust Trustee under (and as defined
      in) the Pooling and Servicing Agreement, in the exercise of the powers and
      authority conferred upon and vested in it thereunder and pursuant to
      instructions set forth herein, (ii) each of the representations,
      undertakings and other agreements herein made on behalf of Party B is made
      and intended not as a personal representation, undertaking or agreement of
      Wells Fargo Bank, N.A., but is made and intended solely for the purpose of
      binding only Party B, and (iii) under no circumstances shall Wells Fargo
      Bank, N.A., in its individual capacity, be personally liable for the
      payment of any indebtedness or expenses or be personally liable for the
      breach or failure of any obligation, representation, warranty, covenant or
      other agreement made or undertaken by it on behalf of Party B under this
      Agreement or any Confirmation hereunder. Notwithstanding the foregoing (or
      anything to the contrary herein), Wells Fargo Bank, N.A. shall be liable
      for its own fraud, negligence, willful misconduct and/or bad faith.

                                       41                           ISDA(R) 2002

IN WITNESS WHEREOF, the parties have executed this Schedule by their duly
authorized officers as of the date hereof.

BANK OF AMERICA, N.A.                          WELLS FARGO BANK, N.A., AS
                                               SUPPLEMENTAL INTEREST TRUST
                                               TRUSTEE, ON BEHALF OF BANC OF
                                               AMERICA FUNDING 2006-G
                                               SUPPLEMENTAL INTEREST TRUST

__________________________                     _________________________________
Name:                                          Name:
Title:                                         Title:

                                       42                           ISDA(R) 2002

                                                          Bank of America [LOGO]

To:                       Wells Fargo Bank, N.A., as Supplemental Interest Trust
                          Trustee on behalf of the Banc of America
                          Funding 2006-G Supplemental Interest Trust

                          9062 Old Annapolis Road
                          Columbia  MD 21046 USA

Attn:                     Chris Regnier
Telephone:                410 884 2110
Fax:                      410 715 2380

cc:                       Jonathan Hartwig
Telephone:                704 683 4650
Fax:                      704 719 5165

From:                     Bank of America, N.A.
                          233 South Wacker Drive - Suite 2800
                          Chicago, Illinois 60606 U.S.A.
Department:               Swaps Operations
Telephone:                (+1) 312 234 2732
Fax:                      (+1) 866 255 1444

Date:                     27th July 2006

Our Reference No:         4712364
Reference Name:           Suzanne Buchta
Internal Tracking No:     13838510

Dear Sir/Madam,

The purpose of this letter agreement is to confirm the terms and conditions of
the Transaction entered into between Wells Fargo Bank, N.A., as Supplemental
Interest Trust Trustee on behalf of the Banc of America Funding 2006-G
Supplemental Interest Trust and Bank of America, N.A., a national banking
association organized under the laws of the United States of America (each a
"party" and together "the parties") on the Trade Date specified below (the
"Transaction"). This letter agreement constitutes a "Confirmation" as referred
to in the ISDA Master Agreement specified below (the "Agreement").

The definitions and provisions contained in the 2000 ISDA Definitions, as
published by the International Swaps and Derivatives Association, Inc. (the
"Definitions"), are incorporated into this Confirmation. In the event of any
inconsistency between the Definitions and this Confirmation, this Confirmation
will govern.

This Confirmation constitutes a "Confirmation" as referred to in, and
supplements, forms a part of, and is subject to the ISDA Master Agreement dated
as of July 27, 2006, as amended and supplemented from time to time (the
"Agreement"), between the parties hereto. All provisions contained in the
Agreement govern this Confirmation except as expressly modified below.

In this Confirmation "Party A" means Bank of America, N.A. and "Party B" means
Wells Fargo Bank, N.A., as Supplemental Interest Trust Trustee on behalf of the
Banc of America Funding 2006-G Supplemental Interest Trust

GENERAL TERMS:

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

   Notional Amount:       As per Schedule A below.

   Trade Date:            25th July 2006

   Effective Date:        28th July 2006

   Termination Date:      20th August 2011

   Upfront Fee:           On 31st July 2006, subject to adjustment in
                          accordance with the Following Business Day Convention,
                          Party B will pay USD 336,500.00 to Party A

FIXED AMOUNTS:

   Fixed Rate Payer:      Party B

   Early Payment:         Applicable, 1 Business Day prior to each Fixed Rate
                          Payer Period End Date

   Fixed Rate Payer
   Period End Dates:      The 20th of each Month, commencing on 20th August 2006
                          and ending on the Termination Date. No Adjustment.

   Fixed Rate:            5.50000 per cent

   Fixed Rate Day
   Count Fraction:        30/360

FLOATING AMOUNTS:

   Floating Rate Payer:   Party A

   Early Payment:         Applicable, 1 Business Day prior to each Floating Rate
                          Payer Period End Date

   Floating Rate Payer
   Period End Dates:      The 20th of each Month, commencing on 20th August 2006
                          and ending on the Termination Date. No Adjustment.

   Floating Rate for
   initial Calculation
   Period:                to be determined

   Floating Rate Option:  USD-LIBOR-BBA

   Designated Maturity:   1 Month

   Spread:                None

   Floating Rate Day
   Count Fraction:        Actual/360

   Reset Dates:           First day of each Calculation Period

   Compounding:           Inapplicable

BUSINESS DAYS:            New York

CALCULATION AGENT:        Party A

OTHER PROVISIONS:

Supplemental Interest Trust Trustee Capacity. It is expressly understood and
agreed by the parties hereto that insofar as this Confirmation is executed by
Wells Fargo Bank, N.A. as Supplemental Interest Trust Trustee of the Banc of
America Funding 2006-G Supplemental Interest Trust (i) this Confirmation is
executed and delivered by Wells Fargo Bank, N.A., not in its individual
capacity, but solely as Supplemental Interest Trust Trustee of the Banc of
America Funding 2006-G Supplemental Interest Trust, created under the Pooling
and Servicing Agreement, dated July 31, 2006 among Banc of America Funding
Corporation, Wells Fargo Bank, N.A. and U.S. Bank National Association in the
exercise of the powers and authority conferred up on and vested in it thereunder
and pursuant to instructions set forth therein, (ii) each of the
representations, undertakings and agreements herein made on the part of the Banc
of America Funding 2006-G Supplemental Interest Trust is made and intended not
as a personal representation, undertaking or agreement by Wells Fargo Bank, N.A.
but is made and intended for the

purpose of binding only the Banc of America Funding 2006-G Supplemental Interest
Trust, (iii) nothing herein contained shall be construed as imposing any
liability on Wells Fargo Bank, N.A., 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 and Person claiming by,
through, or under the parties hereto, and (iv) under no circumstances shall
Wells Fargo Bank, N.A. in its individual capacity be personally liable for the
payment of any indebtedness or expenses or be personally liable for the breach
or failure of any obligation, representation, warranty or covenant made or
undertaken under this Confirmation by the Banc of America Funding 2006-G
Supplemental Interest Trust or any other related documents. Notwithstanding the
foregoing (or anything contrary herein), Wells Fargo Bank, N.A. shall be liable
for its own fraud, negligence, willful misconduct and/or bad faith.

ACCOUNT DETAILS:

   Party A:    Payments to Bank of America, N.A:
USD FEDWIRE

               Name:    Bank of America, N.A. - New York
               ABA #:        026009593
               Attn:         BOFAUS3N
               Name:    Bank of America, N.A.
               City:         Charlotte
               Acct#:        6550219386
               Attn:         Rate Derivative Settlements
               Attn:         BOFAUS6SGDS

Party B:       Wells Fargo Bank N.A.
               San Francisco,CA
               ABA:          121000248
               ACCT:         3970771416
               ACCT Name:    SAS Clearing
               FFC:          50937902

OFFICES:

   The Office of Party A for this
   Transaction is:                   Charlotte - NC, United States
                                     Please send reset notices to fax no.
                                     (+1) 866 218 8487

   The Office of Party B for this
   Transaction is:                   Wells Fargo Bank, N.A.
                                     9062 Old Annapolis Rd
                                     Columbia, MD 21045
                                     ATTN: Corporate Trust Services BAFC 2006-G

                                   SCHEDULE A

                    CALCULATION PERIOD
                 SCHEDULED TO COMMENCE ON    NOTIONAL AMOUNT (USD):
                 ------------------------    ----------------------
                         07/28/06               2,097,926,537.50
                         08/20/06               2,017,187,980.40
                         09/20/06               1,939,555,862.90
                         10/20/06               1,864,910,689.84
                         11/20/06               1,793,138,164.82
                         12/20/06               1,724,127,154.59
                         01/20/07               1,657,771,604.11
                         02/20/07               1,593,969,403.62
                         03/20/07               1,532,622,101.84
                         04/20/07               1,473,635,549.26
                         05/20/07               1,416,918,781.06
                         06/20/07               1,362,384,331.10
                         07/20/07               1,309,947,926.11
                         08/20/07               1,259,529,178.34
                         09/20/07               1,211,050,573.35
                         10/20/07               1,164,437,376.53
                         11/20/07               1,119,617,666.92
                         12/20/07               1,076,520,260.89
                         01/20/08               1,035,081,484.93
                         02/20/08                995,237,282.49
                         03/20/08                956,926,168.72
                         04/20/08                920,088,601.60
                         05/20/08                884,668,872.63
                         06/20/08                850,612,255.29
                         07/20/08                817,865,625.31
                         08/20/08                786,378,913.15
                         09/20/08                756,104,028.77
                         10/20/08                726,992,710.03
                         11/20/08                699,001,928.94
                         12/20/08                672,086,143.05
                         01/20/09                646,206,532.16
                         02/20/09                621,323,262.70
                         03/20/09                597,397,634.80
                         04/20/09                574,393,082.09
                         05/20/09                552,274,123.48
                         06/20/09                531,006,630.47

                         07/20/09                510,556,176.88
                         08/20/09                490,892,810.08
                         09/20/09                471,986,467.73
                         10/20/09                453,808,035.01
                         11/20/09                436,325,669.16
                         12/20/09                419,516,427.03
                         01/20/10                403,354,458.21
                         02/20/10                387,814,605.80
                         03/20/10                372,873,146.25
                         04/20/10                358,507,064.77
                         05/20/10                344,694,161.21
                         06/20/10                331,388,929.92
                         07/20/10                318,597,107.08
                         08/20/10                306,298,513.94
                         09/20/10                294,474,314.52
                         10/20/10                283,106,150.06
                         11/20/10                272,175,981.49
                         12/20/10                261,598,016.93
                         01/20/11                251,430,865.73
                         02/20/11                241,658,083.93
                         03/20/11                232,264,475.88
                         04/20/11                223,225,732.82
                         05/20/11                214,523,192.45
                         06/20/11                206,158,877.11
                         07/20/11                198,119,854.81

Please confirm that the foregoing correctly sets forth the terms and conditions
of our agreement by returning via telecopier an executed copy of this
Confirmation in its entirety to the attention of Global FX and Derivative
Operations (fax no.(+1) 866 255 1444).

Yours sincerely,

Bank of America, N.A.

By:  ________________________________________
     Name:
     Title:

Confirmed as of the date above:

Banc of America Funding 2006-G Supplemental Interest Trust

By: Wells Fargo Bank, N.A., not in its individual capacity but solely as
Supplemental Interest Trust Trustee on behalf of Banc of America Funding 2006-G
Supplemental Interest Trust

By:  __________________________________________
     Name:
     Title

                                   EXHIBIT V
                         INTEREST RATE CAP AGREEMENT A

                                       Bank of America [LOGO]

To:                                 Wells Fargo Bank, N.A., as Supplemental
                                    Interest Trust Trustee on behalf of the Banc
                                    of America Funding 2006-G Supplemental
                                    Interest Trust
                                    9062 Old Annapolis Road
                                    Columbia MD 21046 USA

Attn:                               Chris Regnier
Telephone:                          410 884 2110
Fax:                                410 715 2380

cc:                                 Jonathan Hartwig
Telephone:                          704 683 4650
Fax:                                704 719 5165

From:                               Bank of America, N.A.
                                    233 South Wacker Drive - Suite 2800
                                    Chicago, Illinois 60606 U.S.A.
Department:                         Swaps Operations
Telephone:                          (+1) 312 234 2732
Fax:                                (+1) 866 255 1444

DATE:                               27th July 2006

Our Reference No:                   4712362 4712359
Reference Name:                     Suzanne Buchta
Internal Tracking No:               13838514 13838515

Dear Sir/Madam,

      The purpose of this letter agreement is to confirm the terms and
conditions of the Transaction entered into between Wells Fargo Bank, N.A., as
Supplemental Interest Trust Trustee on behalf of the Banc of America Funding
2006-G Supplemental Interest Trust and Bank of America, N.A., a national banking
association organized under the laws of the United States of America (each a
"party" and together "the parties") on the Trade Date specified below (the
"Transaction"). This letter agreement constitutes a "Confirmation" as referred
to in the ISDA Master Agreement specified below (the "Agreement").

      The definitions and provisions contained in the 2000 ISDA Definitions, as
published by the International Swaps and Derivatives Association, Inc. (the
"Definitions"), are incorporated into this Confirmation. In the event of any
inconsistency between the Definitions and this Confirmation, this Confirmation
will govern.

1.    This Confirmation constitutes a "Confirmation" as referred to in, and
supplements, forms a part of, and is subject to the ISDA Master Agreement dated
as of July 27, 2006, as amended and supplemented from time to time (the
"Agreement"), between the parties hereto. All provisions contained in the
Agreement govern this Confirmation except as expressly modified below.

      In this Confirmation "Party A" means Bank of America, N.A. and "Party B"
means Wells Fargo Bank, N.A., as Supplemental Interest Trust Trustee on behalf
of the Banc of America Funding 2006-G Supplemental Interest Trust

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

        Notional Amount:                       As per Schedule A below

        Trade Date:                            25th July 2006

        Effective Date:                        20th July 2009

        Termination Date:                      20th August 2013

      FIXED AMOUNT:

        Fixed Rate Payer:                      Party B

        Fixed Rate Payer Payment Date:         31st July 2006, subject to adjustment in accordance with
                                               the Following Business Day Convention.

        Fixed Amount:                          USD [_____]

      FLOATING AMOUNT:

        Floating Rate Payer:                   Party A

        Strike Rate:                           5.17000 per cent

        Ceiling Rate:                          5.46000 per cent

        Floating Rate Payer Payment Dates:     Early Payments shall be applicable - 1 Business Day prior
                                               to each Floating Rate Payer Period End Date

        Floating Rate Payer Period End Dates:  The 20th of each Month, commencing on 20th August 2009 and
                                               ending on the Termination Date. No Adjustment.

                                        2

        Floating Amount:                       The product of (a) the Notional Amount, (b) Floating Rate
                                               Day Count Fraction and (c) the Settlement Spread which
                                               shall be calculated in accordance with the following
                                               formula:

                                               IF USD-LIBOR-BBA IS GREATER THAN THE STRIKE RATE FOR THE
                                               APPLICABLE CALCULATION PERIOD, THEN SETTLEMENT SPREAD =
                                               (USD-LIBOR-BBA - APPLICABLE STRIKE RATE) PROVIDED, HOWEVER,
                                               THAT IF USD-LIBOR-BBA FOR ANY CALCULATION PERIOD IS GREATER
                                               THAN THE CEILING RATE THEN THE USD-LIBOR-BBA FOR SUCH
                                               CALCULATION PERIOD SHALL BE DEEMED TO BE THE CEILING RATE.

                                               If 1 Month USD-LIBOR-BBA is less than or equal to the
                                               Strike Rate for the applicable Calculation Period, then
                                               Settlement Spread = Zero.

        Floating Rate for initial              to be determined
        Calculation Period:

        Floating Rate Option:                  USD-LIBOR-BBA

        Designated Maturity:                   1 Month

        Spread:                                None

        Floating Rate Day Count Fraction:      Actual/360

        Averaging:                             Inapplicable

        Reset Dates:                           First day of each Calculation Period

        Business Days:                         New York

        Calculation Agent:                     Party A

3.      ACCOUNT DETAILS.

        Party A:
        Name:             Bank of America, N.A. - New York
        ABA #:            026009593
        Attn:             BOFAUS3N
        Name:             Bank of America, N.A.
        City:             Charlotte
        Acct#:            6550219386
        Attn:             Rate Derivative Settlements

                                        3

        Attn:             BOFAUS6SGDS

        Party B:
        Wells Fargo Bank, N.A.
        San Francisco, CA
        121-000-248
        Acct. # 3970771416
        Acct. Name: SAS Clearing
        F/F/C: Reserve Fund: 50937902

4.      OFFICES.

        The Office of Party A for this         Charlotte, North Carolina
        Transaction is:                        Please send notices to
                                               fax no. 1-866-255-1444.

        The Office of Party B for this         Wells Fargo Bank, N.A. as
        Transaction is:                        Supplemental Interest Trust
                                               Trustee on behalf of Banc of
                                               America Funding 2006-G
                                               Supplemental Interest Trust
                                               9062 Old Annapolis Road
                                               Columbia, MD 21045
                                               Attn: Client Manager BAFC 2006-G

                                        4

                                   SCHEDULE A
                     Our Reference Numbers: 4712362 4712359

       CALCULATION PERIOD    CALCULATION PERIOD
          SCHEDULED TO           SCHEDULED             NOTIONAL
          COMMENCE ON:           TO END ON:          AMOUNT (USD)
       ------------------    ------------------    ----------------
            07/20/09              08/20/09         1,292,375,277.58
            08/20/09              09/20/09         1,268,434,034.88
            09/20/09              10/20/09         1,244,935,594.57
            10/20/09              11/20/09         1,221,871,829.86
            11/20/09              12/20/09         1,199,226,070.90
            12/20/09              01/20/10         1,176,999,111.89
            01/20/10              02/20/10         1,155,183,336.46
            02/20/10              03/20/10         1,133,770,566.49
            03/20/10              04/20/10         1,112,753,882.60
            04/20/10              05/20/10         1,092,126,011.21
            05/20/10              06/20/10         1,071,879,633.43
            06/20/10              07/20/10         1,051,944,771.99
            07/20/10              08/20/10         1,032,380,161.87
            08/20/10              09/20/10         1,013,177,873.19
            09/20/10              10/20/10          994,331,664.98
            10/20/10              11/20/10          975,834,760.25
            11/20/10              12/20/10          957,679,373.34
            12/20/10              01/20/11          939,656,615.40
            01/20/11              02/20/11          921,972,172.29
            02/20/11              03/20/11          904,618,083.88
            03/20/11              04/20/11          887,588,457.51
            04/20/11              05/20/11          870,846,440.03
            05/20/11              06/20/11          854,369,589.65
            06/20/11              07/20/11          838,200,989.78
            07/20/11              08/20/11          822,335,480.11
            08/20/11              09/20/11          806,766,818.09
            09/20/11              10/20/11          791,490,231.91
            10/20/11              11/20/11          776,497,701.38
            11/20/11              12/20/11          761,786,466.66
            12/20/11              01/20/12          747,352,720.73
            01/20/12              02/20/12          733,189,844.41
            02/20/12              03/20/12          719,292,730.73
            03/20/12              04/20/12          705,656,427.71
            04/20/12              05/20/12          692,276,237.76
            05/20/12              06/20/12          679,148,010.77
            06/20/12              07/20/12          666,257,080.89
            07/20/12              08/20/12          653,608,410.48

                                        5

            08/20/12              09/20/12          641,197,364.14
            09/20/12              10/20/12          629,019,479.73
            10/20/12              11/20/12          617,070,484.55
            11/20/12              12/20/12          605,346,155.42
            12/20/12              01/20/13          593,814,849.26
            01/20/13              02/20/13          582,501,444.21
            02/20/13              03/20/13          571,401,014.02
            03/20/13              04/20/13          560,509,581.93
            04/20/13              05/20/13          549,823,132.87
            05/20/13              06/20/13          539,338,864.44
            06/20/13              07/20/13          529,046,809.54
            07/20/13              08/20/13          518,948,755.84

                                        6

Please confirm that the foregoing correctly sets forth the terms and conditions
of our agreement by returning within three (3) Business Days via telecopier an
executed copy of this Confirmation to the attention of Global Derivative
Operations (fax no. 1-866-255-1444)). Failure to respond within such period
shall not affect the validity or enforceability of this Transaction, and shall
be deemed to be an affirmation of the terms and conditions contained herein,
absent manifest error.

Yours sincerely,

Bank of America, N.A.

By:     ________________________________________
        Name:
        Title:

Confirmed as of the date above:

Banc of America Funding 2006-G Supplemental Interest Trust

By: Wells Fargo Bank, N.A., not in its individual capacity but solely as
Supplemental Interest Trust Trustee on behalf of Banc of America Funding 2006-G
Supplemental Interest Trust

By:     ________________________________________
        Name:
        Title

                                        7

                                   EXHIBIT W
                         INTEREST RATE CAP AGREEMENT B

                                                Bank of America [LOGO]

To:                                 Wells Fargo Bank, N.A., as Supplemental
                                    Interest Trust Trustee on behalf of the Banc
                                    of America Funding 2006-G Supplemental
                                    Interest Trust
                                    9062 Old Annapolis Road
                                    Columbia  MD 21046 USA

Attn:                               Chris Regnier
Telephone:                          410 884 2110
Fax:                                410 715 2380

cc:                                 Jonathan Hartwig
Telephone:                          704 683 4650
Fax:                                704 719 5165

From:                               Bank of America, N.A.
                                    233 South Wacker Drive - Suite 2800
                                    Chicago, Illinois 60606 U.S.A.
Department:                         Swaps Operations
Telephone:                          (+1) 312 234 2732
Fax:                                (+1) 866 255 1444

DATE:                               27th July 2006

Our Reference No:                   4712363 4712360
Reference Name:                     Suzanne Buchta
Internal Tracking No:               13838518 13838520

Dear Sir/Madam,

      The purpose of this letter agreement is to confirm the terms and
conditions of the Transaction entered into between Wells Fargo Bank, N.A., as
Supplemental Interest Trust Trustee on behalf of the Banc of America Funding
2006-G Supplemental Interest Trust and Bank of America, N.A., a national banking
association organized under the laws of the United States of America (each a
"party" and together "the parties") on the Trade Date specified below (the
"Transaction"). This letter agreement constitutes a "Confirmation" as referred
to in the ISDA Master Agreement specified below (the "Agreement").

      The definitions and provisions contained in the 2000 ISDA Definitions, as
published by the International Swaps and Derivatives Association, Inc. (the
"Definitions"), are incorporated into this Confirmation. In the event of any
inconsistency between the Definitions and this Confirmation, this Confirmation
will govern.

1.    This Confirmation constitutes a "Confirmation" as referred to in, and
supplements, forms a part of, and is subject to the ISDA Master Agreement dated
as of July 27, 2006, as amended and supplemented from time to time (the
"Agreement"), between the parties hereto. All provisions contained in the
Agreement govern this Confirmation except as expressly modified below.

      In this Confirmation "Party A" means Bank of America, N.A. and "Party B"
means Wells Fargo Bank, N.A., as Supplemental Interest Trust Trustee on behalf
of the Banc of America Funding 2006-G Supplemental Interest Trust

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

        Notional Amount:                       As per Schedule A below

        Trade Date:                            25th July 2006

        Effective Date:                        20th June 2007

        Termination Date:                      20th May 2011

      FIXED AMOUNT:

        Fixed Rate Payer:                      Party B

        Fixed Rate Payer Payment Date:         31st July 2006, subject to adjustment in accordance with
                                               the Following Business Day Convention.

        Fixed Amount:                          USD [_____]

      FLOATING AMOUNT:

        Floating Rate Payer:                   Party A

        Strike Rate:                           As per Schedule A below

        Ceiling Rate:                          As per Schedule A below

        Floating Rate Payer Payment Dates:     Early Payments shall be applicable - 1 Business Day prior
                                               to each Floating Rate Payer Period End Date

        Floating Rate Payer Period End Dates:  The 20th of each Month, commencing on 20th July 2007 and
                                               ending on the Termination Date. No Adjustment.

                                        2

        Floating Amount:                       The product of (a) the Notional Amount, (b) Floating Rate
                                               Day Count Fraction and (c) the Settlement Spread which
                                               shall be calculated in accordance with the following
                                               formula:

                                               IF USD-LIBOR-BBA IS GREATER THAN THE STRIKE RATE FOR THE
                                               APPLICABLE CALCULATION PERIOD, THEN SETTLEMENT SPREAD =
                                               (USD-LIBOR-BBA - APPLICABLE STRIKE RATE) PROVIDED, HOWEVER,
                                               THAT IF USD-LIBOR-BBA FOR ANY CALCULATION PERIOD IS GREATER
                                               THAN THE CEILING RATE THEN THE USD-LIBOR-BBA FOR SUCH
                                               CALCULATION PERIOD SHALL BE DEEMED TO BE THE CEILING RATE.

                                               If 1 Month USD-LIBOR-BBA is less than or equal to the
                                               Strike Rate for the applicable Calculation Period, then
                                               Settlement Spread = Zero.

        Floating Rate for initial              to be determined
        Calculation Period:

        Floating Rate Option:                  USD-LIBOR-BBA

        Designated Maturity:                   1 Month

        Spread:                                None

        Floating Rate Day Count Fraction:      Actual/360

        Averaging:                             Inapplicable

        Reset Dates:                           First day of each Calculation Period

        Business Days:                         New York

        Calculation Agent:                     Party A

3.      ACCOUNT DETAILS.

        Party A:
        Name:             Bank of America, N.A. - New York
        ABA #:            026009593
        Attn:             BOFAUS3N
        Name:             Bank of America, N.A.
        City:             Charlotte
        Acct#:            6550219386

                                        3

        Attn:             Rate Derivative Settlements
        Attn:             BOFAUS6SGDS

        Party B:
        Wells Fargo Bank, N.A.
        San Francisco, CA
        121-000-248
        Acct. # 3970771416
        Acct. Name: SAS Clearing
        F/F/C: Reserve Fund: 50937901

4.      OFFICES.

        The Office of Party A for this         Charlotte, North Carolina
        Transaction is:                        Please send notices to
                                               fax no. 1-866-255-1444.

        The Office of Party B for this         Wells Fargo Bank, N.A. as
        Transaction is:                        Supplemental Interest Trust
                                               Trustee on behalf of Banc of
                                               America Funding 2006-G
                                               Supplemental Interest Trust
                                               9062 Old Annapolis Road
                                               Columbia, MD 21045
                                               Attn: Client Manager BAFC 2006-G

                                        4

                                             SCHEDULE A
                               Our Reference Numbers: 4712363 4712360

                        CALCULATION
CALCULATION PERIOD         PERIOD
   SCHEDULED TO         SCHEDULED TO      STRIKE RATE       CEILING RATE
    COMMENCE ON:          END ON:         (PER CENT):        (PER CENT)      NOTIONAL AMOUNT (USD)
------------------      ------------      ------------      ------------     ---------------------

      06/20/07            07/20/07          7.56160           8.81160          2,023,718,788.67
      07/20/07            08/20/07          7.55290           8.80290          1,986,274,353.89
      08/20/07            09/20/07          7.52770           8.77770          1,949,522,049.72
      09/20/07            10/20/07          7.48740           8.73740          1,913,448,963.96
      10/20/07            11/20/07          7.44400           8.69400          1,878,042,349.93
      11/20/07            12/20/07          7.40160           8.65160          1,843,286,887.07
      12/20/07            01/20/08          7.36130           8.61130          1,809,174,071.76
      01/20/08            02/20/08          7.32400           8.57400          1,775,691,657.78
      02/20/08            03/20/08          7.29100           8.54100          1,742,827,788.67
      03/20/08            04/20/08          7.26320           8.51320          1,710,570,181.42
      04/20/08            05/20/08          7.24170           8.49170          1,678,909,126.81
      05/20/08            06/20/08          7.22760           8.47760          1,647,833,325.93
      06/20/08            07/20/08          7.22190           8.47190          1,617,330,874.68
      07/20/08            08/20/08          7.22570           8.47570          1,587,391,679.62
      08/20/08            09/20/08          7.74010           8.49010          1,558,005,967.91
      09/20/08            10/20/08          7.76400           8.51400          1,529,160,704.97
      10/20/08            11/20/08          7.78940           8.53940          1,500,848,843.29
      11/20/08            12/20/08          7.81420           8.56420          1,473,056,126.30
      12/20/08            01/20/09          7.83790           8.58790          1,445,777,500.66
      01/20/09            02/20/09          7.86020           8.61020          1,419,003,571.38
      02/20/09            03/20/09          7.88090           8.63090          1,392,724,338.85
      03/20/09            04/20/09          7.89950           8.64950          1,366,931,196.89
      04/20/09            05/20/09          7.91590           8.66590          1,341,615,107.08
      05/20/09            06/20/09          7.92960           8.67960          1,316,767,170.19
      06/20/09            07/20/09          7.94040           8.69040          1,292,375,277.58
      07/20/09            08/20/09          7.94790           8.69790          1,268,434,034.88
      08/20/09            09/20/09          7.95190           8.70190          1,244,935,594.57
      09/20/09            10/20/09          7.95260           8.70260          1,221,871,829.86
      10/20/09            11/20/09          7.95270           8.70270          1,199,226,070.90
      11/20/09            12/20/09          7.95280           8.70280          1,176,999,111.89
      12/20/09            01/20/10          7.95300           8.70300          1,155,183,336.46
      01/20/10            02/20/10          7.95320           8.70320          1,133,770,566.49
      02/20/10            03/20/10          7.95350           8.70350          1,112,753,882.60
      03/20/10            04/20/10          7.95400           8.70400          1,092,126,011.21
      04/20/10            05/20/10          7.95450           8.70450          1,071,879,633.43

                                        5

      05/20/10            06/20/10          7.95520           8.70520          1,051,944,771.99
      06/20/10            07/20/10          7.95610           8.70610          1,032,380,161.87
      07/20/10            08/20/10          7.45610           8.70610          1,013,177,873.19
      08/20/10            09/20/10          7.45610           8.70610           994,331,664.98
      09/20/10            10/20/10          7.45610           8.70610           975,834,760.25
      10/20/10            11/20/10          7.45610           8.70610           957,679,373.34
      11/20/10            12/20/10          7.45610           8.70610           939,656,615.40
      12/20/10            01/20/11          7.45610           8.70610           921,972,172.29
      01/20/11            02/20/11          7.45610           8.70610           904,618,083.88
      02/20/11            03/20/11          7.45610           8.70610           887,588,457.51
      03/20/11            04/20/11          7.45610           8.70610           870,846,440.03
      04/20/11            05/20/11          7.45610           8.70610           854,369,589.65

                                        6

Please confirm that the foregoing correctly sets forth the terms and conditions
of our agreement by returning within three (3) Business Days via telecopier an
executed copy of this Confirmation to the attention of Global Derivative
Operations (fax no. 1-866-255-1444)). Failure to respond within such period
shall not affect the validity or enforceability of this Transaction, and shall
be deemed to be an affirmation of the terms and conditions contained herein,
absent manifest error.

Yours sincerely,

Bank of America, N.A.

By:     ________________________________________
        Name:
        Title:

Confirmed as of the date above:

Banc of America Funding 2006-G Supplemental Interest Trust

By: Wells Fargo Bank, N.A., not in its individual capacity but solely as
Supplemental Interest Trust Trustee on behalf of Banc of America Funding 2006-G
Supplemental Interest Trust

By:     ________________________________________
        Name:
        Title

                                        7

                                   EXHIBIT X
                         INTEREST RATE FLOOR AGREEMENT

                                                Bank of America [LOGO]

To:                                 Wells Fargo Bank, N.A., as Supplemental
                                    Interest Trust Trustee on behalf of the Banc
                                    of America Funding 2006-G Supplemental
                                    Interest Trust
                                    9062 Old Annapolis Road
                                    Columbia  MD 21046 USA

Attn:                               Chris Regnier
Telephone:                          410 884 2110
Fax:                                410 715 2380

cc:                                 Jonathan Hartwig
Telephone:                          704 683 4650
Fax:                                704 719 5165

From:                               Bank of America, N.A.
                                    233 South Wacker Drive - Suite 2800
                                    Chicago, Illinois 60606 U.S.A.
Department:                         Swaps Operations
Telephone:                          (+1) 312 234 2732
Fax:                                (+1) 866 255 1444

DATE:                               27th July 2006

Our Reference No:                   4712361
Reference Name:                     Suzanne Buchta
Internal Tracking No:               13838511

Dear Sir/Madam,

      The purpose of this letter agreement is to confirm the terms and
conditions of the Transaction entered into between Wells Fargo Bank, N.A., as
Supplemental Interest Trust Trustee on behalf of the Banc of America Funding
2006-G Supplemental Interest Trust and Bank of America, N.A., a national banking
association organized under the laws of the United States of America (each a
"party" and together "the parties") on the Trade Date specified below (the
"Transaction"). This letter agreement constitutes a "Confirmation" as referred
to in the ISDA Master Agreement specified below (the "Agreement").

      The definitions and provisions contained in the 2000 ISDA Definitions, as
published by the International Swaps and Derivatives Association, Inc. (the
"Definitions"), are incorporated into this Confirmation. In the event of any
inconsistency between the Definitions and this Confirmation, this Confirmation
will govern.

1.    This Confirmation constitutes a "Confirmation" as referred to in, and
supplements, forms a part of, and is subject to the ISDA Master Agreement dated
as of July 27, 2006, as amended and supplemented from time to time (the
"Agreement"), between the parties hereto. All provisions contained in the
Agreement govern this Confirmation except as expressly modified below.

      In this Confirmation "Party A" means Bank of America, N.A. and "Party B"
means Wells Fargo Bank, N.A., as Supplemental Interest Trust Trustee on behalf
of the Banc of America Funding 2006-G Supplemental Interest Trust

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

        Notional Amount:                       As per Schedule A below

        Trade Date:                            25th July 2006

        Effective Date:                        20th May 2007

        Termination Date:                      20th May 2011

      FIXED AMOUNT:

        Fixed Rate Payer:                      Party B

        Fixed Rate Payer Payment Date:         31st July 2006, subject to adjustment in accordance with
                                               the Following Business Day Convention.

        Fixed Amount:                          USD [_____]

      FLOATING AMOUNT:

        Floating Rate Payer:                   Party A

        Floor Rate:                            1.00000 per cent

        Floating Rate Payer Payment Dates:     Early Payments shall be applicable - 1 Business Day prior
                                               to each Floating Rate Payer Period End Date

        Floating Rate Payer Period End Dates:  The 20th of each Month, commencing on 20th June 2007 and
                                               ending on the Termination Date. No Adjustment.

        Floating Rate for initial              to be determined
        Calculation Period:

        Floating Rate Option:                  USD-LIBOR-BBA

        Designated Maturity:                   1 Month

                                        2

        Spread:                                None

        Floating Rate Day Count Fraction:      Actual/360

        Averaging:                             Inapplicable

        Reset Dates:                           First day of each Calculation Period

        Business Days:                         New York

        Calculation Agent:                     Party A

3.      ACCOUNT DETAILS.

        Party A:
        Name:             Bank of America, N.A. - New York
        ABA #:            026009593
        Attn:             BOFAUS3N
        Name:             Bank of America, N.A.
        City:             Charlotte
        Acct#:            6550219386
        Attn:             Rate Derivative Settlements
        Attn:             BOFAUS6SGDS

        Party B:
        Wells Fargo Bank, N.A.
        San Francisco, CA
        121-000-248
        Acct. # 3970771416
        Acct. Name: SAS Clearing
        F/F/C: Reserve Fund: 50937901

4.      OFFICES.

        The Office of Party A for this         Charlotte, North Carolina
        Transaction is:                        Please send notices to
                                               fax no. 1-866-255-1444.

        The Office of Party B for this         Wells Fargo Bank, N.A. as
        Transaction is:                        Supplemental Interest Trust
                                               Trustee on behalf of Banc of
                                               America Funding 2006-G
                                               Supplemental Interest Trust
                                               9062 Old Annapolis Road
                                               Columbia, MD 21045
                                               Attn: Client Manager BAFC 2006-G

                                        3

                                   SCHEDULE A
                         Our Reference Numbers: 4712361

       CALCULATION PERIOD    CALCULATION PERIOD
          SCHEDULED TO           SCHEDULED             NOTIONAL
          COMMENCE ON:           TO END ON:          AMOUNT (USD)
       ------------------    ------------------    ----------------
            05/20/07              06/20/07         2,061,868,246.98
            06/20/07              07/20/07         2,023,718,788.67
            07/20/07              08/20/07         1,986,274,353.89
            08/20/07              09/20/07         1,949,522,049.72
            09/20/07              10/20/07         1,913,448,963.96
            10/20/07              11/20/07         1,878,042,349.93
            11/20/07              12/20/07         1,843,286,887.07
            12/20/07              01/20/08         1,809,174,071.76
            01/20/08              02/20/08         1,775,691,657.78
            02/20/08              03/20/08         1,742,827,788.67
            03/20/08              04/20/08         1,710,570,181.42
            04/20/08              05/20/08         1,678,909,126.81
            05/20/08              06/20/08         1,647,833,325.93
            06/20/08              07/20/08         1,617,330,874.68
            07/20/08              08/20/08         1,587,391,679.62
            08/20/08              09/20/08         1,558,005,967.91
            09/20/08              10/20/08         1,529,160,704.97
            10/20/08              11/20/08         1,500,848,843.29
            11/20/08              12/20/08         1,473,056,126.30
            12/20/08              01/20/09         1,445,777,500.66
            01/20/09              02/20/09         1,419,003,571.38
            02/20/09              03/20/09         1,392,724,338.85
            03/20/09              04/20/09         1,366,931,196.89
            04/20/09              05/20/09         1,341,615,107.08
            05/20/09              06/20/09         1,316,767,170.19
            06/20/09              07/20/09         1,292,375,277.58
            07/20/09              08/20/09         1,268,434,034.88
            08/20/09              09/20/09         1,244,935,594.57
            09/20/09              10/20/09         1,221,871,829.86
            10/20/09              11/20/09         1,199,226,070.90
            11/20/09              12/20/09         1,176,999,111.89
            12/20/09              01/20/10         1,155,183,336.46
            01/20/10              02/20/10         1,133,770,566.49
            02/20/10              03/20/10         1,112,753,882.60
            03/20/10              04/20/10         1,092,126,011.21

                                        4

            04/20/10              05/20/10         1,071,879,633.43
            05/20/10              06/20/10         1,051,944,771.99
            06/20/10              07/20/10         1,032,380,161.87
            07/20/10              08/20/10         1,013,177,873.19
            08/20/10              09/20/10          994,331,664.98
            09/20/10              10/20/10          975,834,760.25
            10/20/10              11/20/10          957,679,373.34
            11/20/10              12/20/10          939,656,615.40
            12/20/10              01/20/11          921,972,172.29
            01/20/11              02/20/11          904,618,083.88
            02/20/11              03/20/11          887,588,457.51
            03/20/11              04/20/11          870,846,440.03
            04/20/11              05/20/11          854,369,589.65

                                        5

Please confirm that the foregoing correctly sets forth the terms and conditions
of our agreement by returning within three (3) Business Days via telecopier an
executed copy of this Confirmation to the attention of Global Derivative
Operations (fax no. 1-866-255-1444)). Failure to respond within such period
shall not affect the validity or enforceability of this Transaction, and shall
be deemed to be an affirmation of the terms and conditions contained herein,
absent manifest error.

Yours sincerely,

Bank of America, N.A.

By:     ________________________________________
        Name:
        Title:

Confirmed as of the date above:

Banc of America Funding 2006-G Supplemental Interest Trust

By: Wells Fargo Bank, N.A., not in its individual capacity but solely as
Supplemental Interest Trust Trustee on behalf of Banc of America Funding 2006-G
Supplemental Interest Trust

By:     ________________________________________
        Name:
        Title

                                        6

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